Tuesday, December 24, 2019

William Shakespeare s World Masterpieces - 1595 Words

Today each person has their own story to be told. All of us come from different backgrounds and have circumstances we are living through. Each of has different type of person we wish to rely on. As a result of this there are no set standards as to whom we are to date and even marry and why. Instead, it’s a matter of whom each person chooses. Miguel De Cervantes, understood this at a time, the 1600 s, where this idea of love was not normal. Back then to marry for love was considered foolish. Traditionally 16th -century love was depicted as Chivalry Romance. This means that it was to be arranged marriages between those of equal status or class as the norm. Back then love was seen as a perfect and pure concept. Cervantes did not agree with this and challenged and mocked it in his writings. As stated by Maynard Mack in his book, World Masterpieces, â€Å" The actual method [Cervantes] followed in order to expose the silliness of the romances of chivalry was to show to what extrao rdinary consequences they would lead a man insanely infatuated in them..†. Due to this type of thinking, Cervantes in his novel, Don Quixote, portrays love in a nontraditional way, as a mysterious force that draws lovers together. Many of the tales of courtship told in Don Quixote are driven by the force of love. The tale of Quiteria and Basilio is a great example of this. In this tale, Basilio and Quiteria are next door neighbors in the same village. Basilio falls in love with Quiteria atShow MoreRelated Authorship debate Essay1599 Words   |  7 PagesWilliam Shakespeare’s works being just that is a notion most accept; however, there has been a lot of evidence and arguments by historians, who opt to challenge this notion, arguing that Shakespeare was the pen name of Edward de Vere, the Earl of Oxford had to conceal his authorship for social and political reasons. After careful examination of historian’s evidence this theory doesn’t measure up and it was indeed Shakespeare, who was the genuine author. The world has come to accept that William ShakespeareRead MoreEssay On William Shakespeare1127 Words   |  5 PagesThis is an informational essay about Poet, Actor, and Playwright,William Shakespeare. In this essay you can find much information ranging from fun facts to his death. This essay tells much about his life and includes some details of family members. The key purpose of this essay is to inform curious people about William Shakespeare. â€Å"I regard the theatre as the greatest of all art forms, the most immediate way in which a human being can share with another the sense of what it is to be a humanRead MoreWho Really Wrote Shakespeares Work794 Words   |  4 Pages One of the most well-known writers in history is also one of the most controversial writers. William Shakespeare has been credited to thirty-eight plays, but did he actually write all of them. The debate whether he wrote all of his plays has been debated for generations. One of the main reasons was if his education level was high enough to be a world-famous writer. But if Shakespeare didnt write his works, then who did? One of the most controversial and accused writers wasRead MoreWilliam Shakespeare s Romeo And Juliet1264 Words   |  6 Pagestheater-going public the most important dramatist in English literature, Shakespeare occupies a well-known position in the world of talented authors. His canon contains thirty-seven plays, written in the late sixteenth and early seventeenth centuries. Additionally, throughout the years, they continue to sustain critical attention, with the majority of his works circling tragedies, one being Romeo and Juliet. William Shakespeare s Romeo and Juliet speaks to the timeless appeal of star-crossed loversRead MoreThemes in Macbeth742 Words   |  3 PagesWithin Shakespeare s famous Macbeth there are many different themes that make the play the captivating masterpiece that it is. The role of the supernatural is a very important element of Shakespeare s Macbeth. Just as important, the theme of masculinity is very dominant. Both themes contribute t o the play s unique and powerful nature, overall creating a very effective storyline, strong characters, and unexpected twists and turns throughout. In the time of William Shakespeare thereRead MoreThe Octogonal Structure Roared from Shakespeares Performers791 Words   |  3 Pageswhile productions began. The Globe Theatre started an era of acting in the late 1500’s and changed the way we look at performing still to this day. This theatre was jaw dropping as people entered this â€Å"salvaged wood† framed theatre. In 1599, the stage was ready for acts to begin. The name of the Globe Theatre was for people to know that the â€Å"whole round world† could be represented by every actor. William Shakespeare referred to the theatre as â€Å" this wooden ‘O’ † (Langly). In Elizabethan times, theRead MoreLiterary Techniques Of Hamlet By William Shakespeare1700 Words   |  7 Pages In the literary masterpiece Hamlet by William Shakespeare, the use of literary techniques contributes significantly to the development of the theme. The story of Hamlet belongs to a tradition of revenge tragedies that were familiar to the Elizabethan audiences. The theme of the play is: when one’s actions are tainted with corruption, their actions can result in others seeking revenge for the pleasures of gratification. The literary technique of parallelism contributes to the developme ntRead More The Supernatural in Shakespeares Works Essay1747 Words   |  7 PagesSupernatural in Shakespeares Works No one questions the fact that William Shakespeare is a pure genius when it comes to creating immortal characters whose characteristics transcends those of the normal supernatural beings, but most students of literature agree that his uses of the supernatural aren’t merely figments of his creative imagination. Every man, woman, and child is influenced by the age into which they are born and Shakespeare was no exception. Not only does his use of supernatural elementsRead MoreReflection Paper on Shakespeare Class1344 Words   |  5 Pages REFLECTION PAPER ON SHAKESPEARE CLASS On that faithful day when I was signing up for the Shakespeare class, I literally did not know what I was getting myself into. I had no clue what Shakespeare works are all about, or even reading his play, let alone his sonnet and the iambic pentameter. It took a while to grasp the concept of it and understand the concept in which Shakespeare was writing his poetry. My expectations for the class was not that much. I just told myself let me get thisRead MoreRomeo And Juliet Film Analysis1647 Words   |  7 PagesDavies, Anthony. The film versions of Romeo and Juliet, Shakespeare Survey 49(1996):153-162 Web. 22 May 2017. 1. In this Journal articles by Anthony Davies, he attempts to trace, compare, and analyze the play of Romeo Juliet’s life throughout cinema. To do this, Anthony does a close reading of four different films directed by Cukor, Zeffirelli, Alvin Rakoff, and the BBC. With these films, Anthony delves into them while dissecting specific scenes to compare how they are different or similar

Sunday, December 15, 2019

The Hunters Moonsong Chapter Twelve Free Essays

â€Å"Good practice,† Christopher said, stopping next to Matt as he headed out of the locker room. â€Å"You’ve got some great moves, man.† â€Å"Thanks,† Matt said, glancing up from putting on his shoes. We will write a custom essay sample on The Hunters: Moonsong Chapter Twelve or any similar topic only for you Order Now â€Å"You were looking pretty good out there yourself.† He could tel Christopher was going to be a solid team-mate, the kind of guy who did his job and focused on the big picture, working to help the rest of the team. He was a great roommate, too, generous and laid-back. He didn’t even snore. â€Å"Want to skip the dining hal and order a pizza?† Christopher asked. â€Å"This is my night to beat you at Guitar Hero – I can feel it.† Matt laughed. In the couple of weeks they’d been living together, he and Christopher had been working their way through al the Wii games Christopher had brought with him to school. â€Å"Al right, I’l see you back at the room.† Christopher slapped him on the back, grinning widely. After Christopher left, Matt took his time getting his things together, letting the other guys get out of the locker room ahead of him. He felt like walking back to the dorm alone tonight. They were a nice bunch of guys, but he was sore and tired. Between footbal practices and Vitale Society pledge activities, he’d never worked his body quite so hard. It felt good. He felt good. Even the stupidest of the Vitale activities – and some of them were pretty stupid: they’d had to work in teams to build houses out of newspaper the other night – were kind of fun, because he was getting to know some amazing people. Ethan had been right. As a group, the pledges were smart, determined, talented, everything you’d expect. And he was one of them. His classes were interesting, too. Back in high school he’d gotten okay grades but had mostly just done what he had to do to pass. The Civil War, geometry, chemistry, To Kill a Mockingbird: al his schoolwork had sort of blended into the background of his real life of friends and sports. Some of what he was doing at Dalcrest was like that, too, but in most of his classes, he was starting to see connections between things. He was getting the idea that history, language, science, and literature were al parts of the same thing – the way people thought and the stories they told – and it was real y pretty interesting. It was possible, Matt thought, with a self-mocking grin, that he was â€Å"blossoming† in col ege, just like his high school guidance counselor had predicted. It wasn’t ful y dark yet, but it was getting late. Matt sped up, thinking about pizza. There weren’t a lot of people roaming the campus. Matt guessed they were either in the cafeteria or holed up in their rooms, afraid. He wasn’t worried, though. He figured there were a lot more vulnerable targets than a footbal player. A breeze started up, waving the branches of the trees on the quad and wafting the smel of grass to Matt. It stil felt like summer. In the bushes, a few early-evening fireflies blinked on and off. He rol ed his shoulders, enjoying the stretch after a long practice. Up ahead, someone screamed. A guy, Matt thought. The cry cut off suddenly. Before he could even think, Matt was running toward the sound. His heart was pounding, and he tried to force his tired legs to move faster. That was a sound of pure panic, Matt thought. He strained his ears but didn’t hear anything except his own ragged breaths. As he came around the business building, a dark figure that had been bent over something in the grass took off, its long skinny legs flying. It was moving fast, and its face was completely concealed by a hoodie. Matt couldn’t even see if it was a guy or a girl. He angled his own stride to race after the figure in black but came to a sudden halt by the shape in the grass. Not just a shape. For a moment, Matt’s mind refused to process what he was seeing. The red and gold of a footbal jersey. Wet, thick liquid spreading across it. A familiar face. Then everything snapped into focus. He dropped to his knees. â€Å"Christopher, oh no, Christopher.† There was blood everywhere. Matt frantical y felt at Christopher’s chest, trying to figure out where he could put pressure to try to stop the bleeding. Everywhere, everywhere, it’s coming from everywhere. Christopher’s whole body was shaking, and Matt pressed his hands against the soaking footbal jersey to try to hold him stil . Fresh blood ran in thick crimson streams against the brighter red of the jersey’s material. â€Å"Christopher, man, hold on, it’s going to be okay. You’l be okay,† Matt said, and pul ed out his phone to dial 911. His own hands were covered with blood now, and the phone was a slimy mess as he held it to his ear. â€Å"Please,† he said, his voice shaking, â€Å"I’m at Dalcrest Col ege, near the business building. My roommate, someone attacked my roommate. He’s bleeding a lot. He’s not conscious.† The 911 operator started to ask him some questions and Matt tried to focus. Suddenly Christopher opened his eyes, taking a deep gulp of air. â€Å"Christopher,† Matt said, dropping his phone. â€Å"Chris, they’re sending an ambulance, hold on.† The shaking got worse, Christopher’s arms and legs vibrating in a rapid rhythm. His eyes settled on Matt’s face, and his mouth opened. â€Å"Chris,† Matt said, trying to hold him down, trying to be gentle, â€Å"who did this? Who attacked you?† Christopher gasped again, a hoarse gulping sound. Then the shaking stopped, and he was very stil . His eyelids slid down over his eyes. â€Å"Chris, please hold on,† Matt begged. â€Å"They’re coming. They’l help you.† He grabbed at Christopher, shook him a little, but Christopher wasn’t moving, wasn’t breathing. Sirens sounded in the distance, but Matt knew the ambulance was already too late. How to cite The Hunters: Moonsong Chapter Twelve, Essay examples

Saturday, December 7, 2019

Criticle Lense, the Crucible and the Lottery free essay sample

The quote, In literature as in life, human beings may find themselves in conflict when they live in a society that outwardly seems civilized and yet practices prejudice and injustice within, means that even when a civilization is viewed as good or peaceful, many people in the society are treated unfairly. This theme is often expressed in works of literature. In The Crucible by Arthur Miller and Shirley Jacksons, The Lottery both show how the quote is true. The Crucible supports the lens through setting, characterization, and conflict. The play has to do with the Salem Witch Trials of 1692. During this time in American history, there were nineteen people who hanged for the crime of witchcraft. The play is set in a very protestant community. In the village, people are expected to behave properly and civilly. They have strict rules about many things, such as dancing and woman wearing their hair up when outside. We will write a custom essay sample on Criticle Lense, the Crucible and the Lottery or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Arthur Miller says most of his characters play a similar and in some cases exactly the same-role in history. Abigail Williams, Reverend Parris orphaned niece, has an affair with John Proctor, a respected farmer, prior to the beginning of the play. After drinking blood to kill Proctors wife, Elizabeth, Abigail claims that Tituba, the servant, had forced her to do it. Although Abigail is described as a character who has an endless capacity for dissembling, it is her accusations that begin the witch trials. Abigail herself uses the trials to cover her own guilt and shame of the affair. The internal conflict of John Proctor is also important. He realizes that he will have to admit his affair with Abigail if he wants to save his wife. In their society, an affair was a large crime. Even those on trial were not treated fairly. If they did not confess, they were to die. However if they did confess, they would be known as witches. This is shown when John Proctor says Leave me my name, because he feels that he cannot have the town seeing him as a bad person, so he cannot sign his name to lies. The Lottery by Shirley Jackson also supports the quote using setting, irony and tone. The story is set in a small town where people know each other well. In the annual lottery, a person is randomly chosen to be killed. The setting is described as being a full summer day where flowers were blossoming profusely and the grass was richly green. People are around the town square talking casually about taxes and such. This includes Mrs. Hutchinson, a mother and wife, who enters talking to Mrs. Delacroix about how she had forgotten what day it was. When she realized the lottery was that day, she came a-running , showing how she was glad to be at the event. She shows this again when she tells her husband, Bill to, get up there. The tone is cheerful and excited. When Mrs. Hutchinson is the one to die, she ironically starts saying how it was unfair. Both works take place in seemingly good villages. The protestants are known for trying to be good while small villages are known for being close and staying together. Both towns are full of tradition, yet both towns went through injustices. Both The Crucible and The Lottery show how even nice towns have injustices. Criticle Lense, the Crucible and the Lottery By RinaRose

Saturday, November 30, 2019

Recruitment and Selection free essay sample

There are four major types of legislation that affect recruitment and selection in a non-unionized workplace within Alberta. Those types of legislation being: †¢ Constitutional law †¢ Human Rights law †¢ Employment Equity legislation and †¢ Labour law/employment standards and related legislation Constitutional law as a whole is the supreme law of Canada and has precedence over all other legal means; it consists of a series of Acts and orders passed since 1867 by the British and Canadian Parliaments. Constitutional law does not directly affect recruitment and selection activities unless the recruitment and selection practices are challenged in a Human Rights Tribunal or court. Constitutional law sets limits and conditions on what federal, provincial/territorial, and municipal governments and courts can legally do to alter employment policies and practices. Therefore, the interpretation of constitutional law has a large influence on every aspect of Human Resource Management not just Recruitment Selection practices and programs. Human Rights laws across Canada prohibit discrimination in both employment and the provisions of goods and services. We will write a custom essay sample on Recruitment and Selection or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Grounds on which discrimination is prohibited in Alberta are: †¢ Race or colour †¢ Religion †¢ Physical or mental disability †¢ Age †¢ Sex (includes pregnancy and childbirth) †¢ Marital status †¢ Dependence on alcohol or drugs †¢ Family status †¢ Sexual orientation †¢ Ancestry or place of origin †¢ Source of income Human Rights legislation is enforced through human rights commissions or tribunals that have the legislated power to undertake actions that may be necessary to eliminate discrimination. Though prohibited discrimination varies across jurisdictions, there are six which all jurisdictions agree upon: race or colour, religion or creed, age, sex, marital status, and physical/mental handicap or disability. Employment equity legislation is the plan for compensation for employment disadvantages experienced by certain groups – women, individuals with disabilities, elderly employees, etc. The legislations is to eliminate barriers and give equal opportunities to individuals in the workplace. Through provision of consulting and education services, the Alberta Human Rights and Citizenship Commission support the development and creation of employment equity policies and programs. Employment equity is not only about fairness and leveling the playing field. It also helps attract and keep excellent employees who may otherwise be overlooked or avoided. Employment equity encourages employers to take advantage of the talents, skills and innovation that a more diverse workforce can offer. Finally, labour laws, employment standards and related legislation sets the stage for minimum age of employment, hours of work, minimum wages, statutory holidays, vacations, work leaves and termination of employment. These laws have little impact on the recruitment practice but take part in the selection practice by affecting what the employer is looking for and what a potential employee is looking for. Employers have a legal responsibility to ensure no unlawful discrimination occurs in the recruitment and selection process. The legislation above assists on guiding this. Direct discrimination occurs when someone is treated less favorably than another person because of a protected characteristic they have or are thought to have or because they associate with someone who has a protected characteristic. Indirect discrimination, or adverse effect discrimination, can occur when you have a condition, rule, policy or even a practice that applies to everyone but particularly disadvantages people who share a protected characteristic. Indirect discrimination can be justified if you can show that you acted reasonably, i. e. that it is ‘a proportionate means of achieving a legitimate aim’, or bona fide occupational requirement (BFOR). A legitimate aim might be any lawful decision made, but if there is a discriminatory effect, the sole aim of reducing costs is likely to be unlawful. Being proportionate really means being fair and reasonable, including showing that one’s looked at `less discriminatory? alternatives to any decision make. For a standard to be considered a BFOR, an employer has to establish that any accommodation or changes to the standard would create an undue hardship. When a standard is a BFOR, an employer is not expected to change it to accommodate an employee. However, to be as inclusive as possible, an employer should still explore whether some form of accommodation is possible anyhow. It is unsurprising that the culture of a particular work organization will influence selection decisions, with recruiters both consciously and unconsciously selecting those individuals who will ‘best fit’ that culture. In some organizations recruitment policy and practice is derived from their overall strategy which disseminates values into the recruitment and selection process. Though, individuals as well as organizations seek this ‘best fit’, providing evidence that many individuals prefer to work in organizations that reflect their personal values. Decisions made in the course of recruitment and selection process should be perceived as essentially fair and admissible to all parties, including people who have been rejected.

Tuesday, November 26, 2019

Muslims Immigration to Australia

Muslims Immigration to Australia Introduction Migration could be said to be as old as humankind. The UN definition of a migrant covers â€Å"all cases where the decision to migrate is taken freely by the individual concerned, for reasons of personal convenience and without intervention of an external compelling factor.Advertising We will write a custom essay sample on Muslims Immigration to Australia specifically for you for only $16.05 $11/page Learn More On the basis of this definition, a migrant is not just a term used in reference to displaced person or refugees, or those individuals who have been forced by prevailing circumstances to flee their homes (United Nations Educational, Scientific and Cultural Organization, 2010). Prior to the settlement of Europeans into Australia, a majority of the visitors into the country were Muslims, specifically from the region of Indonesian archipelago. During the 16th century, traders and fishermen were the main visitors into Australia (Dunn, 2004). Muslims immigrants into Australia increased in number during the 1800s following the arrival of Afghan camel drivers (Dunn, 2004), along with a number of Muslims traders from Middle East. Statistics Egyptians were among the earliest immigrants to Australia, with about 108 migrants in 1901 (Clyne Kipp, 1999). By 2006, this population had increased to over 33,493. This increase was especially noticeable in the late 1940s and the early 1950s, following the overthrow of the monarchy in Egypt, resulting in the rise of the Arab nationalist movement. Most of them now live in Sydney (16,238) and Melbourne (11,156) (United Nations Statistics Division, 2006). In 1911, the number of Syrian and Lebanese immigrants in Australia was 1,527, a number that had increased to 33,424 by 1976 mainly as a result of the civil war in Lebanon that had started in 1975. By 2006, this number had once again increased to more than 71,000 (Department of Immigration and Citizenship, 2008. Following the start of th e Gulf War, an increasingly higher number of Iraqis have been seen to have sought for refugee status in Australia. According to the 2001 census report, it was estimated that nearly 24,760 Iraqis were already living in Australia. They consist of the Assyrians, Assyrians, Kurds, Jews, Armenians and Turkmens.Advertising Looking for essay on ethnicity studies? Let's see if we can help you! Get your first paper with 15% OFF Learn More The reasons for the need to migrate into Australia are as diverse as the nationality of these individual. Some of the most common reasons include individuals seeking for asylum due to increased incidence of violence in their war-torn countries (Ang, 2001). Accordingly, they would want to be hosted by a country that is committed to the human rights declaration for the freedom of human rights. Also, other people migrate to Australia in search of jobs from the diverse sectors of the economy, such as in the mining and exploration industr y, and the financial sector, among others. There are also those individuals moving to Australia as students, while others have been married by Australians citizens and therefore desire to move in with their families. Nevertheless, it is important to appreciate the fact that family reunion and skilled migration make up the largest proportion of the immigrants. In recent years, the detention of illegal immigrants by the authorities has sparked huge controversies amongst the academics (Forrest Dunn 2006). In the period between year 2004 and 2005 a total of 123,424 people immigrants entered Australia. The composition of the Immigrants included 1,506 South American; 54,804 Africans; 2,369 eastern European; 54,804 Asians; 18,220 from the UK; and 21,131 from Oceania. A report from the Australian Bureau of Statistics that was presented in mid 2006 reveals that at the time, nearly a quarter (24%) of the entire population in Australia considered as residents of the country had been born else where, representing 4,956,863 of the Australian total population (Australian Bureau of Statistics 2010). The purpose of this research paper is to examine the issue of immigration within the Australian context. In this case, the historical perspective of immigration in Australia shall be explored, along with the ensuing benefits to the immigrants and Australian as a nation. The research paper intends to examine the issue of Arabs immigrating to Australia as a case study, and the challenges that they have had to encounter owing to the perception of held regarding Islam and Arabs as terrorists.Advertising We will write a custom essay sample on Muslims Immigration to Australia specifically for you for only $16.05 $11/page Learn More Increased cases of immigration into Australia In the space of five past years the number of North African immigrants Australia has increased considerably. Within a span of four past years North African migrants entering Australia ha ve come in the form of humanitarian entrants (Perrin Dunn 2007). This immigration upsurge is an attribute of a switch of the local focus of the humanitarian plan towards Africa. The largest proportion of North African migrants since 2000 to 2001 was of Sudan origin. The States of Victoria and of the New South Wales experienced the largest proportions of this influx. The table below depicts the respective country of birth of the Australian nationality. Country of Birth Estimated Resident Population United Kingdom 1,153,264 New Zealand 476,719 China 279,447 Italy 220,469 Vietnam 180,352 India 153,579 Philippines 135,619 Greece 125,849 Macedonia 120,649 South Africa 118,816 Germany 114,921 Malaysia 103,947 Netherlands 86,950 Lebanon (Arabic) 86,599 Sri Lanka 70,913 Serbia and Montenegro 68,879 Indonesia (majorly Muslim) 67,952 United States 64,832 Poland 59,221 Fiji 58,815 Ireland 57,338 Croatia 56,540 Bosnia-Herzegovina 48,762 Sourc e: Australia Bureau of Statistics, 2006 census. From the table we are able to see that the Arabs migrants make up 86,599 of the total migrants in Australia in the year 2006. They comprise about 1.75% of the total migrants. Collectively the Muslim make up about 154,551 (majority of Indonesia are Muslims). Thus about 3.12% migrants comprise of Muslims. Settlement patterns in Australia differ across the continent (Australian Bureau of Statistics 2010). According to the census information obtained in 2006 census, the state of New South Wales comprises the major population of the continent with the largest foreign born residents (Acker 2007). Secondly, the state of Victoria is the second largest populated state. Also, the state of Victoria has been ranked as the country’s state with the second largest group foreign-born individuals who accounts for 1,161,984 of the total population (Bryan Rafferty 1999). Of these, 50.1% are of Turkish origin, 41.6% of Italian origins, 49.4% are o f Greek descent, and 50.6% of Sri Lankan origin.Advertising Looking for essay on ethnicity studies? Let's see if we can help you! Get your first paper with 15% OFF Learn More Problems associated with immigration In a case study of a multi-ethnic residence in Dandenong (Acker 2007) the existence of clear- cut boundaries between a white and a non-white ethnicity of a migrant or Muslim background was clearly shown. According to the opinion of an Anglo Australian manager, although the immigrants act as good source of labor for car and canning industries, they contribute significantly to an increase in the proportion of the unemployed individuals living in Australia. This situation has had a somewhat negative effect on the socio-economic aspect of the Dandenong community. From a social point of view these groups of unemployed individuals seek welfare services to enable them contain their basic needs. However, not everybody can have their basic needs addressed by social service. As a result, those who are left out end up becoming disillusioned and frustrated. A number of them could even contemplate, or actually get involved in crime as a source for their livel ihood. In addition, they are also not in a position to make any substantial contribution to the economy of the country, seeing that they have no source of income. Besides, their children are not likely to attend good schools and they are also not in a position to afford the luxuries of life, such as nice homes, and cars. According to Caldwell (1987), socio-economic drawback are usually prominent in the migrants residential characterized by undesirable conditions of live including discrimination by the superior ethnic groups, unemployment, and limited job opportunities. It is evident that material affluence is used to discriminate and identify or emphasize the extent otherness of the migrants from the other ethnicity. Policies on immigration Generally, citizenship in Australia appears to be retreating from its multicultural policies (Dunn Mahtani 2001). The discrimination as highlighted by the media undermines the legitimacy of the migrants to live as free citizens. Dunn (2004) attr ibutes these incidences of discrimination to the conception of Hanson Pauline’s one nation party in 1990. One nation party’s focused on the anxiety of the citizens in as far as the issue of social transformation is concerned. In addition, the one nation party was actively focused on multiculturalism, indigenous affairs and immigration as the source of social fragmentation. These objectives were further reinforced following the 1996 inauguration of the liberal-national party coalition central government. According to Bowen (2010), this government has largely been credited for the pivotal role that it played in such important national issues as the reduction of the rates of immigration, stiffening of the entrance qualification, and decreasing access to welfare by migrants by closure of the office of multicultural affairs, among others. The 2001 election campaign was largely based on moral panics concerning ethnic crime including race raping, particularly in Sydney (Clyne Kipp n. d.) ; imminent increase in the number of illegitimate migrants in Australia (Dunn et al 2004); increased terrorist attacks in the U.S. and the Bali bombings. As a result, this culminated in the incorporation of the matters of crime and policing, cultural harmony and border security into the national integrity and welfare (Perrin Dunn 2007). This political atmosphere has a role in the marginalization of migrants of Arabic and Muslim origin. Base on the study of Immigrants to Australia, some settlement policies on fresh migrants had already been estimated. It is supposed that the changes that have been made to the settlement policies could very likely have influenced the constituent of the intake and subsequent behaviors of the migrant following their intake (Australian Consulate-General 2010). It is particularly important to note that a decrease in the humanitarian class (refugees), English language test, and a stiffening of the point test are some of the changes in the se lection procedure which have made it increasingly difficult for family members to settle in Australia. This policy reform has probably determined the human capital characteristics of the migrants. The second important reform was in the eligibility for joblessness and social security reimbursement (Dunn 2004). Initially the migrants would wait for a space of six months to qualify for the social security reimbursement. Later the space of time a migrant would take before qualifying for this service increased by two years, alongside the stiffening of the procedures for acquiring these reimbursements. The reforms determine the choice of prospect migrants in as far as the decision to apply to settle in Australia is concerned. The issue of inaccessibility to social security reimbursement could also have a profound influence on the labor market behavior of these migrant through their reservation wages. Discrimination of the Arabic and Muslim migrants According to Forrest and Dunn (2007), fo llowing the 11 September, 2001 terrorist bombing of the Twin Towers in New York City, the United States, immigrants of Arabic origin have been subjected to various forms of discrimination. Such acts of prejudice range from institutional segregation, cultural stereotyping, vandalism and assort, harassment and verbal abuse in the workplace, school, street particularly the female Arabs or Muslim Australian; assault and physical violence; and different forms of social incivility (Dunn 2001). The various surveys that have been carried out on the Anglo migrants depict a general attitude towards their Arabs counterpart that is filled with a certain amount of negativity. These Anglo immigrants are fully convinced that the presence of the Arabs and Muslims in different regions of Australia make them uneasy, angry and resentful, in effect perceiving this to portray a certain amount of displacement (Perrin Dunn 2007). In the 1970s, the Australian government played a pivotal role in as far as the repealing of the immigration policy on racial discrimination in the country is concerned. As a result, Australia has witnessed an increased number of immigrants of Islamic origin, and this has necessitated the local government need to build educational facilities and mosques (and more so in Melbourne and Sydney) to cater for the increasing number of Muslims in the cities. However, the move has not been without resistance in Australia as certain individual and groups sought to oppose the move to build mosques, a scenario which may at best, be regarded as being anti-Islamic sentiment (Bugg, n. d., p. 2). The resistance also symbolizes the significance of place as competitive terrain where class, politics, identity and power interact, and not just a physical location. The universities in Australia have also not been left out either on this matter. For example, during the 2008/2009 academic year, an important campaign was undertaken at the Melbourne-based RMIT University. This campa ign, which was quite successful, was aimed at ensuring that the dedicated prayers rooms for Muslims available on campus were returned (Ward Wood 2009). The migrants of British origin constitute the majority of the Australian population, and the represent the superior ethnic group. This is evident from the view points of male Anglo seniors who believe that unlike their Arabs counterparts who have Muslim enclave, they are devoid of social tensions. Their remarks about the Arabs clearly portray the racial prejudice they hold against them, from the point of view of social aspects (Dunn et al 2004). Certainly, the Arabs migrants are responsible for adverse events in a society. These events are the results of the strong religious doctrines they hold against the non-Muslim member of the community. The Anglo senior men attribute their sense of exclusion from certain areas, in this regard, Arncliffe, to the dreadful Islamic existence. From the interview, we can depict that the seniors blame their feeling of fear and displacement to the Arabic migrants (Perrin Dunn 2007). The terrorist attacks that were carried out on the twin Towers in New York City on September 11 culminated in a worldwide prejudice against the Muslim community. From that point on, an increasingly number of individuals changes their perception regarding the Muslims, and they would now been associated with acts of terrorism, and therefore were treated as a source of threat to national security by many countries. Consequently, it became increasingly hard for an individual of Muslim of Arab origin to gain entrance to a majority of the foreign nations, let alone secure immigration rights. With regard to Australia, the Bali bombing, besides the September attack, heightened racial bias against the Muslim Arabic Australian (Clyne Kipp n. d.). According to the records gathered by the human rights and equal opportunity commission, a Muslim Australian is subject to considerable discrimination and ‘race talk.’ In addition, a survey that targeted Arabs and Muslims respondents depicted that 75% Arab Muslim had been subject to racial violence and abuse since the September 11, terrorist attack (Dunn et al 2007). Moreover, the study by Forrest and Dunn (2007), depicted how the everyday racisms at the ethnic and individual level was higher than the institutional form; workplace, learning, police and housing. An estimate of one in every six Australian was subject to institutional racism (Dunn et al. 2004). On the other hand about 25% of Australian experienced everyday racism in restraints, retail shops, sports, disrespectful treatment on the account of ethnic difference, and name address. Dunn, Klocker, and Salabay (2007) argue that in Australia, current anti-Muslim sentiment is a product of racialization that entails sensitivity of threat and inadequacy, well practiced stereotypes of Islam, and delusion that the Other (in this context the Australian Arabic Muslims) lack the sense of belonging. These acts of racisms are not out dated color-based segregation; instead they depict specific characteristics which are evidence of racialization process in regard to Arab Muslims. On the basis of the three levels of findings, the structure of Islam is the prominent means by which racism is often propagated. To begin with, surveys on public opinion have played a leading role in helping to disclose the level of Islamaphobia among the various states of Australia, and the relevance between threat acuity and perception of foreignness and Otherness. In addition, the set of information was derived from a constituent examination of the racialized affliction of Muslims and their respective spaces. The third cluster of information was derived from an evaluation of the underlying forces of Islamaphobia, and national cultural segregation in the affairs of state response to refuge seekers. Harmful media harassment is strongly connected to antagonistic government characteristics. This adversity has had substantial effects on the Australian Muslims. This is because it supports a more pervasive Islamaphobia, misguided opposition to mosque expansion and constantly more restraining asylum seeker strategy, and disguises in the form of racist violence and arson attacks. Eventually, the racialization of Islam undermines the sense of belonging and residency for Arab Muslim Australians. The present day Australia is in confusing state as a nation of co-existence between multiculturalism and various forms of racisms. According to the survey of Sydney population, using the social constructivist initiative to scrutinize the characteristic and sociospatial circumstance of racist conduct in Australias largest EthniCity, Sydney. The findings of the studies depict a combination of compositional and contextual relations with racisms (Forrest Dunn 2007). The former suggests a broad inconsistent affiliation between socioeconomic position and patience, as well as between cultur al variation and patience. Nevertheless, the latter, depicts a place centered cultures of tolerance and intolerance influencing compositional affairs. Therefore, distribution of racism in Sydney augments a level of understanding unequaled by the aspatial study alone. This gives insight of the intricacy of restricted political cultures and can be used in the formulation of anti-racism involvement. Failure of acknowledgement remains one of the key means of re-inscribing the other. In the anti-mosque opposition in Sydney depict a form of discrimination which manifest as a discourse of nonexistence. Sydney Arabic Muslims have been represented as non-residential inside or outside the situations where mosques prospects have been proposed (Forest Dunn 2007).. In these contexts right of belonging and residency by Sydney Arab Muslims have principally been violated. Census statistics have been used to dispute the contemporary and historical constructions of Islamic nonexistence in Australia. Sydney Arab Muslims are diversified in their culture, besides their disparity in faith groups. Their presence is increasingly felt in regions beyond their apparent zones of residential center. This assortment and dynamism considerably pose a challenge for the development in Islamic community’s development (Ummah) in Sydney and provide a strong basement for further investigation. The negative misconceptions about Muslim around the globe represent Muslims as intolerant, fanatical, aggressive, misogynist, fundamentalist, and most importantly, alien. The various misconception of Islam had different application by the mosque development opposition in Sydney state of Australia in the period of the 1980s and 1990s (Dunn 2001). Dedication and intolerance are characteristics of Islam which until the present time have experienced centuries of manipulation in the West. Their reiterative manipulations have lead to the attainment of extensive potency. For instance in Sydney, they were de ployed in planning determinations and political course of choice within local governments. The accusations of aggression and misogyny did not effortlessly transformed into the basis for the numerous oppositions of the mosque development (Dunn 2001); instead they formed the basis for heightening civilian discomfort and widening antagonism. In addition, the local governments declined expansion consent for mosques on the account of the misplacement of the characteristic of the proposals to the surrounding development, underpinning the construction of mosques to be alien and misplaced. Only did the discourse of opposition towards mosque development was not shallowly based on stereotypes of Islam, instead it relied intensely on the cultural framework of the composition of a local nationality and society. Mosque expansion supporters a counter construction of Muslim as ordinary local citizen, tolerant, family oriented, peaceful and moderate (Islamic Council of New South Wales 2004). Conclu sion The prominent elements and research issues for the respective social scientists are in threefold. To begin with, the international geopolitics and domestic politics of this humanitarian movement demands critical assessment. Second, the suitability of housing services demands evaluation (Perrin Dunn 2007). Particularly, the impact and worth of privatizing service delivery the humanitarian entrants requires rigorous systematic evaluation. Lastly, more knowledge about the cultural adaptation of this group of people is crucial to allow for more considerate decision, specifically with regard of the youth. As a result, a study on the experiences of racism and the relative existence and suitability of anti-racism policies is an important undertaking that needs to be addressed as a matter of great urgency. Reforms in the industrial relations policy have had a negative impact on the employees who are disadvantaged from a social point of view. Consequently, this has resulted in the equi ty consideration for susceptible workers particularly the migrants, women and young persons. Based on the research findings of academicians in the field of immigration, the work choices policies of Australian government presided by Howard does not take into consideration the predicaments of these disadvantaged class of people. They do not offer any prospects for the lowly paid labor force (Acker 2007). Reference List ABS (Australian Bureau of Statistics) (2006). Australian Standard Classification of Religious Groups (ASCRG), cat. No. 1266.0, ABS, Canberra. Acker, E. (2007). Globalization and the politics of restructuring the Australian labor market Web. Available from: http://homepage.ntu.edu.tw/~lbh/ref/new2/18.pdf . Australian Bureau of Statistics. (2010). Australias Population Web. Available from: from abs.gov.au/. Australian Consulate-General., 2010. Skilled Migration to Australia. Visa and Citizenship Section. Dubai, United Arab Emirates. Web. Available from vfs-au-gcc.com/Skil led_Migration.pdf . Bowen ,C., 2010. Changes to Australias skilled migration program. Web. Available from minister.immi.gov.au/media/speeches/2010/ce100208.htm . Bugg, L., n. d. Religious Freedom and the Right to the City: Local Government Planning and the Rejection of Islamic Schools in Sydney, Australia. Department of Sociology and Social Policy. The University of Sydney, Australia. Web. Available from irmgard-coninx stiftung.de/fileadmin/user_upload/pdf/Cultural_Pluralism/Religion/Essay.Bugg.pdf . Bryan, D. Rafferty, M., 1999,. The Global Economy in Australia. Sydney, UK: Allen and Unwin Caldwell, J. C. (1987). Chapter 2: Population. In Wray Vamplew (ed.). Clyne,M. Kipp.S.n.dpluricentric languages in an immigration context;Spanish ,Arabic, Chinese Walter de GruyterCo,Berlin Web. Available from immi.gov.au/. Department of Immigration and Citizenship., 2008. The People Of Australia Web. Available from immi.gov.au/. Dunn, K.M., 2004: â€Å"Islam in Australia: contesting the discou rse of absence†, The  Australian Geographer, Vol. 35, No. 3, pp. 333-353. Dunn, K.M., Klocker, N. Salabay, T., 2007: â€Å"Contemporary racism and Islamaphobia in Australia: racialising religion†, Ethnicities, Vol. 7, No. 4, pp. 564-589. Dunn, K.M., Forrest, J., Burnley, I. McDonald, A., 2004: â€Å"Constructing racism in Australia†, Australian Journal of Social Issues, Vol. 39, No. 4, pp. 409-430. Dunn, K.M. Mahtani, M., 2001: â€Å"Media representations of ethnic minorities†, Progress  in Planning, Vol. 55, No. 3,pp. 163-72. Dunn, K.M., 2001: â€Å"Representations of Islam in the politics of mosque development in Sydney†, Tijdschrift voor Economische en Sociale Geografie, Vol. 92, No. 3, pp. 291-308 Forrest, J. Dunn, K.M., 2007: â€Å"Constructing racism in Sydney, Australia’s largest ethni city†, Urban Studies, Vol. 44, No. 4, pp. 699-721 Perrin, R-L., Dunn, K. M., 2007: â€Å"Tracking the settlement of North African immig rants: Speculations on the Social and Cultural Impacts of a Newly Arrived Migrant Group.  The Australian Geographer, Vol. 38, No. 2, pp. 253-273. United Nations Statistics Division., 2006. Demographic Yearbook 2004 Web. Available from: http://unstats.un.org/unsd/demographic/default.htm . United Nations Educational, Scientific and Cultural Organization. (2010) Social and Human Sciences, Migrant/ Migration. Web. Available from unesco.org/new/en/social-and-human-sciences/themes/social-transformations/international-migration/glossary/migrant/ . Ward, L., Wood, K., 2009. ‘Right the wrong’: the RMIT University Muslim Prayer Room Campaign 2008-2009.

Friday, November 22, 2019

Business organization and environment of Nokia

Business organization and environment of Nokia In this assignment, our group has decided to choose Nokia, a phone manufacturing company as our example and decided to write the aspect about the business organization and environment, organization structure and technology society of Nokia. â€Å"Connecting People† is the vision of Nokia. Now, Nokia phones is also recognize as the fifth most value brand in the world. The history of Nokia doesn’t begin with the production of phones instead it began with the production of paper in 1865 where the founder of Nokia Fredrik Idestam established a paper mill in south- western Finland. Then in 1992, Nokia decided to focus the company on telecommunication. According to, John Daniel (2008) Nokia is known for producing the best phones with latest technologies and now is the largest phones manufacturing company compare to the other competitors like Sony Ericsson, Samsung, LG and others. Nokia is a leading brand in the mobile phones world. In year 2005 Nokia sold billions of mobile phone and launches it’s most popular N Series phones, and now, Nokia have 35% shares in the market. Nokia phones offer phones that are equipped with different design and functions to satisfied different customers’ needs. Business Organization and Environment As Nokia is the world wide mobile phone company. By operating such a huge company, they have their slogan that is † Connecting People† , and have three aims; Speed of Anticipation and Fulfilling Evolving Customers and Market Needs, Strong Customers Recognition and Upholding A Solid and Positive /Relationship With It’s Stakeholders. What are the Business Organization and Environment of Nokia? Environment are divided into two main categories, Internal and External Environment. Internal environment is also known as the controllable environment. Internal environment composed of the elements within the organization, including current employees, management and especially corporate cultures, which defin es employee behavior. Although some elements affect the organization as a whole, others affect only the manager. Here is some examples of Internal Environment of The Nokia company, Employees are important to the company because they are responsible for the operating cores and daily works. Nokia company should motivate them and understand their behaviour and needs properly to as to determine the ways to motivate them. If their needs have being fulfilled, so they will be able to produce good work and results to the Company. Employee should also be provided training which is related to their work to ensure they are able to achieve good performance in the Company . Because of their good performance, the production output achieved will nevertheless, help to boost the sales of Nokia mobile phone. Thus , can also achieve the Income of the company for further growth. With more Income generated, the Nokia Company can use the money to upgrade the existing machine and employed more designers a nd engineers to produce more attractive plus sophisticated and high quality phone. This can prevent the customer to choose the others mobile phone company because of limited choice and bad qualities of the phone. Other than that, with more profits, Nokia Company also can send their employees for further training and gain more experience in manufacturing and designing the mobile phone.

Wednesday, November 20, 2019

How to View Quality Theory from a Contingency Perspective Essay

How to View Quality Theory from a Contingency Perspective - Essay Example This does not mean that the work process should get routinized. Rather, enough flexibility has to be maintained, in order to meet all kinds of future changes and contingencies. In the modern dynamic business world this is far from being true. Hence there is the need is to develop a contingency approach to the quality management theories. The contingency perspective of quality management states that there can be no single management theory which can be used as a solution in all organizations under every circumstance. Hence all the elements of management, that is planning, organizing, staffing and directing needs to be suited to the requirements of the organization. The various factors upon which such decision making depends, include various environmental factors as well as several internal contingencies. (Stahl, 1999, p 78) The experts believe that the quality management is made up of two aspects namely, quality control and quality learning. Whereas control refers to the use of the quality improvement theories in an organization, learning refers to the use of the same in a contingency perspective. These two elements are also influenced by various moderators like the organizational structure and the environmental uncertainty, which in turn affects the overall performance. The managers need to have an effective balance between these two conflicting goals in the organization, so as to effectively deal with the situational uncertainties of the business. Thus it can be said that the successful working of an organization is dependent on the adaptability of its internal change processes to its external environment and to the contingencies occurring due to the nature of its business. (Giaever, 1998) A question can be asked in this regard, whether the Quality in itself is contingent or not. (Beckford, 2003, p. 151). There may be two dimensions of this question. The first one is the quality, which is determined by measuring the output of the organization.

Tuesday, November 19, 2019

Comparison of the novel by Robert Penn Warren and the film Adaptation Essay - 2

Comparison of the novel by Robert Penn Warren and the film Adaptation - Essay Example However, the substance of the prose will highlight how successful was the screenplay in projecting the character’s emotion and their conflicts. One of the turning points in the entire story was how the relationship between Judge Irwin and Jack Burden was affected by the on-going power struggle of Willie Stark. Jack’s character is torn between the man, who had always been a father figure to him throughout his life and the man, who was everything he had wanted to be. In the book, Jack confronts Judge Irwin about the only scandal in his otherwise sterling career and personal life. The Judge admits to his sin as Jack openly blackmails him. The judge seems resolute and does not give in to his blackmail and later on Jack discovers through his mother that not only did Judge Irwin commit suicide, but he was also his biological father. (Warren, 2002) The book clearly elaborates upon the irony of their conflict, as the Judge bequeathed him the same dirty money that Jack was blackmailing him over. The conflict between Judge Irwin and Jack is depicted in a completely different light in the 1949 adaptation; as Judge Irwin’s character was replaced by Judge Stanton and the dramatic discovery of Jack’s paternity was completely omitted. The 2006 version did include this part and besides the dramatic finding, the movie shows a compelling exchange between the two characters; Judge Irwin hints at a dark secret but doesn’t reveal it that prepares the audience for what is to come and emboldens the element of suspense in the novel. (Zaillian, 2006) The movie depiction of this scenario somehow makes more sense than the book’s description. It wasn’t any flaw on part of the author but the actors and their respective involvement in their roles successfully projected the intensity of the emotion and the conflict they were embroiled in. The climax of the story is reached with Stark’s

Saturday, November 16, 2019

Effective Retail Signage Essay Example for Free

Effective Retail Signage Essay Effective Retail Signage In this day and age of modern computers, ink jet printers and desktop publishing programs, I am still amazed to see store owners that put little effort in to producing quality signage for their stores. Signage is one of the most important ways to convey your message to your customers. Your store name, promotions, pricing, and product information may all be conveyed through signage. Are you getting these messages across effectively? As a customer walks by your store, you have about 3 seconds to let them know what they will find inside. What message are you sending? Place it where it will catch your customers attention, but will not block essential elements of your store. Think about how customers approach your store. If customers walk by your store, but your store name is only placed high up on your store front, facing the street, how will they see it? You also need to repeat the name on the door or window, and perhaps hanging from an awning or on a sandwich board on the sidewalk. Make sure signs dont block traffic flow, displays, or the view of the interior of your store. Window signage may not be visible to customers for other reasons that you do not realize. Is there a parking meter blocking the view of your window? What about a loading zone where delivery trucks park for a large part of the day, obscuring part of your store from view? Check for reflections on the window that make your interior signage invisible during the day. Youll need to check this at various times of the day to find out what happens to the light and reflections depending on the position of the sun. You can improve the visibility of your signage by improving the display lighting inside, and by using light colors in your windows. Light colored signage will stand out, while dark colors will recede and virtually disappear behind reflections on the glass. After placing your signs, double check how they look from a customers point of view. Step back and approach the store as a visitor. Walk from front to back and look at all your signage critically and reposition as necessary. The simpler you keep your signage the better. Reduce visual clutter, and focus on getting your most important message across to your customer. You will attract more walk-by traffic, and avoid confusing your customer. Your sales should increase as a result.

Thursday, November 14, 2019

Styles of An Occurrence at Owl Creek Bridge versus The Tell Tale Heart :: essays research papers

The authors, Ambrose Bierce of 'An Occurrence at Owl Creek Bridge' and Edger Allan Poe of 'The Tell Tale Heart' have unique styles to pull the reader into the story. Both authors use unreliable narrator and imagery to allow the reader to picture and follow the narrator's way of thinking. In the Tell Tale Heart, the man is very repetitious and his psychotic behavior is what intrigues the overall dark madness of The Tell Tale Heart. In Occurrence at Owl Creek Bridge Bierce uses illusions to allow the reader to follow wherever his ideas lead which also intrigues the overall dark madness effect. After the old man is dead and under the floorboards the police arrive, and the narrator remains calm and his "manor had convinced them.?Villains!" "Dissemble no more! I admit the deed! -- tear up the planks! -- Here, here! -- it is the beating of his hideous heart!" The narrator of "The Tell Tale Heart" shows that he is unreliable. Concluding the questioning by the police, the narrator had a sudden fear and assumed that the policemen have heard the old man?s heart beat. Not only the narrator could hear the old man?s heart beating, but it is assumed (from the audience perspective) that the police could hear the narrator?s heart beating. The narrator listening to the old man?s heart beat is a replacement of his own consciousness that brought out the guiltiness for murdering the old man. In the last three paragraphs of An Occurrence at Owl Creek Bridge told by a third person point of view, Farquhar is being hanged by the rope, and when the rope is undone, Farquhar escapes and sees the light of the river. The light in this particular story represents a warm bright light from heaven. On other hand on the complete opposite side, in The Tell Tale Heart the light (lantern) signifies fear of the eye. However the narrator reveals that Farquhar?s escape is a hallucination that lasts only from moment the rope breaks his neck at the end of the fall. In the Tell Tale Heart, Poe uses many figures of speech such as Anaphora at the beginning of a clause throughout the whole entire story as the narrator becomes calm and mad about the crime the narrator committed. A couple examples are: ?I heard all things in the heaven and in the earth.

Monday, November 11, 2019

The Financial Crisis of 2008

This paper explores the factors, which caused the recent financial crisis of 2008. Furthermore this paper will explain how the Federal Reserve’s (Fed) monetary policies and the Federal Government’s fiscal policies are crucial in limiting and perhaps eliminating future catastrophes.The Financial Crisis of 2008Factors and PreventionThe financial crisis of 2008 is widely considered the worst financial crisis, since the Great Depression (Pendrey, 2009). The repercussions of the crisis were mind-boggling, and unfortunately for many, it was life altering. Families lost their houses, their jobs, and in many cases, they lost their entire life savings. Furthermore, neither businesses nor banks escaped the massacre. The financial crisis not only devastated the United States, it also had far reaching worldwide consequences. The global economy suffered, as a result of what was happening here.The devastation was so severe, that the economy has yet to fully recover. To make matters e ven more frustrating, Sewell Chan of the New York Times explained, â€Å"The 2008 financial crisis was an â€Å"avoidable† disaster caused by widespread failures in government regulation, corporate mismanagement and heedless risk-taking by Wall Street†¦Ã¢â‚¬  (2011). This paper will attempt to discuss the factors, which led to the crisis, and perhaps more importantly, attempt to provide courses of action, which would prevent similar incidents in the future.DiscussionIn the years that led up to the financial crisis, seemingly everyone who could fog a mirror could get a home loan. These loans were often much more than the borrower could ever possibly afford to pay back. The government commission, which investigated the crisis, believes one of the main factors causing the financial crisis was the Federal Reserve’s and other regulators  failure to recognize the poisonous combination of careless mortgage loans, in addition to the packaging and sale of loans to inve stors and risky bets on securities backed by the subprime loans (Chan, 2011).The previous statements are best summarized, when Leon Hadar, a research fellow in foreign policy studies, opines in his Cato Institute commentary, â€Å"The housing boom and bust that precipitated the crisis were facilitated by extremely loose monetary policy.† (2009).Faulty monetary policies are not alone in the blame, however. The Federal Government’s shoddy fiscal policy also played a role. The Gramm-Leach-Bliley Act, also known as the Financial Modernization Act of 1999, repealed the injunction on the collaboration between investment and commercial banking established by the New Deal-era Glass-Steagall Act’s of 1932 and 1933. According to Hadar, this policy also proved dreadful. He states the Act, â€Å"†¦caused the crisis by clearing the way for investment and commercial banks to merge, and thus giving investment banks the incentive to take greater risks, while reducing the amount of equity they are required to hold against any given dollar of assets.† (2009).Not surprisingly, the incompetency and, in some cases, illegal actions of corporate management, in addition to Wall Street’s propensity to risk, also contributed to the 2008 financial meltdown. The US government’s official report, on the financial crisis, concluded, â€Å"several financial industry figures may have broken the law in the run-up to the crisis.† (Rushe, 2011). Furthermore, risk taking is an every day occurrence with Wall Street. Charles Ferguson pulls no punches with respect to Wall Street’s share of the blame, in an online article.The article titled â€Å"Heist of the century: Wall Street’s roll in the financial crisis† orates, â€Å"It is no exaggeration to say that since the 1980s, much of the global financial sector has become criminalised, creating an industry culture that tolerates or even encourages systematic fraud. The behavio ur that caused the mortgage bubble and financial crisis of 2008 was a natural outcome and continuation of this pattern, rather than some kind of economic accident.† (2012). SolutionWith the previous factors given, one might wonder how to prevent another  financial crisis from occurring. Costas Markides provides a very reasonable thesis in my opinion. In a Bloomberg.com blog, which addresses actions needed to avoid the next predicament, Markides contemplates, â€Å"If you want to change how people behave, don’t tell them. Instead, change the underlying environment that produced their â€Å"bad† behavior in the first place.† (2012). In other words, it is human nature to demand punishment and thereby obtaining a sense of instant gratification. To prevent future financial calamities, however, it is wise to address the underlying causes and understand what went wrong.Although there can never be a hundred percent solution to managing the national economy to su ch an extent that there will never be another crisis, the needed adjustments seem to lay at the feet of the Federal Reserve’s monetary policy and the Federal Government’s fiscal policy. The Fed addressed one major cause of the financial crisis by implementing much needed regulations regarding mortgage loans and requiring proof of borrowers ability to pay the loan back (Warner, 2013).The Government, on the other hand, initiated mass government spending in order to stimulate the economy. Both the Fed and the Federal Government need to tighten regulations, but perhaps more importantly, they need to act more quickly and decisively to limit, or even more optimistically, prevent the next financial crisis. Mark Thoma of CBS best summarized this point by stating, â€Å"This disaster could have been prevented by a strong regulatory response, but the belief that markets would self-regulate†¦ led to a regulatory hands-off approach†¦ The hands-off regulatory approach wa s a mistake.† (2009).SummaryIn summary, it is clear that the financial crisis of 2008 was caused by errant monetary and fiscal policies. Furthermore, there was a delayed reaction by both the Fed and the Federal Government, which was caused by a hands-off regulatory approach. In the future, the Fed and the Federal Government need to act more decisively and promptly to better steer the economy away from a downward trending economy. Both the monetary and fiscal policies are vital to the ongoing recovery and future growth of the country’s economy.

Saturday, November 9, 2019

Business and Economics (Matewan)

Matewan is a story which focuses around the violent labor disputes which occurred in the West Virginia coal fields in 1920. During these days, there was no benefits and job security for workers as the Stone Mountain Coal Company displays. Due to the efforts by the workers of the coal fields to form a union, the Stone Mountain Coal Company publicized to their workers that those who were in unions were to be replaced and pay cuts would be rationed out. Outrage ensued between the workers and the new African American workers that were being brought in.However, Joe Kenehan, who worked for the United Mine Workers, decided that if the replacement workers joined the union, the company had to accept it as they wouldn’t have workers. In order to stop the idea of a labor union, the coal company sent C. E. Lively to investigate the workers undercover. Lively then brings in two armed agents from the Baldwin-Felt Detective Agency handle the work he cannot as he is undercover. This entire si tuation escalates into a violent shootout and reinforcement agents from Baldwin-Felts came to evict workers who were part of a labor union.A total of nine people were killed during the shootout where workers just wanted to have basic rights. Apparent ethical issues are portrayed throughout the movie. In today’s society, labor unions are prominent and respected. Undercover agents are not being sent in order to destroy the unions which are protecting rights of workers. Corporations back in 1920 did not want to deal with the cost of fair pay and protecting their workers. Until OSHA was enacted, most companies sought to find the cheapest form of labor.Also, the event of a shootout due to workers wanting their jobs to be secure is unexplainable. Money and power corrupts the minds of humans and fallouts such as the one which occurred in West Virginia between coal field workers and the Stone Mountain Coal Company. As stated in lecture nine, America is a materialistic country. Most o f the citizens overlook the value in everyday things others may long for their entire lives but attain it. The advancement of technology, and the accessibility of nearly any luxuries, has caused degeneration in the virtues of American’s minds.Overlooking the necessities to sustain a basic life, the people of the nation look towards the excess. One can easily live without the newest tablet device, yet they shall still buy it. The worst part of that is how that same person with the tablet may also be getting their ends meet by using food stamps. Americans have embedded their mindsets in the goal of obtaining materialistic items to keep themselves content, all the while forgetting the values humans have been contempt with for centuries.

Thursday, November 7, 2019

WAGNER Surname Meaning and Family History

WAGNER Surname Meaning and Family History From the Germanic Waganari, meaning wagon-maker or wagon driver, the common occupational surname Wagner was often given to one who transported produce or other goods via high-sided wagons or carts. Among some German populations, especially the Pennsylvania Germans, Wagner also denoted a wagon-maker, wainwright, or cartwright. Wagner is the 7th most common German surname  and 4th most common surname in Austria. Surname Origin: German, English Alternate Surname Spellings:  WAGGONER, WAGONER, WAGENER, WAEGENER, WAGNOR, WAGNER, WAGONNER, WEGENER, WEGNER, VAGNER, VEGENER, VEGNER   Famous People with the WAGNER  Surname Richard Wagner - 19th-century  German conductor and composerJack Wagner - American actor and musicianRobert Wagner - American actorAdolph Wagner - German economistArthur Wagner - Church of England clergyman in Brighton, East  SussexGeorge D. Wagner - Indiana politician and Civil War Union generalJohann Andreas Wagner - German palaeontologist and zoologist Where is the WAGNER Surname Most Common? According to surname distribution from Forebears, WAGNER is the 4th most common surname in both Germany and Austria. It is also fairly common in Luxembourg (5th),  Switzerland (55th), the United States (142nd), Denmark (178th) and Slovakia (363rd). WorldNames PublicProfiler indicates that the Wagner surname is especially common in Saarland, Germany, as well as in both Hungary and Gussing, Austria. It is also prevalent in the German states of Rheinland-Pfalz, Thà ¼ringen, Hessen and Bayern. Genealogy Resources for the Surname WAGNER Meanings of Common German SurnamesUncover the meaning of your German last name with this free guide to the meanings and origins of common German surnames. Wagner Family Crest - Its Not What You ThinkContrary to what you may hear, there is no such thing as a Wagner  family crest or coat of arms for the Wagner surname.  Coats of arms are granted to individuals, not families, and may rightfully be used only by the uninterrupted male line descendants of the person to whom the coat of arms was originally granted. Wagner  Y-Chromosome DNA  Surname ProjectIndividuals with the Wagner surname are invited to participate in this group DNA project in an attempt to learn more about Wagner family origins. The website includes information on the project, the research done to date, and instructions on how to participate. History and Genealogy of the Wagner-Waggoner-Wagoner FamilyOnline digital version (free) of a 1941 book on the descendants of  John Waggoner, born in 1758 in Wasselonne, Alsace, France, who later immigrated to  Maryland. WAGNER  Family Genealogy ForumThis free message board is focused on descendants of Wagner  ancestors around the world. FamilySearch - WAGNER  GenealogyExplore over 3.7  million results from digitized  historical records and lineage-linked family trees related to the Wagner surname on this free website hosted by the Church of Jesus Christ of Latter-day Saints. WAGNER  Surname Mailing ListFree mailing list for researchers of the Wagner  surname and its variations includes subscription details and a searchable archives of past messages. DistantCousin.com - WAGNER  Genealogy Family HistoryExplore free databases and genealogy links for the last name Wagner. GeneaNet - Wagner  RecordsGeneaNet includes archival records, family trees, and other resources for individuals with the Wagner  surname, with a concentration on records and families from France and other European countries. The Wagner Genealogy and Family Tree PageBrowse genealogy records and links to genealogical and historical records for individuals with the Wagner  surname from the website of Genealogy Today.- References: Surname Meanings Origins Cottle, Basil.  Penguin Dictionary of Surnames. Baltimore, MD: Penguin Books, 1967. Dorward, David.  Scottish Surnames. Collins Celtic (Pocket edition), 1998. Fucilla, Joseph.  Our Italian Surnames. Genealogical Publishing Company, 2003. Hanks, Patrick and Flavia Hodges.  A Dictionary of Surnames. Oxford University Press, 1989. Hanks, Patrick.  Dictionary of American Family Names. Oxford University Press, 2003. Reaney, P.H.  A Dictionary of English Surnames. Oxford University Press, 1997. Smith, Elsdon C.  American Surnames. Genealogical Publishing Company, 1997. Back to  Glossary of Surname Meanings Origins

Monday, November 4, 2019

Econ Essay Example | Topics and Well Written Essays - 1500 words

Econ - Essay Example As such both the anti-trust laws and intellectual property right laws are at odds with each other due to their potential differences. Though both the legal regimes may seem quite non-relative with each other as intellectual property rights deal with the protection of certain rights over any kind of technological or other advances made whereas the anti-trust laws specifically deal with the competition and how market should be regulated. It is however, argued that both are linked in the sense that government attempt to create so called justified value in the market in a bid to unite the market. This paper will discuss the paradox of what intellectual property rights and anti-trust laws prevent and permit respectively and how this paradox can be solved. Intellectual Property Rights and Anti-trust laws Intellectual property rights are given in order to provide exclusive rights for different intangible assets to the owners of these assets. Most commonly Intellectual Property Rights or IPR are granted by giving or registering patents, trademarks, copyrights as well as industrial design rights. It is however; critical to understand IPRs are becoming increasingly more important not just only in the trade related issues at the national and international level but they are also becoming a matter of daily routine. This aspect of the IPRs therefore makes them critically more important to gain increasingly more significance from the social perspective also. It is argued that there is no uniform definition or explanation of the intellectual property rights at the global level however, different agreements and treaties have actually being made in order to iron out the anomalies and bring in harmony at the national level in the intellectual property rights. World Intellectual Property Organization defines intellectual property rights as â€Å"creations of the mind: inventions, literary and artistic works, and symbols, names, images and designs used in commerce†. (WIPO). This definition is relatively different from what has been defined by World Trade Organization. Definition by WTO suggests that intellectual property rights give exclusive rights to the creators of mind’s inventions to use them for certain period of time. The above definitions therefore suggest that intellectual property rights and their legal implications are still to be defined in uniform manner. Anti-trust laws however, are related with the concept of competition which is purely and economic concept and refer to a market based mechanism. Under this mechanism, everyone is allowed to enter and trade in the market freely and without any restrictions and should be given equal treatment and fair chance to pursue one’s own economic interests. Competition however, also requires optimal allocation of resources and is considered only valuable when it is able to optimally allocate the resources in the market. What is also important to note that competition inherently require s that there should not be any barriers or unfair use of market power and use of unfair practices which can provide an unfair advantage to someone? Competition therefore advocates a fairly balanced and just market mechanism under which everyone is free to enter and exit the market

Saturday, November 2, 2019

Week One Discussion Questions (Mgt-437) Project Management Essay

Week One Discussion Questions (Mgt-437) Project Management - Essay Example A project’s focus looks at the strategic tilt of the business as the project gives the indication whether or not the success will be achieved for the different business entities and how the same will shape up the future realms of the business in the long run. 2. What is a project life cycle? How do project life cycles differ among organizations? To what degree does the structure of the project life cycle used by the organization affect the project manager’s job? Explain your answer. A project life cycle is a series of steps that are taken in order to reach the end goal within a project itself. It is important that a project life cycle is apparently drawn in order to assist the project team members in understanding the work domains. Project life cycles differ amongst organizations because they depend upon the nature of the project work, their deadline requirements that need to be taken care of and the stakeholders who will be directly or indirectly affected by the project in essence. The project manager’s job is seriously affected by the project life cycle because it makes him wait for certain activities to end before he could align the other project deliverables. The need for understanding the time glitches and work requirements is essential for a project manager in order to deliver value. A project stakeholder is a person who is directly or indirectly affected by the project’s results. Some examples of project stakeholders include the people who have invested heavily within the project’s domains as well as those who remain within the background but are linked with the project on a very constant basis. The stakeholders of a project are also comprised of the people who will be affected by the outcome of a project in the long run. When stakeholders are not identified and addressed early on in the project, the projects get affected by such incidents in a very

Thursday, October 31, 2019

Library Research Essay Example | Topics and Well Written Essays - 250 words

Library Research - Essay Example Students find it imperative to find information that is scholarly as well as peer-reviewed like the journal articles. In addition, there are other sources of information which are non-reviewed such as Wikipedia that might be helpful for background, although these sources contain information which frequently lack depth and may exhibit a lot of errors (Jay, 1983). Nonetheless, the North Central Library contains extensive holdings in any field, and with the assistance of the librarians, students are capable of finding any information they require. The Activity Resources found in this library contains information literary which helps the students in familiarizing themselves with information literacy, while at the same time testing their information literacy skills. Apart from that, the searching library provides a wealth of databases, which is helpful when looking for scholarly information, as well as tutorials on the usage of these databases. The library also provides a chance for stude nts to develop into experts in particular areas. On the other hand, library can also help students’ exhibit expertise through a certain projects. This can be in regardless of whether the student is going into the program and having an interest in a particular

Tuesday, October 29, 2019

Technology proficiencies Research Paper Example | Topics and Well Written Essays - 2250 words

Technology proficiencies - Research Paper Example Additionally, an analysis and comparison of how the plans use technological tools and their application in various learning environments was conducted. Discussing the need to coordinate technology service departments and curriculum departments for the integration of technology and curriculum and how that may be accomplished and the challenges that might be faced The recent past has seen an increase in the use and enhancement of technology especially in the education sector. Shute, & Becker (2010) states that in this era with much emphasis and focus on inclusion and collaboration, educators and stakeholders on all levels need information as regarding the myriad ways in which technology could be used to enhance the performance of students while also facilitating the participation of all students including those with disabilities to fully participate in instructional activities while also improving scholastic achievement. It is without any doubt that technology has the ability of supporting much of the effort meted towards not only curriculum access, but also participation and progress. Consequently, technology not only increases independence, but also empowerment and personal productivity. It is to this regard that it must be understood that does technology not only facilitate the various kinds of interactions occasioning instructions, but al so has the ability of transforming static curriculum resources into both flexible digital media and tools (Heinecke, & Adamy, 2010). In educating students, a key document is the IEP document more so in the case of students with disabilities. Not only does the document detail the current level of performance of students, but also sets out the annual goals while delineating the services, support and ancillary aids that could prove effective in accomplishing the goals. It is worth appreciating the fact that the increase in the number of children being served in

Sunday, October 27, 2019

Orthodontic Tooth Movement: Ideal Rate and Force

Orthodontic Tooth Movement: Ideal Rate and Force Ananth Kadekodi â€Å"Describe and discuss the concept of the ideal rate and force for Orthodontic tooth movement. Provide evidence for and against the claims of this ideal†. Orthodontic tooth movement is a process that combines pathologic, physiologic and biological responses to externally applied forces (Wise, King, 2008). It is explained by the pressure tension theory and bone bending theory. Pressure tension theory states that tooth movement occurs in the periodontal space by creating a pressure side and a tension side (Schwarz, 1932). Conversely, bone bending theory states that force delivered, results in bending of the tooth and its surrounding structure, whilst altering the cellular activity for bone remodelling. Additionally, tooth movement is also comprised of three phases, which include the initial phase, lag phase and post lag phase (Burstone, 1962). Currently, there is being a shift, from the emphasis on force application to the biological and biochemical factors affecting tooth movement (Mayne, 2014). Nevertheless, understanding of the force magnitude and its temporal characteristics is important determining the ideal rate and force of ortho dontic tooth movement. Study conducted by various scientists, showed that variables such as: force magnitude; continuous vs intermittent force; individual variations; tooth variations and different types of tooth movement play a role in determining the ideal and rate and force of tooth movement. Studies by Hixon et al. (1970) showed that higher forces moved teeth farther in 8 weeks than lighter forces. The studies showed an increase in maxillary canine movement in all but one of the subjects. The trials demonstrated that as the force increased from 200 grams to 300 grams, the tooth movement for patient B increased from 0.15 mm/week to 0.25 mm/week. This is a result of the higher forces generating a metabolic response sooner and at a more rapid rate, resulting in an increased tooth movement. Additionally, study conducted by Andreasen, and Johnson (1967) on sixteen females, showed teeth exposed to the 400 grams moved further than 200 gm, at a rate of 2.5 times to that of the lower force. Moreover, heavier force, also cause an increased anchor teeth movement (Storey, 1973). However, studies by Owman-moll, Kurol, and Lundgren (1996) have claimed that maximum tooth movement can be achieved even with light forces. This is also supported by Storey (1973), who stated little differen ces in canine movement between heavy and light forces. Moreover, Ren, Maltha, Kuijpers-Jagtman (2003) support this viewpoint by stating that, there is no specific optimal force but a wide range of forces evoke a biological response in the periodontal tissue for ideal tooth movement. Additionally, Owman-moll et al. (1996) through their studies showed that, while heavy forces increase tooth movement, they can also damage the tooth and increase the rate of root resorption. Storey (1973) observed that some trauma is associated even with applied light orthodontic forces. In order to produce adequate biological response in the periodontium, light forces cause frontal bone resorption but heavy forces can cause PDL necrosis, along with bone and root resorption (Krishnan, Davidovich, 2006). Hence, an optimal force is an extrinsic mechanical stimulus, with the aim of restoring the equilibrium of periodontal supporting tissue remodelling via cellular response. It should lead to a maximum rate of tooth movement, while ensuring minimal irreversible root, PDL and alveolar bone damage. Also, this force should produce a maximum rate of tooth movement, whilst ensuring patient comfort (Proffit, Fields, Sarver, 2013; Ren at al., 2003). Teeth react differently, depending on whether the force is continuous or intermittent. Studies by Oates, Moore, and Caputo (1978) showed tooth movement exposed to low level of intermittent tooth forces were equal to that of continuous forces. But at higher force levels, intermittent forces produce greater tooth movement within a shorter period of time. However, results from study conducted by Owman-Moll, Kurol, and Lundgren (1995) showed continuous forces (4.3mm +/- 1.5mm) were more effective than intermittent forces (2.9 +/- 0.6mm) in achieving tooth movement. Furthermore, the study also showed no significant root resorption differences between the two forces in the end. Proffit et al. (2013) believe that effective tooth movement occurs with longer and continuous forces between 4 – 8 hours. They also believe that light continuous forces produce the best tooth movement and these forces should be light enough to ensure only frontal resorption. However, heavy continuous forces s hould be avoided due to tissue damage but heavy intermittent force is clinically acceptable although it is less efficient. Study conducted by Hixon et al. (1970) showed the role of individual variation affecting tooth movement, with some individuals displaying increased movement than others. These individual variations are in regard with different root areas, metabolic responses and facial growth. The variations resulted in altered time and rate of tooth movement between individuals. Additionally, older patients with lower metabolism and increased facial growth showed less movement, in comparison to a younger patient. The variation is also attributed to differences in tissue characteristics. The younger patients have many celled periodontal membrane; uncalcified osteoid bone crest lining; and loose fibrous marrow space tissue, meaning that they reach the proliferation stage of tissue changes earlier than older adults. This will result in tooth movement (initial phase) starting earlier in younger people (Reitan, 1957). Additionally, Pilon, Kuijpers-Jagtman, and Maltha (1996), stated that individual differ ences in bone density, metabolism and PDL turnover can also be responsible for the variations. Each individual has his/her optimum pressure for tooth movement and that in slow movers; the optimum forces were not applied. Hixon et al. (1970), though his study demonstrated different teeth having different optimal rates and force for tooth movement. The results noted an increased canine movement, in comparison to molars. This is due to the root surface area of the canine being lesserthan molar, with the forces being distributed over a larger area rather than being concentrated (in the case with canines). Moreover, Proffit et al. (2013) also support this theory through their table, which shows a smaller force for anterior teeth and a larger force for posteriors. Additionally, Smith and Storey (1952) stated the optimum range for the maximum rate of movement is 150-200cN for canines with later studies by Lee (1964) increasing the range to 260cN. Through their studies, Lundgren, Ownman-Moll, and Kurol (1996) stated the ideal rate of horizontal tooth crown movement was 0.8 mm during the first week and 3.7mm after 7 weeks. However, intraoral location also makes a difference, with maxillary canines having an i ncreased movement in comparison to their mandibular counterparts (Hixon et al., 1970). However, Ren, Maltha, and Van‘t Hof (2003) stated no differences in movement between the maxillary and mandibular canines. Hence, the implications of intraoral location on tooth movement are still unclear. Proffit et al. (2013) have stated that different types of tooth movement have different optimal forces and these include: tipping movement (35-60 gm); translation (70-120 gm); root uprighting (50-100gm); rotation (35-60 gm); extrusion (35-60gm) and intrusion (10-20 gm). Using results from past studies, along with the consideration of the above variables, Quinn, and Yoshikawa (1985) have developed four hypotheses, related to force application and tooth movement. Hypothesis 1 is a constant relationship and Hypothesis 2, is linear relationship between the rate of tooth movement and stress. Hypothesis 3 states that increasing stress increases the rate of tooth movement to a maximum after which the rate declines with additional stress. Lastly, hypothesis 4 states that tooth movement increases with stress up to a point after which additional stress causes no increase in tooth movement. Quinn and Yoshikawa support hypothesis 4, as it supported by extensive experimental and clinical data. This hypothesis is also supported by Hixon et al., with his results showing a lack of tooth movement after a certain force application. But Ren, Maltha, and Van‘t Hof (2003), challenged this model due to a lock of available data with high forces, and created a new ma thematical model, where shows no tooth movement with no force, but as the force increases, the movement also increases until a certain force, after which the movement stays constant or slightly decreases but will never become negative. This is in contrast to hypothesis 4, which stated the movement as being constant but never decreasing. From the above essay, we can see that there is still a lack of definite answer for an ideal force and rate of tooth movement, and this can attributed to four main reasons. The first reason is due to a lack of ability to calculate stress and strain at the periodontal ligament. Most studies discussed above, were based on the application of the force to the tooth, but not the forces leading to biological reactions. The second reason is due to the lack of tooth movement control, with most studies involving tooth tipping which causes uneven stress distribution in periodontal ligament. Moreover, measurements are made at the crown, and not at the stress areas, resulting in force overestimation. Additionally, many of the studies were conducted during a short period of time, making the data relevant only for the first two phases of tooth movement. Lastly, variation both among and within individuals, makes it difficult to calculate optimal force and rate, as each individual has his/her individ ualised optimal values (Ren, Maltha, Kuijpers-Jagtman, 2003). In conclusion, we can see that more studies need to be conducted to determine the ideal rate and force of orthodontic tooth movement. Tooth movement is affected by factors such as: force magnitude; individual and tooth variation; intermittent or continuous forces and different types of tooth movement. Additionally, Quinn and Yoshikawa believed that tooth movement increases with stress up to a point after which additional increases create no movement. But this was challenged by Maltha, who stated that the movement can also decrease. The above factors, in addition to the four main reasons discussed above show that there is no ideal rate and force of orthodontic tooth movement. REFERENCES Andreasen, G., Johnson, P. (1967). Experimental findings on tooth movements under two conditions of applied force. The Angle orthodontist, 37(1), 9-12. Retrieved from: http://www.angle.org/doi/pdf/10.1043/0003 3219(1967)037%3C0009:EFOTMU%3E2.0.CO%3B2 Burstone, C. J. (1962). The biomechanics of tooth movement. Vistas in orthodontics, Lea Febiger, Philadelphia, 197-213. Farrar, J. N. (1888). A Treatise on the Irregularities of the Teeth and Their Correction:Including, with the Authors Practice, Other Current Methods (Vol. 1). De Vinne Press. Hixon, E. H., Aasen, T. O., Arango, J., Clark, R. A., Klosterman, R., Miller, S. S., Odom, W. M. (1970). On force and tooth movement.American Journal of Orthodontics,57(5), 476-489. doi:10.1016/0002-9416(70)90166-1 Krishnan, V., Davidovitch, Z. E. (2006). Cellular, molecular, and tissue-level reactions to orthodontic force. American Journal of Orthodontics and Dentofacial Orthopedics, 129(4), 469-e1. doi: 10.1016/j.ajodo.2005.10.007 Lee, B. W. (1965). Relationship between tooth-movement rate and estimated pressureapplied. Journal of dental research, 44(5), 1053-1053. doi: 10.1177/00220345650440051001 Lundgren, D., Owman-Moll, P., Kurol, J. (1996). Early tooth movement pattern afterapplication of acontrolled continuous orthodontic force. A human experimental model. American journal of orthodontics and dentofacial orthopedics, 110(3), 287 295. doi: 10.1016/S0889-5406(96)80013-8 Mayne, R. (2014).DEN2CGD,Lecture 11, Topic 2, Physiology of orthodontic tooth movement [Point slides]. DEN2CGD, Bendigo, Australia: La Trobe University, Department of Health Sciences. Oates, J. C., Moore, R. N., Caputo, A. A. (1978). Pulsating forces in orthodontic treatment. American journal of orthodontics, 74(5), 577-586. doi: 10.1016/0002-9416(78)90033 Owman-Moll, P., Kurol, J., Lundgren, D. (1995). Continuous versus interruptedcontinuous orthodontic force related to early tooth movement and root resorption. The Angle Orthodontist, 65(6), 395-401. Retrieved from: http://www.angle.org/doi/pdf/10.1043/00033219(1995)065 F%3E2.0.CO%3B2 Owman-Moll, P., Kurol, J., Lundgren, D. (1996). The effects of a four-fold increasedorthodontic force magnitude on tooth movement and root resorptions. An intra individual study in adolescents. The European Journal of Orthodontics, 18(3), 287 294. doi: 10.1093/ejo/18.3.287 Pilon, J. J., Kuijpers-Jagtman, A. M., Maltha, J. C. (1996). Magnitude of orthodonticforces and rate of bodily tooth movement. An experimental study. American Journal of Orthodontics and Dentofacial Orthopedics, 110(1), 16-23. doi: 10.1016/S0889 5406(96)70082-3 Proffit, W. R., Fields Jr, H. W., Sarver, D. M. (2013). Contemporary orthodontics. StLouis, Missouri: Mosby Quinn, R. S., Ken Yoshikawa, D. (1985). A reassessment of force magnitude inorthodontics. American journal of orthodontics, 88(3), 252-260. doi: 10.1016/S0002 9416(85)90220-9 Reitan, K. (1957). Some factors determining the evaluation of forces in orthodontics.American Journal of Orthodontics, 43(1), 32-45. doi 10.1016/0002-9416(57)90114-8 Ren, Y., Maltha, J. C., Kuijpers-Jagtman, A. M. (2003). Optimum force magnitude fororthodontic tooth movement: a systematic literature review. The Angle orthodontist, 73(1), 86-92. Retrieved from: http://www.angle.org/doi/full/10.1043/0003 3219(2003)073%3C0086:OFMFOT%3E2.0.CO;2 Ren, Y., Maltha, J. C., Vant Hof, M. A., Kuijpers-Jagtman, A. M. (2004). Optimum force magnitude for orthodontic tooth movement: a mathematic model. American journal of orthodontics and dentofacial orthopedics, 125(1), 71-77. Doi 10.1016/j.ajodo.2003.02.005 Schwarz, A. M. (1932). Tissue changes incidental to orthodontic tooth movement.International Journal of Orthodontia, Oral Surgery and Radiography, 18(4), 331 352. doi: 10.1016/S00996963(32)80074-8 Storey, E. (1973). The nature of tooth movement. American journal of orthodontics, 63(3), 292-314. doi: 10.1016/0002-9416(73)90353-9 Storey, E., Smith, R. (1952). Force in orthodontics and its relation to tooth movement. Aust Dent,56(1), 11-8. Wise, G. E., King, G. J. (2008). Mechanisms of tooth eruption and orthodontic toothmovement. Journal of dental research, 87(5), 414-434. doi:10.1177/154405910808700509

Friday, October 25, 2019

Computer Crime Is Increasing :: essays research papers fc

Computer Crime Is Increasing A report discussing the proposition that computer crime has increased dramatically over the last 10 years. Introduction Computer crime is generally defined as any crime accomplished through special knowledge of computer technology. Increasing instances of white-collar crime involve computers as more businesses automate and the information held by the computers becomes an important asset. Computers can also become objects of crime when they or their contents are damaged, for example when vandals attack the computer itself, or when a "computer virus" (a program capable of altering or erasing computer memory) is introduced into a computer system. As subjects of crime, computers represent the electronic environment in which frauds are programmed and executed; an example is the transfer of money balances in accounts to perpetrators' accounts for withdrawal. Computers are instruments of crime when they are used to plan or control such criminal acts. Examples of these types of crimes are complex embezzlements that might occur over long periods of time, or when a computer operator uses a computer to steal or alter valuable information from an employer. Variety and Extent Since the first cases were reported in 1958, computers have been used for most kinds of crime, including fraud, theft, embezzlement, burglary, sabotage, espionage, murder, and forgery. One study of 1,500 computer crimes established that most of them were committed by trusted computer users within businesses i.e. persons with the requisite skills, knowledge, access, and resources. Much of known computer crime has consisted of entering false data into computers. This method of computer crime is simpler and safer than the complex process of writing a program to change data already in the computer. Now that personal computers with the ability to communicate by telephone are prevalent in our society, increasing numbers of crimes have been perpetrated by computer hobbyists, known as "hackers," who display a high level of technical expertise. These "hackers" are able to manipulate various communications systems so that their interference with other computer systems is hidden and their real identity is difficult to trace. The crimes committed by most "hackers" consist mainly of simple but costly electronic trespassing, copyrighted-information piracy, and vandalism. There is also evidence that organised professional criminals have been attacking and using computer systems as they find their old activities and environments being automated. Another area of grave concern to both the operators and users of computer systems is the increasing prevalence of computer viruses. A computer virus is generally defined as any sort of destructive computer program, though the term is usually reserved for the most dangerous ones. The ethos of a computer virus is an intent to cause damage, "akin to vandalism on a small scale, or terrorism