Monday, September 30, 2019

Cloth vs Diapers

Cloth Vs Disposable Diapers†¦.. What’s Best? Introduction Diapers have been used by humans throughout history. But, the word diaper did not originally refer to its use. Instead, the term originally referred to a type of cloth with a pattern of small repeated geometric shapes. The first diapers were made of a special type of soft cloth cut in geometric shapes. The method of creating geometric shapes in cloth was called diapering, but it eventually gave the name of the cloth used in making diapers back in 1590s in England. Diaper is used on children who are not yet toilet trained to prevent bed-wetting and to keep babies’ skin clean and dry.While it was originally made of cloth material, several variations and improvements were made on the diaper resulting in the creation of disposable diaper. Unlike cloth diapers which can be washed and reused multiple times, disposable diapers are thrown away after use (Leverich). The boom of the disposable diaper industry suggests that it is more preferred by parents that its cloth counterpart. Parents choose what they think is best for their baby. Hence, while the use of disposable diaper has become a trend, it actually has a number of disadvantages that may want parents to reconsider using cloth diapers.Health and Comfort One of the main reasons of using diapers is to provide comfort for the baby by keeping their skin dry, healthy and free from rashes. Prolong wetness irritates the baby’s skin and cause rashes. Cloth diaper is made from non-absorbent materials and thus it requires frequent diaper changes in order to keep the baby’s skin dry. Frequent diaper changes can be avoided when using disposable diaper since it consists of a superabsorbent substance called sodium polyacrylate that is capable of absorbing water up to 100 times its weight (O’Mara, 2003).Since disposable diapers gives a sense of dryness even after a few wettings, parents can leave the disposable diapers on for hours . While disposable diaper is more convenient for the parents, studies have shown that it can cause a number of health problems to babies. A study published in the Journal of Pediatrics reported that 54 percent of one-month old babies using disposable diapers developed rashes, while 16 percent developed severe rashes. Another study also suggests that disposable diaper increased the incidence of diaper rash from 7. percent to 61 percent. Diaper rash occurs with disposable diapers because even if it can hold large quantities of urine, the slightly wet materials that are against baby’s skin for hours can cause rashes (The New Parents Guide, 2012). Moreover, disposable diaper is well-sealed and therefore prevents proper circulation of air. It also traps the bacteria and ammonia that is produced when bacteria breaks down urine (O’Mara, 2003). It is apparent that in terms of health and comfort, cloth diaper offers more comfort and helps keep the baby’s skin healthy. Co nvenienceParents opt for disposable diapers primarily for convenience. First, disposable diapers are thrown after use. Second, disposable diapers comes in convenient Velcro and snap closures that keep it securely fastened and well-fitted. Some diaper lines also include wetness indicator that tells the parents when it is time to change. Indeed, versus the traditional cloth diaper, disposable diaper is more convenient. However, cloth diapers have evolved as well. Gone were the days when cloth diapers are fastened by safety pins that could dangerously prick the baby’s skin.Modern cloth diapers are as convenient as its disposable counterpart. Most cloth diapers are now featured with Velcro fasteners and some are fitted similar to disposable diapers, which makes diaper changes convenient and easy (Leverich). However, despite the innovations of cloth diaper, disposable diaper is still more convenient especially during travels wherein soiled diapers can just be thrown and do not nee d to be carried along for washing (The New Parents Guide, 2012). CostCost is one of the factors that parents consider in choosing a diaper. Compared to disposable diaper, cloth diaper is more economical since it can be used again and again. Disposable diaper can cost as much as 32 cents per use compared to cloth diaper which only costs 5 cents per use. Washing the diapers yourself or even when using a laundry service will still result in significant savings (O’Mara, 2003). Moreover, the cloth diapers can be kept to be used as hand-me-down diaper for future babies. Environment ImpactThe environmental impact of disposable diapers is one of the important reasons why parents should use cloth diapers. While it could be argued that both types of diapers have the same environmental impact because of the processes required to clean the soiled cloth diapers, disposable diapers have greater environmental impact. Considering the number of disposable diapers used and discarded every day, and the number of diapers that could be used by a single child from birth until toilet-trained, disposable diapers is indeed a significant solid waste problem.Aside from being a burden in landfill sites, m disposable diapers are manufactured with wood pulp, which means that millions of trees are cut for its production. Manufacture of pulp and plastics used in disposable diapers also use toxic chemicals such as dioxins (O’Mara, 2003). Conclusion Parents only want the best for their baby, including the type of diaper to use. The main purpose of a diaper is to keep the baby’s skin from wetness and keep it healthy. The ability of disposable diaper to hold wetness longer is the very reason why parents opt for this type.It seems that parents choose disposable diaper mainly for convenience, but tend to disregard the potential adverse impacts of disposable diapers on their babies. Disposable diaper allows longer contact between the baby’s skin and slightly wet material s may lead to rashes. The well-sealed disposable diaper is also an unhealthy environment as it promotes breeding of bacteria. While the greatest concern for parents is their baby’s health and not the environment, parents should be aware of the adverse impacts disposable diapers have on the environment. References Leverich, L.Cloth Diapers. Donald C. Cooper. O’Mara, P. (2003). Mothering Magazine's Having a Baby, Naturally: The Mothering Magazine Guide to Pregnancy and Childbirth. Simon and Schuster. The New Parents Guide (2012). Diapers, Diapers ; More Diapers: â€Å"Cloth vs. Disposable†. Retrieved August 8, 2012, from http://www. thenewparentsguide. com/diapers. htm. Gentry, Pamela. (2010, January 23). Cloth Diapers Vs Disposable Diapers. Retrieved July, 29 2012, from http://www. livestrong. com/article/75705-cloth-diapers-vs. -disposable- diapers. Lehrburger, C. , J. Mullen and C. V.Jones. 1991. Diapers: Environmental Impacts and Lifecycle Analysis. Philadelph ia, PA: Report to the National Association of Diaper Services (NADS). Stone, Janis and Sternweis, Laura. Consumer Choice — Diaper Dilemma. Iowa State University University Extension. ID. # 1401. 1994. Retrieved August 10, 2012, from http://www. rockwellcollins. com/daycare/pdf/pm1401. pdf Scott, Juila. (2011. October 3). Cloth vs. Disposable Diapers: A Cost Comparison. Retrieved July, 16 2012, from http://www. mint. com/blog/consumer-iq/cloth-vs-disposable-diapers- a-cost-comparison-102011.

Sunday, September 29, 2019

Consumer Behavior Essay

Consumer behavior is an attempt to understand & predict human actions in the buying role. It has assumed growing importance under market-oriented or customer oriented marketing planning & management. Consumer behavior is defined as â€Å"all psychological, social & physical behavior of potential customers as they become aware of, evaluate, purchase, consume, & tell others about product & services†. * Each element in this definition is important. * Consumer behavior involves both individual (psychological) processes & group (social processes). * Consumer behavior is reflected from awareness right through post-purchase evaluation indicating satisfaction or non-satisfaction, from purchases * Consumer behavior includes communication, purchasing & consumption behavior * Consumer behavior is basically social in nature. Hence social environment plays an important role in shaping buyer behavior. * Consumer behavior includes both consumer & business buyer behavior In consumer behavior we consider not only why, how, & what people buy but other factors such as where , how often, and under what conditions the purchase is made. An understanding of the buyer behavior is essential in marketing planning & programmes. In the final analysis buyer behavior is one of the most important keys to successful marketing. MAJOR FACTORS INFLUENCING BUYER BEHAVIOUR CULTURAL FACTORS Cultural factors exert the broadest and deepest influence on consumer behavior. The roles played by the buyers culture, sub culture and social class are particularly important. * CULTURE- Culture is the most fundamental determinant of a person’s wants and behavior. The growing child acquires a set of values, perceptions, preferences, and behavior through his or her family or other key institutions. * SUB-CULTURE- Sub-culture includes nationalities, religions, racial groups, and geographical regions. Many sub-cultures make up important market segments, and marketers often design marketing programs tailored to their needs. * SOCIAL CLASS- Social classes are relatively homogenous and enduring divisions in a society, which are hierarchically ordered and whose members share similar values, interests, and behavior. Social classes do not reflect income alone but also other indicators such as occupation, education, and area of residence. SOCIAL FACTORS * REFERNCE GROUPS- A Person’s reference groups consist of all the groups that have a direct or indirect influence on the person’s attitudes or behavior. Groups having direct influence on a person are called membership groups. * FAMILY- The family is the most important consumer buying organization in society, and has been researched extensively. Family members constitute the most influential primary reference group. * ROLE AND STATUSES- A person’s position in each group that he participates throughout his life –family, clubs, and organizations can be defined in terms of role and status. A role consist of activities that a person is expected to perform. Each role carries a status. Marketers are aware of the status symbol potential of products and brands. PERSONAL FACTORS A buyer’s decisions are also influenced by personal characteristics. These include the buyer’s age & stage in the life cycle, occupation, economic circumstances, lifestyle, personality & self concept. * AGE & STAGE IN THE LIFE CYCLE- People buy different goods & services over their lifetime. They eat baby food in the early years, most foods in the growing & mature years & special diets in the later years. People’s taste in clothes, furniture & recreation is also age related. * OCCUPATION- A person’s occupation also influences his or her consumption pattern. Marketers try to identify the occupational groups that have above – average interest in their products and services. A company can even specialize its products for certain occupational groups. * ECONOMIC CIRCUMCTANCES- Product choices are greatly affected by one’s economic circumstances. Economic stability consist of their spend able income (its level, stability and time pattern), saving a nd assets (including the percentage that is liquid), debts, borrowing power, attitude toward spending versus saving. * LIFESTYLE- People coming from the same subculture, social class & occupation may lead quite different lifestyles. A person’s lifestyles the person’s pattern of living in the world as expressed in the persons activities, interests & opinions. * PERSONALITY AND SELF-CONCEPT- Each person has a distinct personality that influences his or her buying behavior. By personality, we mean a person’s distinguishing psychological characteristics that lead to relatively consistent and enduring responses to his or her environment. Personality can be a useful variable in analyzing consumer behavior, provided that personality type can be classified accurately and that strong correlations exist between certain personality types and product or brand choices. PSYCHOLOGICAL FACTORS A person’s buying choices are influenced by four major psychological factors-motivations, perception, learning, beliefs and attitudes. * MOTIVATION- A person has many needs at any given time. A need becomes motive when it is aroused to a sufficient level of intensity. Motivational researchers hold that each product is capable of arousing a unique set of motive in consumers. * LEARNING- When people act they learn. Learning involves changes in an individual’s behavior arising from experience. Learning theory teaches marketers that they can build up demand for a product by associating it with strong drives, using motivating cues and providing positive reinforcement. * PERCEPTION- Perception is the process by which an individual selects, organizes, & interprets information inputs to create a meaningful picture of the world. A motivated person is ready to act. How the motivated person actually acts is influenced by his or her perception of the situation. * BELIEFS & ATTITUDES- A belief is a descriptive thought that a person holds about something. Through doing & learning, people acquire beliefs & attitudes. These in turn influence their buying behavior. Particularly important to global marketers is the fact that buyers often hold distinct disbeliefs about brands or products based on their country of origin. An attitude is person’s enduring favorable or unfavorable evaluations, emotional feelings, and action tendencies towards some object or idea. People have attitude toward almost everything: religion, politics, clothes, music, food, and so on. Attitude put them into a frame of mind of liking or disliking an object, moving toward or away from it.

Friday, September 27, 2019

Maintain the Profitability of the Cinema Term Paper

Maintain the Profitability of the Cinema - Term Paper Example A cinema manager requires a much-diversified personality to handle the programs of the cinema, customers, and employees of the company. Along with his set of responsibilities, the cinema manager requires to conduct marketing so that more people visit the place.   He also requires handling budget affairs to ensure that the highest quality of the film is depicted along with its availability and the response it is getting from the audience. (Kleynhans, 2006)The role and responsibility of the passionate candidate will be as follows; The manager requires, being able to lead all the operations of the cinema. He is required to plan, develop and initiate such programs through which the cinema can advertise movies. He should also be required to recruit and train the staff which is under his control and also manages shifts and payment of the staff. The budget of the cinema is also in its control. The manager also needs to ensure that all the staff pertaining in the company are met with health and safety regulations in the venue, and there are facilities provided to the staff if they are inhibiting any issues (Kleynhans, 2006). The cinema manager requires being able to have collaboration with the different representatives in the community to promote films in the local society. He should be aware of the upcoming movies, the demand of the audience people in general. Through these collaborations with the audience and community, the cinema manager can ensure that people get the opportunity to view the movies which are in demand and a target can also be set by these people to watch a particular movie every month or year (Cooper, Ivan, & Tinline, 2003). The cinema manager requires promoting films through events at the cinema. This can be done by hosting the films at the cinema, especially introducing film premiers and other film festivals that will be able to promote films (Edenborough, 2007). It is the responsibility of the cinema manager to deal with the inquiries of the audience or the press relating cinema. The manager should be able to solve any issues or complaints regarding an attribute of the screening.

Employee's Role in Employee Development Assignment

Employee's Role in Employee Development - Assignment Example Because the subject of employee development is a shared responsibility, it cannot be expected that there will be a single person within the organization who will take the whole responsibility for ensuring that the objectives that are set are met (Ellis, K. (2004). This means that the responsibility of ensuring the achievement of the objectives must be shared between employees and the management. Whiles employees are expected to act as direct respondents to the objectives set, the management has a responsibility of acting as facilitators of the objectives. This situation is actually expected to apply for both short term and long term objectives. As facilitators, the management is expected to provide employees with every needed resource to fulfill the objectives. In terms of the measurability of the objectives also, shared responsibility is expected to be shared between employees and management. Based on previous experience, it has always been the case that whereas employees want easier objectives, managers look for more challenging objectives. To strike a balance, it is always important that there will be an effective liaising system between employees and managers so that each side will understand the other in terms of accounting for measurable

Thursday, September 26, 2019

Manchester United Take Over Case Study Example | Topics and Well Written Essays - 3500 words

Manchester United Take Over - Case Study Example Acquiring the Man United brand means more than just owning a trademark. Brand acquisition gives an opportunity for brand exploitation. And nowhere is brand exploitation more rampant and unrestrained than in the United States. As a hunting ground to further the Man United brand image, the US holds vast potential, and this is where Glazer's extensive marketing skills and resources come into play. But the US market is very competitive. Soccer has to contest with traditional American sporting pastimes like baseball, American Football and basketball. Soccer's rising popularity though, over the past ten years due in part to the 1994 World Cup held in the states could make Man United a household name as is the case in other countries around the globe. Even in Asia where Man United has a huge base of fans who neither speak English nor know where Britain is, brand image has rooted itself in the public mindset. Contrary to popular perceptions, Man United already has a fan following in the US, albeit a small one. When they played the Champion World Tour of exhibition games two years in a row the average crowd attendance was over 65,000 for each game, exceeding that of some NFL games. Americans know about the club through soccer telecasts and the products available on the streets. Merchandising had also made business there but in a small way, yet better than all the US Major Soccer Leagues put together (Chris Isidore). With more co-coordinated marketing efforts in the media (cable and DTH), wider coverage of soccer games, increased media exposure to star players and a retelling of past glories and successes, the Man United brand can further cement itself into the American collective conscience, reaching iconic status in a few short years. The mere purchase of the club puts the Glazers half way towards making Man United a household name. But there is still some way to go. There are other advantages in associating with a brand as well known as Man United. It gives Glazer's other businesses better commercial prospects. When a brand publicly joins forces with a marketing juggernaut, the value of both, in terms of market exposure and business opportunities multiplies. For Glazer whose diverse business portfolio at least in the US include food service equipment, packaging and supplies, marine protein, broadcasting, health care, real estate, banking, natural gas and oil protection, Internet publications, stocks, government securities and corporate bonds, the introduction and expansion of these businesses in Britain as a result of this acquisition gains importance (Bill Hutchison). Glazer's ventures may unhesitatingly attract investment in the hopes that the new businesses will pay rich dividends in the future. But these ventures may suffer if Man United's brand persistence is challenged by rivals. Sustaining the brand position therefore requires the footbal l team to maintain a high success rate. The business side of the club must take a back seat to allow team management to

Wednesday, September 25, 2019

Journal Essay Example | Topics and Well Written Essays - 1000 words - 2

Journal - Essay Example What kinds of websites can be found on the Darknet? Web sites that can be found on the DarkNet are those of nasty or at the very least, unlawful activities including pedophile rings, arms sales or illegitimate drugs; websites that have something to hide. It is notable that websites on DarkNet are those that support things such as private communications, private communities like those who look for anonymity on the web, and besieged file sharing community. DarkNet also contains websites for outright criminals and is the source of the majority of the sneakiest attacks on the private and public infrastructures of the web (Smith, 2009). Why don’t authorities shut down these web sites? The DarkNet is a deeper and more difficult to access parts of the internet. It is not possible to police the internet in its entirety since individuals as well as groups are always devising new ways of remaining off the grid. Thus, the websites cannot be shut down since the people and groups behind th em will always revive them. The authorities would always battle with the DarkNet (Thomas, 2013). Are there valid reasons for the Darknet to exist? Even though DarkNet is a haven a perverts as well as arms dealers, it can also be seen as a citadel of a more dignified cause, that of free speech. It is of note that many nations around the world do not offer their people the freedom of speech. DarkNets offer every user the power of speaking in a free manner with no fear of persecution or censorship (Thomas, 2013). Making Hidden Services anonymous has been a refuge for dissenters in countries such as Mauritania, Lebanon as well as nations that were marred by the Arab Spring. DarkNet is utilized to host blogs in nations wherein the exchange of ideas is disapproved of. Moreover, DarkNet websites also reflect sites which draw corporate or governmental angst, like Wikileaks. Other than granting a bastion of free speech, DarkNet websites also help organizations to increase their security inte lligence, and as a result, it enhances their security posture. Using DarkNet, security administrators could identify scanning activity devoid of employing complex analysis technology that requires committing already overstrained resources, and, with a decreased incidence of false positives (Smith 2008). Reference Smith, M. (2009). DarkNets. Montreal, Canada: CRC Press. Thomas, G. (2013). The Silk Road is Shut Down, and the Owner Is In Custody. Retrived from http://motherboard.vice.com/read/the-silk-road-is-shut-down-and-the-owner-is-in-custody Part 2: Privacy In general, which privacy policies do the applications have in common? The following privacy policies are common in all the applications: All collect private information of the users. Policy on now they collect, use and share the information collected from users. Policy on the choices which the privacy policies offer the users, such as how to update and access information. Policy on the circumstance under which personal informa tion of the users will be shared with other parties – it will only be shared for legal reasons. Policy about information that will be always public. Which are different? Only Twitter has policy towards children, stating that the services it provides are not directed

Tuesday, September 24, 2019

The Contemporary Hospitality Industry Assignment - 1

The Contemporary Hospitality Industry - Assignment Example Since then things have changed to a great extent and to comply with it changes hospitality industry has witnessed significant amount of developments. The industry which functions today in the marketplace is quite different from the one that used to operate during the early days. Currently, the hospitality industry is dubbed as one of the growing industries of the world and is characterized as dynamic. The hospitality sector is a bigger term and encompasses a large number of industries within itself (Clark, Hartline and Jones, 2009). For example, catering industry, hotels and a certain segment of the service industry falls within the hospitality industry. In addition, the tours and travel industry also falls into this sector. After the liberalization of the world economy, the industry has witnessed booming growth. Furthermore, efforts by respective governments have greatly helped in promoting hospitality industry and to add to that steady growth in the tours and travel industry facili tated the overall growth of the hospitality sector. Hence, it is evident that presently hospitality industry operates on a large scale and scope and along with that encompasses a huge diversity (Brownell, 2009). Figure 1 – Hospitality Industry share (Source: Sykes, 2011) The diagram above clearly shows that the industry is presently witnessing a steady growth and it is expected that in the next few years the rate of growth will actually double. Analysts predict that if the tours and travelling industry grows, other industries such as hotel will grow parallel with it (Ellis and Stipanuk, 1999). Hence, it can be concluded that with better marketing efforts, quality services and better customer service it is obvious that the industry will grow at a robust rate. If a comparison with other industries is carried out, many differences can be identified. However, one of the most evident one appears in the form of organizational structure. Every company belonging to the hospitality se ctor, irrespective of their size and complexity embraces an organizational structure that enables the organization to carry out daily operation. Usually, such companies employ a large number of people with a variety of skill sets, yet this diversity of the workforce is organized in different ways. In general, companies belonging to this sector follow functional organizational structure where the organization embraces separate department for each specialized activity. This increase the operational efficiencies of the company and at the same time allow them in providing high rate of satisfaction to the customers. Below is an example of the typical organizational structure followed by the hotel industry. Figure 2 – Organizational Chart (Source: Hotelmule, 2009) A review of the organizations and professional bodies in the hospitality industry Every stakeholder group has certain functions of the organization that helps an organization to operate efficiently in the marketplace. A s takeholder is a person, a group or an organization that can be affected or can affect the action of an organization. A stakeholder of a firm can be its suppliers, business partners, employees, consumers, lenders, investors, shareholder as well as the government. Each of this group somehow plays proactive roles in running the daily operation of a firm. However, the roles and responsibilities depend upon the degree of association. For example, a manager’s role is considered as vital in driving customers and ensuring a high level of customer

Monday, September 23, 2019

How to prevent an overmedicated society Essay Example | Topics and Well Written Essays - 500 words

How to prevent an overmedicated society - Essay Example A number of solutions are available for preventing overmedication. A more effective way for preventing overmedication is through treating bodies well before a person gets sick to prevent sicknesses from creeping in. Individuals need to east healthy and balanced diet, exercise well and regularly, drink plenty water, avoid the intake of toxins like alcohol and smoking and get enough sleep. All of these activities contribute to a healthy immune system thereby truly keeping a person’s body healthy and free from sicknesses (Reger-Nash, 6). Individuals need to be more aware of their health, question what is really in food and become very fit so as to avoid developing conditions like obesity. The second effective solution is taking care of the environment. We need to care for the environment for it always takes better care of us. Individuals need to be skeptical about certain prescribed medications. We need to see prescription as last resort and not as the first suggestion for any condition. For instance, in the case of depression, we need to first explore other forms of treatment like exercise and counseling and only seek prescription only after such ways have been attempted and found to be unsuccessful. Therapy for depression should be made common to prevent overmedication (Reger-Nash, 6). In addition, individuals need to understand the problem as well as the solution to avoid medication. Most importantly individuals need to know their bodies and understand what works for them individually. Even though sometimes people want to do something for them to appear to be in control of the situation, the best method of preventing overmedication is to wait and ride the condition out (Reger-Nash, 6). The immune system often beats the cold virus if given a chance. The high blood system could be managed by simply reducing the salt intake instead of taking medication every morning. Since we are living

Sunday, September 22, 2019

IDEA and Special Education Annotated Essay Example for Free

IDEA and Special Education Annotated Essay Bowen, S. and Rude, H. (2006). Assessment and students with disabilities: Issues and challenges with educational reform. Rural Special Education Quarterly, 25 (3), pp. 24-30. Retrieved October 14, 2008, from Academic Search Premier database. Bowen and Rude pointed out that the 2004 reauthorization of IDEA reflected an effort to align IDEA with NCLB. This article focuses specifically on the problem of accountability, eligibility for special education services, summary of performance, and transition services for special education students. Also included are guiding principles for selecting appropriate accommodations for assessments. Ketterlin-Geller, L. (2007). Recommendations for accommodations: Implications of (in)consistency. Remedial and Special Education, 28 (4), pp. 194-206. Retrieved October 14, 2008, from Academic Search Premier. The author noted the importance of appropriate accommodations for students who have special needs. Unfortunately, student IEPs are often not aligned with the actual accommodations that are made in the classroom. This disagreement between the classroom teacher and the IEP team results in inconsistent accommodations which, according to Ketterlin-Geller, have a negative effect on student outcomes. The author outlined several possible causes for these inconsistencies. Ketterlin-Geller concluded, Regardless of the root cause for the disagreement between IEPs and teachers, the current system is placing teachers in the awkward position of enacting a set of predetermined, legally binding guidelines with the intention of providing the support needed for their students to succeed. Lynch, S. and Adams, P. (2008). Developing standards-based Individualized Education Program objectives for students with significant needs. Teaching Exceptional Children, 40 (3), pp. 36-39. Retrieved October 14, 2008, from Academic Search Premier. Lynch and Adams noted the apparent conflict between the expectations of NCLB and the requirements of IDEA described guidelines that may be used to help districts to develop assessments that are inline with student IEPs. This article focuses on developing assessments that address pre-symbolic levels of learning, early symbolic learning, and expanded symbolic levels of learning. National Education Association (2004). IDEA and NCLB: Intersection of Access and Outcomes. Retrieved October 14, 2008, from http://www. nea. org/specialed/images/ideanclbintersection. pdf This 47-page booklet describes the implications of NCLB for IDEA. Section One of the booklet addresses standardized assessments for students with disabilities, including acceptable accommodations under NCLB. The booklet also addresses how special education may affect Annual Yearly Progress (AYP) reports. The text includes several links to documents that may be used for policy guidance for districts that are developing policies for special education. Turnbull, H. (2005). Individuals With Disabilities Education Act Reauthorization: Accountability and personal responsibility. Remedial Special Education, 26 (6), pp. 320-326. Retrieved October 14, 2008, from Academic Search Premier database. Turnbull noted that IDEA 2004 reflects the concept that the teacher, the school, and the federal government share in the responsibility of improving student outcomes. Turnbull argued that this scope of responsibility must also include parents and students if learning and student achievement are to take place. U. S. Congress (2002). No Child Left Behind Act of 2001. Public Law 107-110. 2002. Retrieved October 14, 2008, from http://www. ed. gov/legislation/ESEA02/107-110. pdf This is the full text of NCLB. Altogether, the law is 670 pages long. The sheer volume of NCLB makes it difficult for many parents and school administrators to read through understand. References to IDEA and special education are spread throughout the bill; however, the most reference with the most significance for special education is found on page 1448-1449, in which not less than 95 percent of students, including students in special education, are required to take assessments with accommodations, guidelines, and alternative assessments provided in the same manner as those provided under the Individuals with Disabilities Education Act (IDEA). U. S. Congress (2004). Individuals with Disabilities Education Improvement Act of 2004, Public Law 108-446. Retrieved October 14, 2008, from http://www. copyright. gov/legislation/pl108-446. pdf The full text of the 2004 reauthorization of IDEA. It is interesting to note that although IDEA 2004 was passed 2 years after the enactment of NCLB, there is no reference to NCLB in IDEA 2004. IDEA 2004 does note, however, that all children with disabilities are included in all general State and districtwide assessment programs (p. 40). Provisions are also made for alternative assessments. The philosophy of NCLB is also reflected in the IDEA 2004 requirement that states and school districts shall report the number of students who required an alternative assessment and how those students performed on the assessment (p. 41). Voltz, D. and Fore, C. (2006). Urban special education in the context of standards-based reform. Remedial and Special Education, 27 (6), pp. 329-336. Retrieved October 14, 2008, from Academic Search Premier. Critics of NCLB have argued that children from low-income families are more likely to have difficulty passing standardized assessments. Voltz and Fore pointed out that education does not occur in a vacuum. To be effective, education reform must be linked to broader social reform, including reforms that reduce poverty and that address the effect of poverty on student achievement. Wakeman, S. , Browder, D., Meier, I. , and McColl, A. (2007). The implications of No Child Left Behind for students with developmental disabilities. Mental Retardation Developmental Disabilities Research Reviews, 13 (2), pp. 143-150. Retrieved October 14, 2008, from Academic Search Premier database. This review addresses how to develop appropriate alternative assessments for children who have developmental delays and the implications of NCLB for curriculum and instruction for these children. The authors encouraged teachers to work towards meeting challenging academic standards for their students with developmental delays and noted that there is no research indicating that functional skills must be mastered before academic learning can take place. Wakeman, et al. , also pointed out that the requirements of NCLB may make it more difficult to recruit and to retain teachers who are qualified to work with this population. Wasta, M. (2006). No Child Left Behind: The death of special education? Phi Delta Kappan, 88 (4), pp. 298-299. Retrieved October 14, 2008, from Academic Search Premier. In this editorial, Wasta argues that NCLB includes unrealistic expectations for the educational outcomes of students with disabilities. Wasta fears that NCLB may lead some schools to eliminate their special education programs altogether. Despite his concerns about NCLB, Wasta contends that special education students should not be exempt from assessments and other provisions of the law. Instead, NCLB should be modified to include realistic expectations for special education students and special education programs.

Saturday, September 21, 2019

Political Psychology Essay Example for Free

Political Psychology Essay Rape victims, survivors of plane crashes, combat veterans, and others who have experienced extremely traumatic events may react emotionally with a posttraumatic stress disorder. This reaction is characterized by involuntary reexperiencing of the traumatic events, especially the original feelings of shock, horror, and fear, in dreams or flashbacks. In addition, victims experience an emotional numbing in relation to everyday events, associated with feelings of alienation from other people. Finally, the emotional pain of this reaction can result in an increase of various symptoms, such as sleep problems, guilt about surviving, difficulty in concentrating, and an exaggerated startle response (Calkins, 1996). The Situation: 9/11   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   A more recent example was the 9/11 incident. The safety and protection that was a seal of American social order was devastated by the 9/11 aftermath. The American people who have gone through the bereavement of either of their parents, brothers, sisters, next of kin, or friends may well be putting up now with overpowering anguish. They will want all the emotional assistance they can obtain and they will need an extended recovery period. Life will never look the same again for any oblivious or sentient American people, but the young people who have upheld personal fatalities may need considerable support from qualified, compassionate specialists (Skene, 2001).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The world is not in the slightest peaceful, but at present, there is no security issue taking center stage and the situation in the 9/11 assault is no exception. The 9/11 event had impressed upon America a greater sense of threat at the advent of the new millennium. The 9/11 terrorist attacks incited terror, fury, grief, revulsion, fear, empathy, bewilderment, melancholy, retribution sundry reactions in a nation that was everlastingly changed. To translate the mixed reaction of a private individual in a more politically relevant sense, it is wise to recall how then Senator Edward Livingston could be more important at these times with his words in a debate on the Alien and Sedition Acts: â€Å"†¦we are absurd enough to call ourselves free and enlightened while we advocate principles that would have disgraced the age of Gothic barbarity† (Skene, 2001).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   They may well not entirely come to terms with the intangible theories thrashed out by counselors or on the television newscast but are prone to be directed in their thoughts by a distinct discernment of validity. They may have dealings with a diversity of sentiments and impressions, and their articulation may subsume mimicking or self-deleterious actions as a way of dealing with their retaliation, fury, and despondency. A number of children at this phase may demonstrate a reluctance to speak of their sentiments and thoughts (Dunn, 2001). The Psychology of Situation: Posttraumatic Stress Disorder   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The emotional responses of posttraumatic stress can occur immediately following the disaster in an acute form and subside over a period of several months or can persist, becoming a chronic syndrome often called the residual stress pattern. In other cases, people may show no immediate reaction but may experience a full-blown posttraumatic stress disorder after a delay of months or even years. Clinicians are still discovering veterans of World War II and the Korean War who are displaying residual or delayed posttraumatic stress disorders (Hinkle, 2004).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   This delayed posttraumatic stress syndrome has been a special problem in the case of Vietnam veterans. The problems of many seemed to be made worse by feelings that they had been rejected by an unsympathetic American public and that they had been betrayed by their government and had spent important years of their lives in a wasted effort (Bornstein, 1994). In a study of Vietnam veterans with combat experience, called the â€Å"Forgotten Warrior Project,† John Wilson, a psychologist at Cleveland State University found that (Kagan, 2004): Their suicide rate was 23 to 33 percent higher than the national average. Of those who had been married when they left the United States, 38 percent were divorced within six months after returning. The rate of hospitalization for alcoholism or drinking problems was high and increasing. About half of them still had some emotional problems related to adjustment of civilian life. Brian Seaward is one of the authors that delved into the realm of stress and its health consequences. Seaward notes that aside from the special life events that may be experienced by almost everyone, the most appreciable part of the list is the concept of change.   This implies that change may be in tandem with stress as being a natural part of modern-day living.   That change is the ultimate source of stress.   â€Å"Change becomes a powerful stressor agent because it necessitates adaptation whether it is perceived as a negative or positive experience† (Calkins, 1996). The important features of posttraumatic stress disorder, according to Seaward, are cognition and stress.   Stress affects cognition as anxiety intrudes on one’s consciousness as demonstrated by his unstoppable pangs of emotion, excessive preoccupation with the threatening situation or person, startling reactions, and other unwanted sensations.   It may also impair memory and attention during cognitive tasks.   It may also enhance attention, principally regarding memories of the stressor but repetitive thoughts can perpetuate stress and make it chronic (Calkins, 1996). Seaward also enumerates the emotional signs of health hassle, which are among others, anxiety, irritability, increased aggression, lack of enthusiasm, depression, alienation, and low self-esteem. Indecision, impaired judgments, lack of concentration, lapses in memory, and absentmindedness are some cases of mental drawbacks caused by health troubles. Seaward also shows that there are individuals who are more prone to health troubles than others.   As a result, the ability to cope with poor health is not the same with everyone. For instance, effective coping with stress depends upon how people go about their day-to-day lives. Lifestyle is a key factor in determining the likelihood of an improved posttraumatic stress disorder (Calkins, 1996). Posttraumatic stress disorder is usually coupled with feelings of sadness, discouragement, and dissatisfaction and usually occurs with other symptoms, such as feelings of worthlessness or guilt, decreased energy, and suicidal thoughts. Just as one can have the flu and bladder infection at the same time, it is quite possible, especially in the milder forms of bipolar disorder, to be both abnormally depressed and anxious at the same time (Dunn, 2001). Survivors of extremely traumatic experiences such as 9/11 are sometimes left with special anxiety problems. Some act as if they have been by the shock of their ordeal. Their interest in life is diminished, and they feel alienated from the people around them. Others develop a tendency to remain constantly on the alert, as if disaster is sure to strike again at any moment. They tend also to startle easily. People who have lived through auto crashes may panic at the sound if cars in the night. Those who have endured a mugging or rape may respond with a start whenever they hear strange sounds, and some former prisoners o war and hostages report similar reactions whenever they hear approaching footsteps (Skene, 2001). Survivors of psychological trauma are likely also to keep reliving their experience. They suffer from nightmares in which the shattering episode is reenacted in all its terrifying detail, and by day they find themselves suddenly overwhelmed by harrowing memories whenever they are exposed to situations that even remotely resemble the original event (Garcà ­a, 2005). There is evidence also that mood disorders are related to disturbances in the brain, to such an extent that the symptoms sometimes appear without any provocation. Neither the depressed individual nor the close family and friends can point to any unusually stressful event that might have caused a depression (Dunn, 2001). The Responsive Behavior of the Young and the Old Posttraumatic stress reactions can occur at any age.   Some people get over the traumatic experience of 9/11 soon enough, but others are troubled by symptoms for years on end. A number of elderly concentration camp survivors broke down completely decades after their ordeal was over when they had to be hospitalized for medical reasons. The experience was sufficiently similar to imprisonment to reopen fully the old psychological wounds (Garcà ­a, 2005). Children endure with bereavement a lot in the vein of adults, but with still not as much of discernment (Garcà ­a, 2005). When taking children in hand, it is imperative to recognize that they almost certainly discern more than what parents grant them credit for. Despite the fact that parents inherently desire to safeguard their children from pain, even the youngest kid understands that something is dreadfully wrong and yearns to grasp why the every adult distraught and in tears. This protective attitude merely serves to deprive the child of a chance to learn more about grief management and coping skills, which are indispensable throughout a person’s life, especially when he or she continues live in the absence of any parent who is supposed to shield them from deep sorrow since it is the parent or any close relative who has passed away (Garcà ­a, 2005). It is essential to acknowledge that every child is inimitable in his or her comprehension of the entire process of death. This discernment hinge on their developmental phase, intellectual skills, teachings by parents, teachers, and significant others, personality attributes, imagery in the media, spiritual convictions, and prior incidents of death induced by 9/11 (Hinkle, 2004). Nevertheless, there are a number of consequential factors that will be useful in comprehending how young people live through and cope with death and its aftermath (Dunn, 2001). Coping strategy of an individual’s behavioral and psychological efforts to buffer or minimize environmental and internal demands of posttraumatic stress disorder. Coping means that the person is â€Å"taking charge of his or her own life and is seeking the resources needed to solve current problems† (Garcà ­a, 2005). Seaward furthers that although the coping strategies used by individuals are often distinct, coping temperaments are to a large extent acquired from the social environment. The manner in which people attempt to resolve stressful situations, the cognitive strategies that they use to downsize threat, and the techniques for handling tensions are largely gained from the groups to which they belong.   A person tries to contain the threat and beat stress in two ways, namely focusing on the problem and on the emotions (Bornstein, 1994).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Other grown-ups are overly wrapped up in their anguish to make an effort to comprehend how the firsthand witnesses of the 9/11 attacks fathom. Other people usually misconstrue the bystander’s demonstration of sentiments, characteristically hold themselves responsible for their fellowmen’s lamentation or rage. Therefore, even though it is likely for the entire people to express their sorrow in the presence of the world, it is essential to impart an elucidation to the terrorist that they can face the future more stalwartly. Discovering how to communicate their anguish, resentment, and apprehension will help Americans to contend with comparable disasters if truly inevitable in the future (Skene, 2001). Conclusion   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   No question about it; the 9/11 incident was the commencement of enlarged hostilities and vigilance as well. The imagery being broadcast was far too excruciating to behold. Mass terrorism is not a regular crime; it is an enormously terrible crime. Tens of thousands, more or less, are the terrorists’ target to inflict fatality or fear upon, and they are more than determined to rule the world. With continued weak will, no wonder how more people would struggle to stay untreated with posttraumatic stress disorder (Skene, 2001). Attitudes toward those with posttraumatic stress disorder have improved over time. Today, individuals with PTSD are fortunate enough to be treated in hospitals and clinics instead of being out away in prisons or asylums. But they are still far from universally accepted either within the family or community. How they are viewed by others can be critical. It can help determine whether they will recover sufficiently to function in society, or to continue to be overwhelmed by their symptoms and even get worse (Calkins, 1996). For a person with posttraumatic stress disorder, there is no clear-cut organic problem, no violation of basic social norms, and no loss of orientation to reality, but the individual shows a lifelong pattern of self-defeating and inadequate coping strategies aimed more at reducing anxiety than at solving life problems. By mental aberrations or psychological scars, the PTSD patient proves to others that he or she is impotent in the face of a threatening world (Dunn, 2001). Our growing understanding of posttraumatic stress disorder does more than enable society to reclaim its familiar stranger. In making sense of posttraumatic stress disorder, we are forced to come to grips with basic conceptions of normality, reality, and social values. And mind loosed from its stable moorings does not just go on its solitary way; it bumps into other minds, sometimes changing their stability (Kagan, 2004). Many PSTD patients are privately treated at home, while others have learned to conceal their disturbances and not act crazy in public. Still others act out their mental problems in ways that society does not judge as mentally disordered; perhaps joining the hate groups, or engaging in socially acceptable forms of violence. Just as unemployment statistics do not include all those who are chronically unemployed and have stopped looking for work, so, too, statistics on posttraumatic stress disorder omit those who suffer in silence, living a marginal existence on the fringes of society (Hinkle, 2004). Indeed, victims of posttraumatic stress disorder caused by 9/11 are usually beset by extremely difficult psychological and social problems. They are likely to be financially strapped, not only because the therapy can be expensive, but also it interferes with productive work. They tend to be outcasts from both the family and society at large. Often the only persons willing to give them serious attention are their fellow PTSD patients, which do not really help as negativity enlarges (Bornstein, 1994). Under such depressive, circumstance, they need considerable help to break free from prejudiced society and get a fresh start in life. References Calkins, Mary Whiton. (1996). An Introduction to Psychology. The Macmillan Company. Bornstein, Marc H. (1994). Psychology and Its Allied Disciplines. Lawrence Erlbaum Associates. Dunn, Edgar S. (2001). Abnormal Psychology. Resources for the Future. Garcà ­a, Cynthia. (2005). â€Å"Developmental Psychology.† Merrill-Palmer Quarterly. Hinkle, Gisela J. (2004). The Development of Modern Sociology: Its Nature and Growth in the United States. Random House. Kagan, Jerome. (2004). â€Å"The Limitations of Concepts in Developmental Psychology.† Developmental Psychology. Skene, Neil. (2001). â€Å"Sacrificing Freedoms in the Name of Saving Them.† Atlanta: Creative Loafing.

Friday, September 20, 2019

Philosophical Definition of Justice: The Role of Accounting

Philosophical Definition of Justice: The Role of Accounting What is Justice? Justice means different things to different people. It is very much a culturally determined concept that requires an innate understanding of a particular person or group of people. For the purpose of this research paper justice is defined as the judgment and process involved with making something that is wrong or bad, right and good. Justice helps us as a society distinguish wrong from right and corrects what is wrong by making it right. But what is right and what is wrong? What is fair and what is just? If something is wrong or unfair, how should society make it right? Such questions have been asked since the beginnings of human interaction. Perhaps under a monarchy justice, for right or wrong, is more easily determined as it is simply what the supreme ruler (or monarch) feels is just or fair. Under a monarchy or aristocratic rule, there is only one ruler and what that individual feels is right, just, or fair, simply is and often cannot be questioned. However, within the realm of more contemporary political systems such as democracy, the ideology of justice, while arguably more fair, can be much more difficult to establish and understand. Democracy, at least in theory, grants the power to the people and therefore places the burden of justice or defining what is fair or equal upon the masses. Since different people have different belief systems they are often in disagreement on what is right or what is fair and have differences of opinion when it comes to justice. Without the aristocracy, justice becomes a very argumentative and ambiguous concept. Philosophy, the Various Schools of Thought, and their Influence on the Ideology of Justice Disagreements over what is fair (or just) have been around since the beginning of time, almost certainly since the very first of human interactions. At first glance we probably think we have a fairly uniform understanding of what justice might or should be. For example if someone commits premeditated first degree murder, most would probably agree the individual should be jailed and, depending on your belief system, either face a life sentence in jail or the death penalty. If someone embezzles money from their company, most would insist the individual should be forced to make restitution and face additional criminal or civil penalty. But even in the seemingly straightforward examples above, and within the realm of a relatively homogenous audience (those reading this paper), one can already start to see how complicated the ideology of justice can be. For example, some have very strong feelings about the death penalty and insist that no crime, even murder, would justify ending another persons life. Additionally, some feel that crimes such as embezzlement are a form of victimless crime and would never warrant a punishment as severe as jail time since no one individual had been harmed. (Hanlin 2004, pp. 527) Within the relatively straightforward scenarios above, one can already begin to imagine the diversity of opinions as to what is just and fair. Should the murder be murdered? Should the embezzler be jailed? What if he only stole the money to pay for chemotherapy for his dying wife? Luckily, numerous philosophers and historians have provided us with rich literature that helps us decipher the complex ideology of justice. In fact, it is only after studying and critically evaluating several of these philosophers, their different schools of ethical and moral thought, and the way they define justice that one can start to understand the differences in perceptions of justice around the world. The next sections provide brief introductions into several of the various schools of ethical and moral thought and provide some insight into the individual philosophers that have undoubtedly helped to shape ours and others understanding of justice. It is only after considering the various schools of thought that we can start to understand the differences in the perception of justice that exist around the world. Utilitarianism Jeremy Bentham (1748-1832) was a utilitarian and insisted that justice is doing what will produce the greatest happiness for the greatest number of people. (Justice a Reader pg. 9) The utilitarian school of thought considers the principle of utility as the basis of moral law. Bentham defines utility as whatever promotes pleasure or prevents pain. (Justice A Reader pg. 9) The major criticism / objection to Benthams utilitarian principals come from the perspective that maximum utility, or collective happiness, may come at the expense of violating individual rights. (Justice A Reader pg. 9) In order to refute some of the criticisms of Benthams utilitarianism, John Stuart Mill (1806-1873) argued that the idea of justice rests ultimately on utilitarian considerations but also requires a respect for individual rights. (Justice A Reader pg. 9) But even with Mills approach to justice, it becomes extremely difficult to choose and/or decipher between individual rights and the majority or maximum utility. This often leaves us with questions of where to draw the line between the greatest good for the majority and the protection of individual rights. Libertarianism Milton Friedman and other libertarian thinkers were advocates of free markets and critics of government regulation. (Justice A Reader pg. 49) Underlying their (libertarians) laissez-faire stance is the idea that each of us has a fundamental right to liberty – a right to do whatever we want with the things we own, provided we do not violate other peoples rights to do the same. (Justice A Reader pg. 49) Contrary to utilitarian thought, libertarians would never sacrifice individual rights for maximum utility or the benefit of the majority. According to the Libertarians, only a minimal government is necessary. In essence the government should only be put in place such that it enforces contracts, protects private property, and keeps the peace. (Justice A Reader pg. 49) Justice would ensure that we own ourselves and the fruits of our labor, and therefore, as the proprietors of our own person, each of us has the right to decide what to do with our bodies and our labor, with the money we earn, and the goods we possess. (Justice A Reader pg. 49) Justice would be the protection of those rights as well as the individual rights of others. The biggest challenges to libertarian policy usually come in the form of paternalist and/or redistributive laws. Paternalist and redistributive laws typically are enacted such that a society can tax the rich to help the poor. While utilitarian principles strongly favor such laws, Libertarians typically argue that such laws are a form of coerced charity that makes every person the property (perhaps even the slave) of the majority. (Justice A Reader pg. 49) Pure Libertarianism teaches that welfare is a violation of individual rights. Liberationists believe that while the poor should have every right to better themselves, that right should not come at the expense of anyones individual right to what they own or produce. Egalitarian A third school of thought that attempts to define the role of justice in society is egalitarianism. John Rawls (1921-2002) was often described as an egalitarian liberal (Justice A Reader pg. 263) and defined justice as fairness. Rawls believed that justice is a social contract in which people come together to choose the basic principles that will govern their society and proposed that the way to think about justice is to ask what principles would be chosen by people who came together behind a veil of ignorance that temporarily deprived them of any knowledge about where they would wind up in society. (Justice A Reader pg. 203) Accordingly, Rawls moral reasoning requires us to be abstract from the particular circumstances in which we find ourselves (Justice A Reader pg. 203), and justice is the first virtue of social institutions, as truth is of systems of thought. (Justice A Reader pg. 203) Rawls rejected utilitarianism and believed that certain individual rights are so fundamental that utilitarian considerations should not override them. (Justice A Reader pg. 203) However, contrary to Freidman and the libertarians, Rawls did not believe that the results of a free market are necessarily fair and was not opposed to the taxation of the privileged to help the poor. In Rawls opinion it would be acceptable, under certain circumstances, to take from the privileged as long as it were helping the underprivileged. Accounting and Justice Regardless of how you define justice or what school of thought you most closely relate to, it is clear the accountant plays a significant role in the establishment and preservation of justice for society. Accounting is the language of business (Bloomfield, 2008) and without it justice cannot exist. Since the beginnings of specialization, when humans stopped being self sufficient and started specializing, bartering, and trading, accounting has become a critical part of human interaction. In todays society accountants serve in many roles critical to the defense and preservation of justice. For example, in the U.S., IRS accountants ensure that citizens pay the appropriate amount of tax, forensic accountants provide investigative services for criminal and civil proceedings, and many of the FBIs anti-terrorist agents use their accounting backgrounds to trace terrorist funding. History of the Spanish Empire One only has to look back a few hundred years to see a perfect example of how the role of an accountant can protect and help preserve, or fail to protect and preserve, an entire civilization. In his book For Good and Evil – The Impact of Taxes on the Course of Civilization, Charles Adams describes how tax fraud lead to the demise of one of the largest and most wealthy empires found in modern times – Imperial Spain. Around the time Christopher Columbus discovered the new world (the 14th and 15th centuries), the Spanish Empire was the strongest empire in the world which has never been equaled in terms of size or money. (Hanlin 2004, pp. 529) It controlled significant portions of Europe, the Americas, Africa, Asia, and Oceania (Australia and the Pacific Islands), and at its peak Spains conquered overseas empire was the largest the world has ever known. (Hanlin 2004, pp. 529) However, in the 17th century the vast empire started to disintegrate. Contrary to conventional wisdom, it was not the English fleet defeating the Spanish Armada that brought down the Empire, rather it was tax evasion and revolt by the masses against the patronage system that ultimately lead to the bankruptcy of the empire. After several revolts from within the empire, and long civil war, the Spanish Empire was forced to increase taxes to pay soldiers to put down the various rebellions. As a result, many of the people in the colonies engineered what was probably the best system of fraud and evasion that history has ever known. (Hanlin 2004, pp. 530) When the Spanish authorities tried to tax goods that passed through the major ports, the Spanish businessmen created complicated schemes to have silver and gold shipped to alternate ports away from the customs officials, even laundering it through foreign countries. (Hanlin 2004, pp. 530) In order to avoid the Royal Fifth – a 20% cu stoms tax and a 35% convoy tax on good from the colonies, the Spanish businessmen transformed commerce into one massive smuggling operation by avoiding the authorities and therefore the taxes. (Hanlin 2004, pp. 530) The Empire tried to stop the smuggling and division of money and goods away from the taxing authorities but simply did not have the means to control and stop the smuggling and tax evasion. As a result, the overseas empire could not defend itself and stealing the colonies of Spain became an international sport as most of the colonies were lost to the British, Dutch, and eventually the United States. Contemporary Accounting and Justice Given its role as the language of business, accountings integral role in society continues to grow as global economies grow and become increasingly interconnected. World GDP has grown from $1.34 trillion in 1960 to $60.6 trillion in 2008. (The World Bank, 2009). The Association of Certified Fraud Examiners estimates that in the U.S. 7% of total GPD is lost to fraud and injustice. (ACFE, 2008) When applied to a global GPD of $60.6 trillion loses resulting from fraud and injustices are estimated to have been $994 billion in 2008. $994 billion is a staggering number but in fact may be understated as many developing countries face an even higher percentage of fraud due to the lack of infrastructure and the ability to combat fraud. According the Corruption Perception Index (CPI), the U.S. ranks 19th (with 1st indicating the least amount of corruption) out of 182 countries surveyed for the amount of perceived corruption within a particular country indicating that, on a global scale, losses probably well exceed the trillion dollar mark annually. So who is best equipped to protect and defend the innocent from the injustices of fraud? The answer is simple, the accountants around the world. Accountants understand the language of business better than anyone and therefore are best suited to be the defenders of justice and fight the injustices that exist across the globe. Just or unjust, they may have even been able to preserve the Spanish Empire. Distributive Justice Another manner in which accountants play an integral role in society is through distributive justice. Utilitarian principles have led to many governments and societal systems that incorporate and rely upon paternalist or redistributive laws. For example, the U.S. and many other countries tax their wealthy citizens and use the funds to run social support programs for the poor such as welfare, unemployment, section 8 housing, etc. Such programs are a form of distributed justice. Robert Nozick describes distributive justice as follows: In contemporary political theory, distributive justice is primarily about the allocation of income, wealth, and opportunity. (Justice A Reader pg. 263) If distributive justice does represent the allocation of income and wealth, than who other than that accountant, who understands the language of business and taxation, would be best equipped to establish and preserve distributed justice? Another example of distributive justice and the role that an accountant plays is the concept of price gauging. Michael Sandel uses a great example in his teachings at Harvard when discussing the events that often transpire in the aftermath of a hurricane. Often, in the days following a major hurricane, for example Hurricane Charley in 2004 and Hurricane Katrina in 2005, local retailers charge prices for common goods such as bags of ice and gas powered generators in excess of 1000% of their normal price. (Justice, 2009) Should such practices be considered simply the effects of supply and demand or is it injustice on the part of the retailer in the form of price gauging? Regardless of your opinion on price gauging laws, it is evident the accountant is best equipped to understand and determine whether or not price gauging exists and how to best allocate monies. Who other than the accountant would understand all the transactions taking place between retailers and consumers? In both cases above, the enforcement of paternalistic laws and analysis of price gauging activities, accountants are the ones that ensure monies are appropriately being collected and allocated, thereby defending justice as a society sees fit. Justice and the Role of the Accountant Globally Increasingly, corporations and businesses are taking on the global environment. This requires that accountants and auditors be able to identify the different risks associated with international interconnectedness and be able counteract these risks with the necessary precautions. The global environment adds additional complications for the role of the accountant and actually increases the responsibilities as the defender of justice. In a global spectrum, there are many different laws and regulations and thus, the role of the accountant changes depending on the environment in which the rules are generated. Culture is a huge influence on accounting regulation. Additionally, culture is intertwined within the market and political forces that help to shape the resulting accounting system. The different interaction of these forces in an environment helps to determine the place of the accountant in the economic system, which has a direct effect on the accountants role as the defender of just ice. Justice can only prevail in a society that embraces it. Perceived levels of corruption can be indicative of the state of the economy of a particular country which can help to define or determine the role of the accountant. If there are very few cases of fraud, but high levels of corruption perception it can be an indication that the appropriate level of justice is not being achieved. If enforcement of laws and regulation is inconsistent then a tougher approach may be needed to combat corruption. Transparency International states that in order to minimize corruption there needs to be strong oversight by governments, law enforcement, media, and the society. If a country is lacking oversight, corruption can continue to get worse. As a result, the role of the accountant in these environments would be limited since rules, laws, and regulations are not embraced and enforced. Regulation is only part of the battle. Change will only be effective if it comes from a commitment that is made by businesses and governments of all sizes. Stronger institutional oversight is needed across the world. There needs to be strict legal frameworks and more alert regulation by enforcement agencies in addition to accountants and auditors that ensure lower levels of corruption. As noted in an article issues by Transparency International, persistently high corruption in low-income countries amounts to an ongoing humanitarian disaster. According to the CPI index, China has improved over last year showing that their efforts to reduce corruption by enacting reforms, the implementation of forceful investigation, and intense sentencing have created less perceptions of corruption than before, but still remains a very serious problem. Norways score indicates that as a result of some serious scandals that have emerged over the last few years there is a significant problem in the private and public sectors. However, a growing number of cases being investigated and prosecuted demonstrates that they are at least trying to make headway. Italy is declining in the corruption index because of severe fraud and corruption that exist in the public health system and because of the recent arrests of politicians and public officials in the Abruzzo region. France also has also seen several cases of public officials that were connected to corrupt activities surface recently. Somalia, having the lowest CPI score highlights that there is a link between economic and political collapse. Additionally, Iraqs score of 1.3 shows the importance of establishing solid and functioning institutions capable of preventing corruption and implementing the rule of law. In all cases, the examples provide insight and indicate a need for regulation and an increased role for accountants because justice is not being found. Accounting Regulation Globally Accounting rules can indicate a lot about a country. Accounting rules are created in such a way that they fit the environment that they exist in, which varies across countries and cultures. If society wishes to protect the investor, the accounting system will have disclosure rules that enable investors to gain information and protect themselves. While some countries are developing regulations that contain investor protection improvements, in many cases much more work needs to be done. The manner in which markets function and the way politics are conducted greatly affect accounting systems and often lead to drastic differences across countries. The role of the accountant and, furthermore, the way that justice is enforced will also vary greatly amongst countries. Common law countries differ from codified law countries because common law countries have an independent body to interpret the law. Accounting rules in common law countries are determined by the private sector and require lengthy disclosure since there are no close relationships with corporations. However, code law countries require that corporations be heavily involved the government. The government often includes banks, labor unions, and major suppliers in rule-making decisions. As a result, transactions in these countries tend to be focused more on private information. There are institutional differences between all countries. Institutional differences enable economic and accounting systems to differ, thus the role of the accountant and the justice that results will differ amongst these countries. Accounting regulation in Germany allows more discretion on the accountant because it is written in more general terms. However, in France the regulation is more rigid, enables less discretion, and thus provides less wiggle room on the part of corporations. In Switzerland there are very few disclosure requirements, which can facilitate the reporting of smooth earnings through the usage of hidden reserves. Further, some accounting systems are difficult to compare because they do not fit within any particular mold. For example, the accounting system in Finland was created specifically for use by the foresting industry. By looking at international comparisons of accounting systems, it is evident there is no single way of performing accounting. As a result, the accounting rules are different and change to become an integral part of the markets and politics of each country and culture. Market demand affects the financial statements because the corporations must pay to prepare them. The political environment is important because the government has the ability to control regulators and possibly interfere with regulation. In order to perform and understand the different accounting processes, accountants must be aware of the different forces that exist in a particular country. By being aware of the different forces, accountants will be able to more aptly ensure that justice prevails in the country they operate. As evidenced above, accounting regulations vary across countries, time, and cultures which causes significant variations in the role of the accountant. While countries have been extending efforts to strengthen accounting rules and oversight, this alone cannot and will not prevent future fraud. (Leuz, 2002). But there are many benefits to implement strong laws and enforcement in order to protect shareholders rights. U.S. firms are not the only ones experiencing problems, as many firms globally are suffering from accounting irregularities. Some countries experience self-dealings and misappropriations of profits because of weaker legal measures. Weak legal measures create a greater incentive to manipulate the financial statements to conceal poor business performance. Manipulation is less apparent in places where outside investors have legal rights to vote out corrupt managers. However, manipulation is predominant in places like Austria, Italy, Germany, Southeast Asia, South Korea and Ta iwan, because they do not have investor protection. East Asian Perspective The East Asian countries, Hong Kong, Malaysia, Singapore, and Thailand can help accountants see the way that accounting standards interact with the incentives of managers and auditors. (Ball, Ashok, et al, Incentives versus standards) The accounting standards in these countries come from a common law environment. Common law countries generally create high quality financial reporting. However, in these countries the preparers incentives generate low quality financial statements. The preparer incentives again, depend on the market and political forces and how these forces interact with one another. Market forces are dependent on the demand for high-quality financial reporting. The political forces depend on the government involvement in the creation and enforcement of the regulation. The interaction of these forces with the accounting system can drastically change the role of the accountant in these countries. The standards themselves are viewed as high-quality, but the institutional s tructure creates incentives for preparers incentives to issue low-quality financial reports. Financial reporting in East Asia generally exists with an incentive structure that is similar to a code-law model. However, the East Asian countries do not follow that model. Their governments have code-law reporting incentive features, but also have indications that the environment reduces the financial reporting quality. The large amount of family-owned businesses and enterprises is a cause for the low need of quality financial statements. One family generally owns investments that are inter-related. These networks are commonly referred to guanxi networks. These networks attempt to take away the demand of required disclosures and timely loss recognition and it also reduces the communication required with stakeholders. The extent of government involvement in the standard setting and the financial reporting practice differs across these countries. Political factors can create an incentive to hide large profits and losses. The political environments in these East Asian countries have a tendency to want companies to succeed, so they recommend companies hide losses. They also are afraid of other countries becoming involved in their practices because they do not want to be held accountable for any misstatements. The companies are also expected to report smooth earnings, which reinforces the desire to report, cover, and hide losses. Litigation is minimal in these countries since there is a large incentive to hide earnings, which the government reinforces. There have been very few cases of judicial actions in these countries. Audit quality in these countries is poor primarily due to lack of auditor independence. The influence and independence of the accounting profession is an indicator of ineffective enf orcement of accounting standards. Considering the financial incentives for managers and auditors there is a greater incentive for reduced timeliness and conservatism in accounting earnings. Fraud is continuing to go undetected in Hong Kong. Although there is a 22% incidence of fraud, much more is expected to be going on given the different forces that are currently having an effect on the country. As a result, currently more scrutiny is being given to the monitoring of financial transactions and corporations are beginning to make it a priority. There are currently programs that are offered for certification in forensic accounting, which is having an impact on fraud detection. Most of the fraud cases that exist in Hong Kong are internet banking fraud, computer fraud, misuse of corporations credit card, and electronic funds transfer fund. There is a need for more forensic accountants in Singapore in order to ensure sufficient justice as many significant fraud cases are going undetected. Two important fraud cases involved Fibrechem Technologies and Oriental Century. In the Fibrechem Technologies audit, Ernst Young Singapore were not certain of the cash and trade debtor balance. KPMG had the same problem with Oriental Century. Another notable case is one in which a Singapore monk, who was in charge of Singapores well-known charities, received 10 months in prison for committing fraud. In Malaysia, the role of accounting in the fight for justice is very small. Crimes are beginning to become more and more complicated and controlled but forensic accounting is viewed as a service that only larger companies can afford. This makes catching fraud more difficult. Cases that are investigated are generally handled by the Bukit Aman Commercial Crime Division. This group was able to catch a large fraud that involved the CEO and two others of Transmile Group Bhd for publishing misleading financial statements and has often been called Malaysias Enron. Fraud and forensic accounting is a relatively new topic in Thailand. According to an Ernst Youngs global survey, more than half of the companies in Thailand have suffered significant fraud. The management of the corporations was responsible for over half while employees ranked second, responsible for 45% of the fraud incidents reported. Asset misappropriation was the biggest concern. (MPA Program: Forensic accounting project) The commercial crimes in Thailand are becoming more and more complicated and organized. Forensic accounting is used to combat this to an extent, but is only utilized in the public sector. It is also noted in Thailand that there remains an enormous amount of well documented corruption related to the government amounting to billions of US dollars. There are many cases where Thailands auditor general, Jaruvan Maintaka, was able to bring about cases against members of the government but there are even more cases linked to the military involving loans from politicia ns. Chinese Perspective This accounting profession is still at the early stage of development in China, and a lack of skilled professionals creates problems for regulators. To a large extent the accounting standards and practices in China lack conservatism Doupnik and Perera note in their International Accounting textbook. There are also no sound interpretations of the relevant requirements that need to be implemented to have an effective accounting system. The theory of true and fair presentation and transparency may not be clearly understood by Chinese accountants. Until the 1980s, those who carried out accounting work were not held in high regard which had a very negative effect on the development of the accounting profession in China. Unlike in other countries, accounting and auditing have taken different paths in their development as rival disciplines with the support of different government agencies. However, there has been some growth in the accounting profession due to the recent economic reform pro gram and the demand for financial information from investors has increased. There are many fraud cases evident in China. One high-profile case that deserves mentioning was with Zhu Xiaohua who was the chairman of state-owned company, Everbright Group. Zhu was convicted to 15 years in prison for taking $500,000 in bribes. These bribes were taken between 1997 and 1999. The bribes were for the purchase of shares in a company that resulted in large losses. Another example of fraud in China was when a business woman, Du Yimin, was sentenced to death for running a Ponzi scheme that cheated investors out of YUAN700m ($102 million). (Lin, 2009) According to Lin, the Chinese Ministry of Public Security has been stepping up such prosecutions and says there are now 1,416 similar cases open, involving YUAN10bn ($1.5 billion) in investors money. In China it is still possible to receive the death penalty for fund-raising fraud, however, if a Chinese person is charged with collecting money illegally from private investors, the maximum sentence is 10 years in prison. In Chi na is evident that ethics are not being followed across the board. Japanese Perspective Japan also differs from other cultures and has a different role of the accountant and effectively different need for justice. The Japanese attitudes towards external auditors and the audit function are different from others. This is due to the cultural value orientation of not trusting someone from outside the group. Companies are not under pressure from their main providers of finance to disclose information publicly and companies are reluctant to provide information voluntarily. As a result, the a

Thursday, September 19, 2019

Does UK Public transport live up to expectations? :: Business Management Studies

Does UK Public transport live up to expectations? Introduction Public transportation has always been a key issue to the government by trying to promote public transport more than using a car. Today public transport is pushed more to help reduce factors of pollution and congestion which seem to be growing all over the UK. Transportation needs vary greatly depending on peoples commuting needs and therefore trying to focus on transport as a whole over the UK is very difficult to research. I have used over 20 documents to help me research this statement. Literature Review Out of the documents that I was able to find the documents seemed to have very positive or negative opinions about public transport with only a few mixed opinions. The following facts were from mixed view documents. There were many documents which were about crime on public transport and around areas of public transport. The main issues were about train stations and buses where situations of theft were experienced on regular basis. Crime is a factor which is now being dealt with increasingly with investments going into cameras at train stations and increased security. Buses are also being equipped with cameras on board so that drivers can see the upper floor. These articles can be found in the appendix and are articles AP 1, 3, 4 and 5. Many articles were also mixed as they acknowledged improvements being made but were also negative as plans are always based on 5 to10 year developments and cost millions if not billions of pounds. This seems to make people loose faith in public transport as it is slow and costly. An example of this is the  £10bn investment into the London underground found in appendix. Many articles brought forward positive opinions of public transport these opinions and facts are as follows. There are new websites being created to help people plan their journeys by public transport. These sort of sites help people by telling someone which, buses and trains they may need and which ones. A site which I used is www.transportdirect.co.uk. A site like this gives people confidence as they know what forms of transport they may need and how long a journey may take. In appendix this site can be found as AP6. New investments are being made to link major cities. An example is Leeds and Sheffield being linked by one train route. This is designed to help reduce congestion on the M1 this can be seen in appendix AP7. Appendix article AP8 shows achievements made over 2003 and 2004 and tells us of more park and rides schemes being used and set up more.

Wednesday, September 18, 2019

Essays --

​For years humans and animals alike have relied on natural instincts to adapt in order to survive. The book call of the wild by Jack London centers around a dog named buck. Buck is large mixed bread who learns to use natural instincts to survive the harsh conditions during the Klondike gold rush in Alaska in 1897. The Klondike gold rush of 1897 is an example of the back to nature movement. The back to nature movement was initiated by President Roosevelt. He felt that America was too dependent on technology. The back to nature was generally an experience of survival. He felt that if people couldn’t survive in the wild, then they were becoming weak. The book emphasizes Buck’s parting from civilization and his entry into a more primitive world. Jack London tries to show the contrast between civilized life and primitive life. This contrast is prevalent throughout the novel. The story of Buck’s journeys in Klondike shows how he gradually sheds all the features that define his earlier life in human society to become a creature of the wild. Throughout Jack London’s book, ideas of Social Darwinism and the back to nature movement comes to mind because Physical strength, as well as dominance, is required in order for one to truly embrace nature and survive. ​In the book, the theme of man vs. nature is present. The Klondike gold rush of 1897 is an example of the back to nature movement. Set in the wake of the gold rush, the story shows how Americans found themselves moving up north in search of gold. They had to live their civilized setting and adjust to the harsh cold of the north where survival was only imperative. Man had to rely on basic instincts in order to survive away from civilization. For example, men like John Thornton have been a... ...re. People usually regain natural instincts in the process. He generated the idea that if humans go back to nature, they would become stronger and more self-reliant. In the wake of the gold rush, man had to venture into the bitter cold (back to nature). People like john Thornton thrived because they were able to key into their natural instincts. Jack also highlighted that over reliance on civilization makes one weak. This is shown when Hals, Charles and Mercedes die off because they were unable to use instincts to cope with the harsh situations of the wild. Because of this, buck was able to make the transition from lovable play pal to a skilled hunter. By getting in touch with his natural instinct, he was able to change his way of life and survive in the environment he found himself. Buck becomes wild and uses social Darwinism and survival of the fittest to survive. Essays -- ​For years humans and animals alike have relied on natural instincts to adapt in order to survive. The book call of the wild by Jack London centers around a dog named buck. Buck is large mixed bread who learns to use natural instincts to survive the harsh conditions during the Klondike gold rush in Alaska in 1897. The Klondike gold rush of 1897 is an example of the back to nature movement. The back to nature movement was initiated by President Roosevelt. He felt that America was too dependent on technology. The back to nature was generally an experience of survival. He felt that if people couldn’t survive in the wild, then they were becoming weak. The book emphasizes Buck’s parting from civilization and his entry into a more primitive world. Jack London tries to show the contrast between civilized life and primitive life. This contrast is prevalent throughout the novel. The story of Buck’s journeys in Klondike shows how he gradually sheds all the features that define his earlier life in human society to become a creature of the wild. Throughout Jack London’s book, ideas of Social Darwinism and the back to nature movement comes to mind because Physical strength, as well as dominance, is required in order for one to truly embrace nature and survive. ​In the book, the theme of man vs. nature is present. The Klondike gold rush of 1897 is an example of the back to nature movement. Set in the wake of the gold rush, the story shows how Americans found themselves moving up north in search of gold. They had to live their civilized setting and adjust to the harsh cold of the north where survival was only imperative. Man had to rely on basic instincts in order to survive away from civilization. For example, men like John Thornton have been a... ...re. People usually regain natural instincts in the process. He generated the idea that if humans go back to nature, they would become stronger and more self-reliant. In the wake of the gold rush, man had to venture into the bitter cold (back to nature). People like john Thornton thrived because they were able to key into their natural instincts. Jack also highlighted that over reliance on civilization makes one weak. This is shown when Hals, Charles and Mercedes die off because they were unable to use instincts to cope with the harsh situations of the wild. Because of this, buck was able to make the transition from lovable play pal to a skilled hunter. By getting in touch with his natural instinct, he was able to change his way of life and survive in the environment he found himself. Buck becomes wild and uses social Darwinism and survival of the fittest to survive.

Tuesday, September 17, 2019

Life in the Ocean

Question 1: Parts of Chesapeake Bay were affected by unexpected blooms of a toxic dinoflagellate, Pfisteria piscicida, in 1997. Research those occurrences in the internet, and discuss the blooms and their effects on the local economy. Was it sensationalist press coverage, or a real danger to humans?Ans.:Â  During the summer of 1997, the Chesapeake Bay was reported to have an unexpected bloom of the plankton, Pfisteria piscicida. Experts believed that it was caused by too much pollution from the surrounding districts of Delaware, Maryland, New York, Pennsylvania, Virginia, West Virginia and the District of Columbia. Farms, factories, and towns contribute to the pollution. According to the Chesapeake Bay Foundation, 318 million pounds of nitrogen and 19 million pounds of phosphorus are deposited into the Bay as the result of development, run-off, and air pollutants. Agriculture and poultry operations constitute a large part of the causes of pollution of the Bay. The presence of these pollutants at high concentrations triggered the pfisteria bloom, the result of which was devastating. Thousands of fishes were killed rendering massive losses in the local economy, i.e. seafood sales drop. Maryland alone had lost $43 million in sales. Many people were sick due to the toxins taken from the Bay products which increased expenditure in healthcare and medicine.Pfisteria bloom in the Chesapeake Bay posed a threat to humans as well as other organisms. In Maryland, environmentalists are making some steps to minimize pollution of the Bay. The US government had spent millions of dollars in trying to eradicate the cause of such phenomena.Question 2: Whale watching is considered as a worthwhile environmental activity. Some tour guide operations even allow `whale petting`, as in the Pacific Gray whale nursing grounds in Baja California. `Swim with the Dolphins` operators are popular in Florida, Hawaii, and the Caribbean. Discuss the potential deleterious effects that these inter actions with humans may have on these marine mammals.Ans.:Â  Human activities have substantial effects to the marine environment, especially the marine mammals. Activities like that cause loud underwater noise, deep-water gillnetting and driftnet fishing, pollution, whaling, large-scale industrial fishing, vessel traffic as well as activities like whale-watching, whale-petting, or simply interacting with the marine mammals have deleterious effects to them. The immediate effect of these interactions to the marine mammals is disturbance.Whale-watchers observed that whales are becoming more difficult to search in the open seas because of changes of areas and modes of operation as the result of these disturbances. Visual and acoustic surveys proved that whales are susceptible to acoustic changes, i.e. sound of the vessel engine, as it is there primary mode of communication. Whales and other marine mammals use echolocation in searching for food and other activities (i.e. mating, social contact). Noise from tour boats disrupts the sound signals transmitted and received thereby affecting their senses. This resulted to decline in whale population and other marine mammals. Research also showed that the presence of tour boats in their surroundings causes stress which affects their behavior.Question 3. What fish and shellfish populations are at or below historic levels? What restoration efforts are being revised to manage the most important fisheries more effectively? Discuss these and other issues affecting marine resources RIGHT HERE in Maryland.Ans.:Â  Chesapeake Bay fish and shellfish populations are largely affected by pollution from the surrounding states. Blue crab, oyster, striped bass, Susquehanna shad, and menhaden are some of the species studied. Different strategies used to increase harvest were examined by scientists and natural resource managers. The American shad and the blue crab were found to have increased over the past decade and are no longer below historic levels.This increase was attributed to the responsible fisheries management. Current reports have shown that the Bay’s fish and shellfish are three-fifths away from the desired levels. In this regard, scientists and managers are trying their best to restore the Bay’s abundant estuarine ecosystem. The restoration efforts include the following activities and plans: reducing pollution, maintain restoring habits, responsible fisheries management, watershed protection, and fostering stewardship. Pollution, as the primary cause of death of estuarine species was tackled by different states by enforcing laws that protects the Bay area from ruthless throwing of waste matter, i.e. increasing taxation of industry-scale poultry operations in Maryland. ReferencesSpotts, P.N. (1997). US Pours Money, Expertise into Halting Legal ‘Blooms’ [Electronic Version]. Christian Science Monitor, 10/08/97(United States), 3. Retrieved April 22, 2007, from http://www.whoi.ed u/redtide/notedevents/gennews/generalHABnews.htmlGoodman, P.S. (1998). Ma., Va. Brace for Pfiesteria Outbreaks. The Washington Post, April 5, 1998.Lauhakangas, R. (n.d.). Special Aspects of Sperm Whales and Their Relevance to Whale Watching. Retrieved April 22, 2007, from http://www.helsinki.fi/~lauhakan/whale/education/sc4876.htmlStiffler, L. (2002). Whale-watchers Might be Harmful to Orcas, Study Shows. Retrieved April 22, 2007, from http://seattlepi.nwsource.com/local/72927_orca01.shtml

Monday, September 16, 2019

The Unification Of Germany And Italy History Essay

The fusion of both Germany and Italy changed each state everlastingly. The impact for both the fusion of Germany and Italy created a forceful mentality for independency, economic growing, and a strong patriotism. However, to each its ain can be a statement here, as the fusions besides brought bloody war, separation, and commanding political relations. This essay will compare and contrast the fusion of Germany and the fusion of Italy. War is war. It is a natural force, it can unify some, and divide others, and the fusion of both Germany and Italy are to be understood with the same frame of idea for this essay. The similarities for Germany and Italy are many, but here I will name the points that are most recognizable from an academic position. Chiefly it is of import to notate that both unification procedures required the work and order of a confident leader. Even though the fusion of Italy required a changed in leading, the procedure led to the same end. Where Germany had, Bismarck, Italy had di Cavor. Bismarck was known as the â€Å" Bloody Iron. † His ideas of fusion were of pure endurance. He required barbarous force to derive integrity for Germany. Italy ‘s leading thought with a more political mentality. Camilo di Cavor ( the kingsmen that eventually took Italy all the manner into fusion ) relied more on blessing from political groups and out of economic despair. In add-on, Italy had a larger battle due to the extent of the current disorganisation and separation of her boundary lines. There were at least 39 single bordering locations to unify with what subsequently became the capital of Italy, Rome. In add-on, both fusions had a end of unifying their broken state and supplying a centralised authorities regulation. However, being that the logical thinking is considered to include economic agencies in both fusions ; the importance in the economic base for Italy was far more of import and necessary. Italy had faced bankruptcy and a great depression from all of the anterior promises from anterior leaders. This was Italy ‘s chief thrust, endurance after multiple attempts and complete old failure. The rudimentss of each state and their push for fusion were that multiple districts desired the integrity of so holding control and running one united state or authorities. The demands for the people were presented different in the narrative of the fusions, but the demands for a authorities do look of import, if non more of import, to the fusion procedure. Germany had a program and struck while the Fe was hot, where Italy had to take some major falls before they were able to unify as one. Unlike other wars, the fusions of both Germany and Italy gained support from all societal categories. The fusion ‘s intent for both of the states led to a patriotism to let each state excessively so thrive. The societal populations of both states shared the same demands, but for different commanding factors. Austria ruled Northern Italy, and the Catholic Church controlled cardinal Italy. Germany was nowhere nigh every bit discombobulated as Italy, yet had the same desire of centralisation control in authorities and policy. Equally far as existent procedure of fusion, merely put, Germany ‘s fusion procedure did differ in ways from the fusion of Italy. Where Italy was under a pollex of foreign control, Germany was independent. Some of the foreign controls for Italy included Austro-Hungarian Empire, the Pope, the Duchies of Spoleto and the land of Two Siciles. Germany entered fusion with a major war with France and subsequently established universe power, but this was through denial of advice from multiple countries, including the Pope! Their consistent disposition led to a speedy triumph. Another signifier of difference between both states ‘ fusion is the existent procedure required to derive each of their fusions. Germany won their unification rapidly and swift, merely seven hebdomads, where Italy was a bloody conflict for their lone authorities for multiple old ages and multiple leaders. Italy took old ages longer along with a batch of leader and male monarch restructuring excessively eventually derive the same success as Germany. Even though each state had similar aims, their thoughts of the demand to unite did differ somewhat. Germany wanted to organize a â€Å" 3rd Germany † in which Germany excluded from Austria and Prussia. Germany besides gained their fusion through direct and unfastened struggle. On the reverse, Italy ‘s objected was to divide themselves from France in hope of a lone authorities. There were enormous up ‘s and down ‘s for Italy and her people, and unification fit the demand at the clip. Looking at the leaders for each of the fusions, Italy faced failure through Napoleon after merely 100 yearss into war. He was subsequently exiled and succeeded by Louis IVIII, this led to the public violences of the people and the non-support due a direct failure that subsequently led to a belly-up Italy. Later, enters Italy ‘s premier curate of the land Savoy, Camilo di Cavor. He launches war and uses diplomatic negotiations and war to drive power. He is better known as the Brain. Cavour is the leader that eventually led Italy ( after a few failed efforts ) to fusion. The procedure was long and hard, but the wages was deserving Italy ‘s cicatrixs. Germany ‘s leader is merely one adult male, Otto Von Bismarck. In 1862, Bismarck was appointed the King of Prussia. Bismarck used policy of Realpolitik to regulate. Bismarck held small or no idea to single moralss, over all ethical motives, or current legalities. Bismarck ‘s end was to beef up military and the industrialized the nucleus of Germany and Germany ‘s people. His ideas of fusion were unite German provinces under one ruleaˆÂ ¦simply stated, non Austrian, but Prussian regulation! Quickly, the Germans defeated the Gallic and at the terminal of the war, all of the German provinces joined with Prussia to unify as one German State. The chauvinistic feeling was on the rise during the clip that Bismarck and Cavor controlled the states of Germany and Italy. Both leaders opted to work that experiencing through war. Through Treaties, confederations were formed for Germany, but it is through failure so success that confederations were formed for Italy. Both fusions served similar intents and yet different concluding. As I stated in the beginning of this essay, the impact for both the fusion of Germany and Italy created a forceful mentality for independency, economic growing, and a strong patriotism. The terminal wages for both Germany and Italy remain the same, remarkable patriotism through combined integrity.