Tuesday, December 31, 2019
Autism Is A Brain Based Disorder Essay - 1628 Words
Autism is a brain based disorder that causes social-communication challenges. Autism is often diagnosed when children are very young. They can be diagnosed as early as 18 months according to the Autism Spectrum Disorder. Many expecting parents will prepare for a pregnancy by the usual healthy diet to make sure that they have a healthy baby, however, many children are still getting diagnosed with autism every day. There is a statistic stated on the Autism Spectrum Disorder that about 1 in every 68 children in the United States currently has autism. There are many different beliefs people have for as to what causes autism, but there still has not yet been a found cure. There needs to be a stronger effort in the medical fields to find the leading cause of autism. Autism is a disorder, however, there is a wide spectrum that all fall under the category of autism. Typically someone would just say that a child has autism, but there are many different types of autism that people would have t o consider when categorizing a child as autistic. There is high-functioning autism, atypical autism, autism spectrum disorder (ASD), and pervasive development disorder. High-functioning autism has signs and symptoms that are much less severe than the other kinds of autism on the spectrum. People with high-functioning autism have an average or above average intelligence level. Addressed in WebMD article ââ¬Å"High-Functioning Autism and Aspergerââ¬â¢s Syndrome,â⬠high-functioning autism is very similar toShow MoreRelatedAutism Refers To A Neuron Developmental Condition, Which1569 Words à |à 7 PagesAutism refers to a neuron developmental condition, which impedes the normal childââ¬â¢s growth and progress within a social setting. According to Tzanakaki et al., ââ¬Å"an autistic individual finds it challenging to interact with other people and cannot relate to societal norms ablyâ⬠(63). Health practitioners believe that failure of neuron synaptic networks in the b rain to develop in a normal way owing to chromosomal deficiency causes autism. The symptoms and signs of autism become visible right from infancyRead MoreEarly Intervention is Crucial in Treating Autism Spectrum Disorder988 Words à |à 4 Pageshas autism spectrum disorderâ⬠are words no parent wants to hear. They are words that will instill fear, worry, and sadness. When parents hear this for the first time, they will have many questions. ââ¬Å"Is there anything I can do to help my child? If so, what can be done?â⬠Early intervention services; such as applied behavior analysis therapy, occupational therapy, sensory integration therapy, and speech therapy before the age of three; can help improve the development of children with autism spectrumRead MoreAutism Spectrum Disorder And Autism1389 Words à |à 6 Pages Autism Spectrum Disorder Autism is a form of ââ¬Å"ASD,â⬠Autism Spectrum disorder and is experienced all around the world. Autism is a developmental disorder that consists of many neurodevelopmental disorders of the brain. People with autistic disorder think and act in different ways than most people. There are many different forms of autism spectrum disorder that include the pervasive development disorder, Asperger syndrome, and autistic disorder. These disorders are called spectrum disorders becauseRead MoreAutism Spectrum Disorder ( Asd )1575 Words à |à 7 Pagessymptoms that have been associated with Autism Spectrum Disorder (ASD, the name adopted in 2013) including, repetitive movements, emotional difficulties, sensory problems, etc. The exact cause of these symptoms is a widely debated topic. In this paper, I will discuss the overall prevalent causes for Autism as well as the different variations and subgroups. People are familiar with other disorders such as Down syndrome or Trisomy 21. Thes e types of disorders are discussed frequently because of theRead MoreBenefits Of Music Therapy On Children Essay1651 Words à |à 7 Pageschildren Benefits of Music Therapy in Autistic children Literature Review Zuleima Haskins ââ¬Æ' Introduction Autism Spectrum Disorder (ASD) is a group of conditions of the brain development. (Vries, 2015). The main characteristic of individuals with Autism Spectrum Disorder (ASD), is that they have difficulties to adapt and interact with other people. Also, individuals with Autism have problems with their development of verbal and nonverbal communication. They show a repetitive behavior thatRead MoreThe Outbreak Of The Measles1659 Words à |à 7 Pages An outbreak of the measles in the United States has sparked controversy in the autism world today. Contrary to previous theories, the measles vaccination is not a leading component to the cause of this disease. One in sixty-eight children in the United States are entering this world with Autistic Spectrum Disorder today, a thirty percent increase from the one in eighty eight percent two years ago. This disease is unquestionably one of the worst and most confusing disabilities out there. So, despiteRead MoreThe Diagnostic And Statistical Manual ( Dsm ) Of Mental Disorders965 Words à |à 4 PagesDiagnostic and Statistical Manual (DSM) of Mental Disorders, fifth edition, defines a person with autism spectrum disorder as having persistent deficits in social communication and social interaction. This includes having deficits in social-emotional reciprocity, deficits in nonverbal communicative behaviors used for social interaction, and deficits in developing, maintaining, and understanding relationships. Autism is a pervasive developmental disorder, which concludes that it consists of developmentalRead MoreAutism And Its Effects On Children1205 Words à |à 5 PagesWhat is Autism? Autism also specified as Autistic Spectrum Disorder, ASD, Pervasive Developmental Disorder (PDD), Childhood Autism (ICD-10), Autistic Disorder (DSM-IV), Atypical Autism (ICD-10), PDD not otherwise specified (PDD-NOS), Asperger Syndromeâ⬠¨(ICD- 10)/Asperger Disorder (DSM-IV), is a series of developmental disabilities that cause substantial impairments in social interaction, as well as difficulties in nonverbal interactions and behavioral challenges. From the early 1900s, autism has beenRead MoreAutism Spectrum Disorder And Autism Essay1474 Words à |à 6 Pagesof the most widely known abnormal disorders is Autism Spectrum Disorder. Autism is a complicated disorder because it represents a wide range of developmental disorders categorized by criteria such as: impaired social interactions, verbal and nonverbal communication breakdowns, and repetitive behaviors. Since Autism Spectrum Disorder is on a spectrum, as the name suggests, there are individuals with mild to little symptoms classified by Autism Spectrum Disorder and others who classify severely inRead MoreThe Causes Of Autism Spectrum Disorder1006 Words à |à 5 PagesAutism is simultaneously the most familiar and least understood disorder. Autism spectrum disorder is defined as a developmental disorder that involves problems with social communication, social interaction, and repetitive patterns of behavior, interests, or activities. Like all disorders, there are biological, social, and therapeutic implications. Firstly, like many disorders there are several biological factors. Autism is a neurodevelopmental disorder, therefore Autism affects the development
Monday, December 23, 2019
Chapter One A New Beginning - 1102 Words
CHAPTER ONE A NEW BEGINNING Sweat dripped down my face. The bruises on my back and sides throbbed, my broken ribs screamed in agony. Every breath was a tiny battle, every inhale and exhale evokes a gurgly rattle and a racking cough. All of this pain could be gone with one choice. A single sentence would take away all my bruises, heal my broken bones, even restore my lame leg that I was born with. One sentence. ââ¬Å"I.... I g-grant permission!â⬠I cried, gasping, shoving every last ounce of my strength into those words. Tears were running down my face as pain overwhelmed me at last, and my world faded into a blissful state of nothingness. * * * * * * * * * ââ¬Å"Logan.... Logan! Get up! Are you okay? Oh! Oh God, Ohâ⬠¦show more contentâ⬠¦I was dying, and I didnââ¬â¢t even know how, or why, or when. I began panicking and told myself to calm down. ââ¬Å"Oh, Logan, oh God, oh God, Iââ¬â¢m sorry, I-I didnââ¬â¢t know... I didn t think.... I mean, you always healed so fast, but-â⬠The blonde girl blubbered. ââ¬Å"Where am I? Who are you?â⬠I interrupted, wanting to know what happened to me before I bled to death. Maybe if I knew I could fix it. Being logical was the only way I could keep myself from freaking out. The girl sat there, watching me, as if expecting me to say, Ha! Just kidding, I know you!, but I was dead serious - literally. Time passed quickly, as if running from the scene of a dying man and a person he didn t remember. This wasn t going to end well. The sun began to set as the girl sat there, staring at me, dumbfounded. And then, all at once, she began talking again. ââ¬Å"I- Iââ¬â¢m Jennif er, remember? Iââ¬â¢m your girlfriend...? Do you honestly not know what happened? Did... did my bringing you back make you forget.... I stabbed you with this!!â⬠She cried out now, holding a wooden stake in her hand. The stake was covered in blood, and it had the same metallic smell. ââ¬Å"L-Logan, do you... do you really not remember? Do you really not remember me, or us, or anything? You donââ¬â¢t remember being a vampire? You-â⬠She stopped talking abruptly, and let out a strangled sort of gurgle. Claws were embedded in her throat, sweet, intoxicating blood
Sunday, December 15, 2019
Civil Disobedience Henry David Thoreau and Rev. Dr. Martin Luther King Jr Free Essays
ââ¬Å"Disobedience to be civil has to be open and nonviolent. â⬠ââ¬â Mahatma Gandhi Throughout history philosophers have played a key role in our society. Both Henry David Thoreau and Dr. We will write a custom essay sample on Civil Disobedience: Henry David Thoreau and Rev. Dr. Martin Luther King Jr or any similar topic only for you Order Now Martin Luther King Jr. brought forth their own ways of civil disobedience, in their belief that it was imperative to disobey unjust laws. Their thoughts manifested from ideas, to theories, and eventually lead to our society today. Civil disobedience in a pragmatic way is the act of a non-violent movement in order to enforce the change of certain laws to ensure equality for all. Dr. King explained in his quote ââ¬Å"One who breaks an unjust law must do so openly, lovingly, willingly to accept the punishmentâ⬠(220). Nevertheless, on opposite ends of the spectrum, Thoreau implied an aggressive stance motivated by his own personal hate for the government but yet King used religion, supported by his charismatic ways of being gentle and apologetic. While King and Thoreau both believed in the use of civil disobedience to create change, they went about using civil disobedience in staggeringly different fashion. As stated by Dr. King in his letter from Birmingham Jail, ââ¬Å"Injustice anywhere is a threat to justice everywhereâ⬠(214). Regarding this issue, King believed that all American communities are connected and that injustice in one community will affect other communities. Perhaps, one could deem injustice as a disease such as cancer that forms in one area then quickly spreading and eventually discombobulating the entire social infrastructure. Dr . King reshaped Americaââ¬â¢s social issues through a non-violent approach in distinction to boycotting buses in Montgomery to marching through Selma, King responded to unjust laws with civil disobedience and direct action. Dr. Kingââ¬â¢s stance on prejudice laws came from morality. Primarily using morality as a backbone in his argument, we would agree that it is wrong to foster laws that affect a certain race or group of people. Moreover, our laws are a reflection of our morals and it sets forth what we know is right and what we know is wrong. Early philosophers often struggled and faced opposition with either the government or social groups. Opposition faced consequences such as confinement, torture, or worse, death, whereas the idea of brutal punishment inflicted fear on the next individual. In his ââ¬Å"Letter from Birminghamâ⬠, King compared his calling to Birmingham to the Apostle Paul in the Bible, ââ¬Å"[and how he] carried the gospel of the lord to the far corners of the Greco-Roman worldâ⬠(214). King expressed a legitimate concern over the anxiety to break laws; elaborating the fact that there are two laws; just laws and unjust laws. King stated, ââ¬Å"In no sense do I advocate evading or defying the lawâ⬠(220). Rather more, King agreed that just laws should be followed; however unjust laws are to be met with civil disobedience. What makes a law unjust one might ask? From the terms of St. Thomas Aquinas, King explained that ââ¬Å"any law that degrades human personality is unjustâ⬠. (219) Segregation gives the segregator a false sense of superiority and distorts the soul and damages the personality. Back in Dr. Kingââ¬â¢s time, a series of laws were passed that were the ethos of ââ¬Å"separate but equalâ⬠. King rallied in oppositi on of these laws as still prejudice and unjust, in fact these laws were against morals. Under this doctrine, services, facilities and public accommodations were allowed to be separated by race, on the condition that the quality of each groupââ¬â¢s public facilities was to remain equal. Signage using the phrases ââ¬Å"No Negros allowedâ⬠and ââ¬Å"whites onlyâ⬠distorted our views on race relations. However, King believed this in fact is not equality and it is against our morals. As a result of Henry David Thoreau using civil disobedience and direct action, Dr. King was motivated by his techniques which lead to a series of events that would lead to the Civil Rights Movement. ââ¬Å"All men recognize the right of revolution; that is, the right to refuse allegiance to, and to resist the government when its tyranny or its inefficiency are great and unendurableâ⬠(180). As Thoreau explained in his excerpt from ââ¬Å"Civil Disobedienceâ⬠, Thoreau used the revolution of ââ¬â¢75 as an example of bad government. Thoreau elucidated how the government taxed certain foreign commodities that were brought to its ports. He then began to correlate bad government to a machine and stated how all machines have their friction, however, when friction takes over a machine, ââ¬Å"and oppression and robbery are organized, I say let us not have such a machine any longerâ⬠(180). Thoreau elaborated on this idea that the government is a machine and when evil takes over, let us no longer have such a government. He believed not that a government should exist ââ¬Å"but at once a better governmentâ⬠(178), Thoreau argued that power should not be left to the majority, but the ââ¬Å"conscienceâ⬠, in fact he questioned the reader rhetorically asking ââ¬Å"Must the citizen ever for a moment, or in the least degree, resign his conscience to the legislator? â⬠(178) Thoreau feels that the ââ¬Å"conscienceâ⬠plays a personal role. Thoreau questions democracy, and thereupon he advises us to question why we should capitulate to the government if we do not agree with a law? Why would we possess brains and have a conscience of our own if we are not allowed to think for ourselves and do what we want? Thoreau feels we ought to be real for ourselves, not the government. Furthermore, he articulated the idea that should we surrender our thoughts, or conscience to the government, or should we pursue a justifiable explanation of the dilemmas that surround us? What is right as opposed to what is wrong is what leads to civil disobedience. Thoreau believed that the idea of paying taxes to support the Mexican-American was an unjust cause, whereas; King strongly disagreed with laws that were prejudice. In Thoreauââ¬â¢s reading from his article ââ¬Å"Civil Disobedienceâ⬠, he argues ââ¬Å"that government is best which governs not at allâ⬠(177), which ultimately leads the people to discipline themselves. On the other side King explained how ââ¬Å"nonviolent direct action seeks to create such a crisis and foster such a tension that a [community that has refused, is forced] to confront the issueâ⬠(216). By cause of King being after Thoreauââ¬â¢s era, King used Thoreauââ¬â¢s ââ¬Å"Civil Disobedienceâ⬠and direct action to spark a change in society. While both Thoreau and King argued with morality in mind, they both believed injustice exist. Thoreau thinks of injustice as friction or tension that can wear the machine down. King believes that injustice just exists and tension must be created with direct action to negotiate with the machine. I accredit Dr. King in presenting the best argument due to the audience he reached out to which of course was the populace and his motives that captivated his courageous and selfless acts. Furthermore, Dr. King was concerned about injustice towards people based on their race, religion, or sex; whereas Thoreau was motivated by his personal hatred for the government. Regardless of how either King or Thoreau used civil disobedience, their contributions led to an admiration for their works and casted a light on unjust laws. How to cite Civil Disobedience: Henry David Thoreau and Rev. Dr. Martin Luther King Jr, Papers
Saturday, December 7, 2019
Convergence-towards-ifrs-in-malaysia-issues-challenges-and-opportunities free essay sample
In the year 2008 the then Malaysian Accounting Standard Boardââ¬â¢s (MASB) chairman, Dato Zainal Abidin Putih, announced that Malaysia will be converging with International Accounting Standard Board (IASB)ââ¬â¢s International Financial Reporting Standard (IFRS). From that point onwards many initiatives were lined up by MASB and the Malaysian Institute of Accountants (MIA) in order to educate, train and inform all the relevant stakeholders in tandem with fast approaching deadline to converge, which is for the earliest year-end financial reporting date, 31 December 2012. On 19 November 2011, MASB issued the third accounting framework to be applied in Malaysia and this new accounting framework that is IFRS-compliant is dubbed as Malaysian Financial Reporting Standards framework (MFRS). The issuance of MRFS is vital to show and prove the Malaysian commitment and also it becomes a solid guideline for all entities that are administered by Securities Commission of Malaysia and the convergence begin on or after 1 January 2012. Historically, Malaysian accounting standards have always closely followed the former International Accounting Standards (IAS) and the current IFRS. This is due to the colonisation effect on Malaysia, where Malaysia was a British colony up to the year 1957 and many of the accounting standards applied in the United Kingdom has always made its way to be adopted by the Malaysian standard setters authorities and regulators. As Mohammad Faiz Azmi stated in forums that the Malaysian story of convergence has been a ââ¬Ëslow and steadyââ¬â¢ approach and this phased-in approach even though slower is expected to put Malaysian entities in a better position as the problems and challenges faced by Malaysian companies are far much reduced compared to other countries that adopted the ââ¬Ëbig bangââ¬â¢ approach, for example the South Koreans, where the accounting standard setters and regulators in South Korea agreed on full adoption of IFRS (Nazatul Izma, 2009; Suh, 2011) ACCOUNTING FRAMEWORKS IN MALAYSIA Currently Malaysian entities are subject to three sets of accounting frameworks, the first accounting framework is the old Financial Reporting Standards framework (FRS), next is the Private Entity Reporting Standards framework (PERS) and finally the Malaysian Financial Reporting Standards framework (MFRS). All these three frameworks are legally approved frameworks by MASB and can be applied by entities in Malaysia but subject to the type of entity. The three types of frameworks are outlined and discussed below. MFRS framework is to be applied by all entities other than private entities for annual periods beginning on or after 1 January 2012. Private entities are private companies which are incorporated under the Companies Act 1965, that are not itself required to prepare or lodge any financial statements under any law administered by the Securities Commission Malaysia or Bank Negara Malaysia. Private entities are also not subsidiaries or associates of or jointly controlled by an entity which is required to prepare or lodge any financial statements under any law administered by the securities Commission Malaysia or Bank Negara Malaysia. However ââ¬ËTransitioning Entitiesââ¬â¢ are excluded from applying MFRS and these ââ¬ËTransitioning Entitiesââ¬â¢ are entities that are in the scope of MFRS 141 for ââ¬ËAgricultureââ¬â¢ (equivalent to IAS 41) and IC Interpretation 15 for ââ¬ËAgreement for Construction of Real Estateââ¬â¢, (equivalent to International Financial Reporting Interpretations Committee (IFRIC) 15) including its parent, significant investor and venture. These ââ¬ËTransitioning Entitiesââ¬â¢ have an option to either apply the MFRS framework or the old FRS framework, but this leeway is only allowed for one year, as these ââ¬ËTransitioning Entitiesââ¬â¢ need to apply the MFRS framework byà Page 43 International Journal of Business, Economics and Law, Vol. 1 ISSN 2289-1552 2012 annual periods beginning on or after 1 January 2013 at the latest (Nazatul Izma, 2009; KPMG, 2011; Accountants Today 2012; Ganespathy, 2012; Jebaratnam, 2012). PERS framework is to be applied only by private entities but these private entities have an option to apply MFRS framework for annual periods beginning on or after 1 January 2012. If the private entities choose to apply MFRS framework and these entities are in the scope of MFRS 141 for ââ¬ËAgricultureââ¬â¢ (equivalent to IAS 41) and IC Interpretation 15 for ââ¬ËAgreement for Construction of Real Estateââ¬â¢, (equivalent to IFRIC 15), therefore known as ââ¬ËTransitioning Entitiesââ¬â¢, they have the choice to either apply MFRS framework or FRS framework, but these freedom is applicable up to 31 December 2012, as these entities need to revert to MFRS framework for annual periods beginning on or after 1 January 2013 (Accountants Today, 2012; Jebaratnam, 2012). FRS framework which is the Malaysian version of IAS, which has been the main accounting standards framework for nonprivate entities before the introduction of MFRS framework can be applied only by ââ¬ËTransitioning Entitiesââ¬â¢, but as stated earlier, such entities need to revert to MFRS framework for annual periods beginning on or after 1 January 2013 (Accountants Today, 2012; Jebaratnam, 2012) ISSUES AND CHALLENGES IN FULL ADOPTION OF IFRS IN MALAYSIA MFRS 1 covers issues pertaining to ââ¬ËFirst-Time Adoption of Malaysian Financial Reporting Standardsââ¬â¢ and the transition date stated in MFRS 1 is the beginning of the earliest period for which an entity presents a full comparative information under MFRSs in its first MFRS based statements. Following the requirement of MFRS 1, MFRS 101 on ââ¬ËPresentation of Financial Statementsââ¬â¢ requires reporting entities to present three ââ¬ËStatements of Financial Positionââ¬â¢ and two ââ¬ËStatement of Comprehensive Incomeââ¬â¢, ââ¬ËStatements of Changes in Equityââ¬â¢ and ââ¬ËStatement of Cash Flowsââ¬â¢ each. MFRS also dictates that entities need to present statement of financial position as at the beginning of the comparative financial year, therefore reporting entities requires their financial statements to be prepared based on the requirement of MFRS from the financial year beginning on and after 1 January 2010, or otherwise be very cautious to make retrospective restatements and/or reclassify items in all the financial statements and notes to accounts and the transition date would be on or after 1 January 2011. The expectation is that the entities are able to present MFRS compliant financial statements come the year-end financial reporting on 31 December 2012, which may become an issue, if these entities are not MFRS ââ¬Ëreadyââ¬â¢ (Accountants Today, 2012). Another challenge for full adoption of IFRS in Malaysia is that under MFRS 1, whenever the cost of complying with MFRS exceeds the benefits to the users of financial statements and also if retrospective application would mean that judgement by management of a known transaction is required, IASB would grant exemptions and therefore this would create unlevel playing field amongst non-private entities in Malaysia that are supposed to apply MFRS framework as the criterion for full-adoption. To ensure that the reporting entities in Malaysia are MFRS compliant, these entities should perform a comprehensive, thorough and detailed examination of the readiness of their entity in becoming MFRS compliance to avoid any investigation by the authority due to non-compliance after the grace period for full adoption is over. If Malaysia ends up trimming its MFRS as a convergence framework that can be adapted to fit the local conditions and not a one size fits all set of standards, because a full adoption forces countries to surrender their sovereignty, then Malaysia will have serious issues and will face difficulties to be endorsed as a country that compliances to full IFRS adoption (Nazatul Izma, 2009). But as it is evident, MFRS 141 and IC 15 for ââ¬ËTransitioning Entitiesââ¬â¢ is an exception given to such entities to comply to full IFRS adoption by reverting to MFRS framework for annual periods beginning on or after 1 January 2013. Even though the IAS 41 assumption that fair value can be measured for biological assets was an issue, but this sort of issues should be communicated clearly to the practitioners and this is where the education and training of the practitioners is key for a successful full adoption of IFRS. For example MFRS 141 (IAS 41) disagreement with IASB need to be entirely made clear to the Malaysian practitioners, as IASB currently have agreed to recognise palm oil tree as a non current asset and not as an inventory (Nazatul Izma, 2009). One of the most common perceived advantages of convergence to IFRS is the possibility of increased foreign direct investment (FDI) (Gardiner, 2000; Christiansen, 2002), but as of 2010, report on the most attractive FDI destinations, the worldââ¬â¢s highest FDI receivers are China, United States of America and India, of which none have converged to IFRS. Therefore, the notion that IFRS convergence will attract FDI is not valid, and this so called advantage cannot be applied to entice countries to adopt IFRS for financial reporting of their entities. IFRSs for SME is another reason to ponder on the real plausibility of full adoption of IFRS. If MASB chooses to adopt IFRS for SMEs to replace PERS, than we will have another version of ââ¬Ëdilutedââ¬â¢ IFRS as a framework within the Malaysia accounting scenario. Dr Paul Pacter, the board member and chairman of the SME implementation group, mentioned that some topics in the IFRS were omitted from the IFRS for SMEs, due to its irrelevance and also due to the fact that the ââ¬Ëdilutedââ¬â¢ version will be a simpler option for the SMEs to apply (Nazatul Izma, 2010). The IFRS for SMEs were simplified on the recognition and measurement and the disclosures were also reduced. Brian Blood, the Chief Executive of Confederation of Asian and Pacific Accountants (CAPA) mentioned that the IFRS for SMEs were developed to assist SMEs to prepare and present high quality and timely financial statements and information. Other benefits of SMEs applying the IFRS for SMEs are that the financial reporting is done in a consistent manner and not too expensive to prepare (Nazatul Izma, 2010). Having said all that, the fact is that there is a different set of IFRS for SMEs, therefore, it does not allow for full adoption, but maybe just a mere convergence. James Sylph, the executive director, Professional Standards and External Relations of International Federation of Accountants (IFAC) in a forum in 2012, strongly advocated that national accounting standard settersââ¬â¢ authorities and regulators should move away from the mere concept of convergence to a more profound notion of full-adoption. Page 44 International Journal of Business, Economics and Law, Vol. 1 ISSN 2289-1552 2012 Mohammad Faiz Azmi, MASB chairman, indicated that Malaysia will not require the IFRS for SMEs to avoid an ââ¬Ëunderconvergedââ¬â¢ version used by SMEs due to the lack of human resources to implement new IFRS based regulations; therefore MASB is still uncertain about how exactly they should deal with the issue related to SME and IFRS (Nazatul Izma, 2010) MASB together with MIA will have to look into the issue of the readiness of the Malaysian education system to deliver enough trained accountants that are IFRS savvy, as a full IFRS adoption can be burdensome and the human capital need to be created to fulfill this need. Mohammad Faiz Azmi mentioned that MASB is working with enforcers to amend the Financial Reporting Act (1997) to allow making amendments to accounting standards in Malaysia if there are any substantial issues that MASB disagrees with IASB (Nazatul Izma, 2009). This again will give some space for MASB for not to adopt the full adoption of IFRS as there will be some possible avenue to make changes in the IFRS provided by IASB. Companies Act 1965 and Financial reporting Act 1997 are the two most important acts pertaining financial statements reporting in Malaysia. The directors are supposed to be responsible for the preparation and presentation of a true and fair set of financial statements of reporting entities and these directors should be aware and be sure that their entities are IFRS ready.
Friday, November 29, 2019
Internatial Trade Theory Words free essay sample
Trade Theory 1. International(or foreign) trade is across borders. 2. The Mercantilist Doctrine : mercantilism is the first(or preclassical) theory of international trade. 3. Absolute Advantage Theory : The absolute advantage theory holds that the market would reach an efficient end by itself. Government intervention in the economic life of a nation and in trade relations among nations is counterproductive. 4. Comparative Advantage Theory : It was the comparative advantage of a nation in producing a good relative to the other nation that determined international trade flow. It is useful to introduce the concept of opportunity cost. 5. Heckscher-Ohlin Theorem : The central notion of the H-O theorem is that a country exports goods that make intensive use of the countryââ¬â¢s abundant factor and imports goods that make intensive use of the countryââ¬â¢s scarce factor. 6. The Leontief Paradox : Leontiefs paradox in economics is that the country with the worlds highest capital-per worker has a lower capital/labor ratio in exports than in imports. We will write a custom essay sample on Internatial Trade Theory Words or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page This econometric find was the result of Professor Wassily W. Leontiefs attempt to test the Heckscher-Ohlin theory empirically. In 1954, Leontief found that the U. S. (the most capital-abundant country in the world) exported labor-intensive commodities and imported capital-intensive commodities, in contradiction with H-O theorem. 7. Human Skills and Technology-Based Views : The human skills and technology-based view is regarded as a refinement of the conventional theory of trade. It added two new factors of production, namely human skills and technology gaps, to the explanation of comparative advantage sources. 8. The Product Life-Cycle Model : Product life cycle is the stages through which a product or its category bypass. From its introduction to the marketing, growth, maturity to its decline or reduce in demand in the market. Not all products reach this final stage, some continue to grow and some rise and fall. 9. Linderââ¬â¢s Income-Preference Similarity Theory : If two countries have the same or similar demand structures, then their consumers and investors will demand the same goods with similar degrees of quality and sophistication, a phenomenon known as preference similarity. 10. The New Trade Theory : Countries do not necessarily specialize and trade solely to take advantage of their differences; also trade because of increasing returns, which makes specialization advantageous per se. Although this theory is not totally ââ¬Å"newâ⬠, it makes several contributions to the understanding of international trade. Because of economies of scale, there are increasing returns to specialization in many industries. Economy of scale is reduction of manufacturing cost per unit as a result of increased production quantity during a given time period. 11. Trade Balance : Calculated as exports minus imports of goods and sevices. 2. Tariff Barriers : include mainly tariffs and quotas and their derivatives as well as export controls and antidumping laws. 13. Tariffs : are surcharges that an importer must pay above and beyond taxes levied on domestic goods and services. 14. Optimal Tariff : assumes that by imposing a tariff, governments can capture a significant portion of the manufacturerââ¬â¢s profit margin. 15. Infant Industries : are that an industry new to a country, especially a developing one, needs to be protected by tariff walls or risk being squashed by established global players before it is given a chance to grow and develop. 6. Quotas : are quantitative limitations on the importation of goods typically spelled in terms of units or value. 17. Rule of Origin : Both tariffs and quotas are administered on the basis of their country of origin, for which the default is the first importing country. Rule of origin terms may differ between different types of tariffs and supports. 18. Export Controls : are typically activated against products with a national security potential but also may be applied to so-called dual-use products such as advanced computers or trucks that can have both security and civilian uses. 9. Dumping and Antidumping : Dumping is defined by the WTO as selling a product at an unfairly low price, with the ââ¬Å"fair priceà ¢â¬ defined as the domestic price, the price charged by an exporter in another market, or a calculation of production costs. Whereas antidumping measures were once almost exclusively applied by developed nations fearing competition from developing and especially emerging economies, they are now taken by developed and developing nations alike. 20. Administrative Barriers : Often a government will use administrative measure to block the entry of products while continuing to argue that no barrier exists. (e. g.. Labeling) 21. Production Subsidies : are payments provided by a government or its agencies to domestic companies in order to make them more competitive vis-a-vis foreign competitors at home and/or abroad. 22. Emergency Import Protection : A government protect from sudden and dramatic increase in imports or in market share that can cause material damage to the domestic industry. 23. Embargoes and Boycotts : Embargo is the prohibition on exportation to a designated country. Boycott is the blank prohibition on importation of all or some goods and services from a designated country. 24. Technical Standards : are provisions made by government agencies in various countries that pertain to a large array of areas. 25. Barriers to Service Trade : are quite different from the barriers affecting merchandise trade. Because knowledge plays a key role in a service economy, any limitations on the free flow of information, including constraints on individual mobility, represent barriers to service trade.
Monday, November 25, 2019
5 Ways to Deal With the Worst Job Youve Ever Had
5 Ways to Deal With the Worst Job Youve Ever Had So you woke up this morning and came to the conclusion that you hate your job. In fact, while you dragged yourself to work, you came to the realization that itââ¬â¢s the worst job youââ¬â¢ve ever had. Maybe itââ¬â¢s your boss, or maybe you simply donââ¬â¢t like your actualà job responsibilities- but even so, unless youââ¬â¢re rolling in the dough or you donââ¬â¢t have any bills to pay, you need money and likely have to stay. So how do you deal with the worst job youââ¬â¢ve ever had? Here are 5 steps to help you keep your job and your sanity.1. Buy a Punching Bag If you have space in your house or apartment, definitely invest in a punching bag. It will be a great way to unleash your frustration at the end of the day. As an added bonus, if you hate your boss, feel free to tape a picture of his or her face to the punching bag and go to town. Donââ¬â¢t worry, your secret is safe with us.2. Visit Your Local GymIf you donââ¬â¢t already have one, get a membershi p at your local gym. Whether itââ¬â¢s lifting weights or running on the treadmill, exercise can be a great way to detox and rid yourself of all the extra tension and angst built up during the day. When you exercise, your body releases chemicals known as endorphins that trigger a positive feeling in yourà body. The production of endorphins also helps combat depression.3. Go Out For Happy HourNothing takes your mind off from your crappy job like half-priced drinks and impaired judgement. Go out with your co-workers or friends and just forget your problems for a little while.4. Imagine Your Bossââ¬â¢s Demiseà à Assuming you donââ¬â¢t like your boss, envision his or her demise. Whether itââ¬â¢s strapping them onto a missile and shooting them into the sun, or DESTROYING them in a game of ping pong, the point is, have fun with it. As long as you do not act on your impulses (except destroying them in ping pong that would be awesome), such daydreaming might put your mind a t ease and release some stress and anger. It might seem unorthodox, but letââ¬â¢s be real, weââ¬â¢ve all imagined our bossââ¬â¢s demise at one point or another.5. Plan Aheadà It sounds clichà ©, but itââ¬â¢s necessary- all of the previousà steps will only help you temporarily cope with the stress and anxiety of a job you hate, so itââ¬â¢s imperative that you plan for the future. No one wants to work foreverà at a job they hate. Itââ¬â¢s crucial that you dust off your resume and begin applying to new jobs. The sooner you start, the better it will be for your overall health.
Friday, November 22, 2019
What is the place of reason in relationship to understanding animal Essay
What is the place of reason in relationship to understanding animal life Coetzee - Essay Example I will take the chance to talk about these horrors.â⬠(Coetzee, 117) Understanding animal life establishes what form of relation should exist between human beings and animals. Animals learn from experience and future behavior will be formed through earlier experiences. From birth, they pick knowledge from various sources on deaths, heights, fire; water among others. ââ¬Å"The old are thus more experienced than the young, due to years of experience. The old are more cunning and astute because of years of experience acquired through observation. The old are thus less likely to avoid harmâ⬠(Coetzee, 123) Therefore, understanding animal life helps to explain why they behave in a particular way. This is because of what they have observed. Animals that have faced danger before will most likely be very conscious of any incoming danger. With this form of information, human beings are made aware of the form of treatment that each animal deserves. ââ¬Å"The observation formed against one animal, is by reasoning extended to other animalsâ⬠(David, 76). Besides that, understanding animal life is vital in the making of crucial decisions on which animals are fit for consumptions and which are not fit for consumption. A debate ranges where some individuals feel that some animals can be eaten while others cannot and in the meantime there are those that are totally against the consumption of any form of animal viewing it as a horrendous act (Coetzee, 138). To make credible decisions on which animals should be eaten and which should not be eaten, we need a deep understanding of animal life. Understanding animal life also establishes if there is any form of relation ship that exists between human being and animals. Coetzee, asks whether human beings have anything common with animals. Do they reason like animals? Do animals have self-consciousness found in human beings, or a soul? According to this lecture (Coetzee, 119) if animals are like human beings
Wednesday, November 20, 2019
Comparative analysis of Marketing Communications strategies and mix Essay - 2
Comparative analysis of Marketing Communications strategies and mix for the fashion market in the UK - Essay Example In the 21st century organization in the apparel business face a new reality due to the start of the convergence age which creates new challenges for companies regarding their marketing and communication mix of products or services. This report studies the apparel & fashion industry in Europe by analyzing three firms: Zara, French Connection and H&M. The report is divided into four major segments: research methods, market overview, analysis & discussion, and recommendations & conclusion. The study of the effects of marketing channels in the apparel industry in the United Kingdom utilizes secondary obtain from a variety of sources. The information used in this report was collected from sources such as academic databases, corporate websites, annual reports, journal articles, textbooks and other online sources. Secondary research is the utilization of information that already exists such as a journal article which was crated by another author (Asiamarketresearch, 2007). In the analysis and discussion session of the report it recommends various solutions for the companies targeted in the report on how primary research can be utilized by the company decision makers in order obtain certain data to improve their operations. One particular research technique that the writer of this paper planned to implement, but was not able to perform the primary research due to time constraints was a customer questionnaire. The idea was to spend three hours with a team of four people wit hin a hundred feet distance of a location of each of the three stores studied (Fcuk, H&M and Zara) to collect data from the customerââ¬â¢s of these stores using a short anonymous questionnaire. The questionnaire would include 10 questions and the minimum collection necessary to achieve a representative sample was 25 questionnaires. Appendix A illustrates an example of a questionnaire that could be utilized to collect data from customers regarding marketing
Monday, November 18, 2019
Cosmological Argument. The forms of cosmological arguments Essay
Cosmological Argument. The forms of cosmological arguments - Essay Example Cosmological arguments usually strive to explain the existence of God in many forms. Many philosophers in the past, from Aristotle and Kalam to Aquinas, tried to argue the existence of God in different ways (Taliaferro 21). The several forms of cosmological arguments usually explain the existence of God in the following ways: that there is the existence of things, that it is possible for the same things not to exist and that those that are non-existing, yet they exist, must have been caused to exist. On this note, it is an illogical fact that things cannot bring themselves into existence since they must exist to bring themselves into existence. The argument shows that an infinite number of causes that can bring something into existence cannot exist. This is because there is no initial cause of an infinite regression of causes, meaning that the cause of existence is not there. Cosmological arguments try to prove that the universe has a cause since it exists. This shows that all things have an uncaused cause, and the uncaused cause must be God (Craig and Moreland 52). The most successful cosmological argument is Thomas Aquinasââ¬â¢ argument of contingence. Aquinas (1225ââ¬â1274) was a theologian born in Medieval Europe. ... One has to use all the five arguments since all of them form the basis of his argument (Craig and Moreland 56). The Argument from Motion Using the works of Aristotle, Aquinas through observation, concluded that any moving object is able to move because another supreme object or supreme force makes it move. He observed that there must have been a mover that was making the objects move. This mover must have been unmoved and it must have been God. Aquinas believed that of all the things that were moving, none could move itself. This means that nothing can move itself. He also noted that in order that all objects to be in motion, the first object to be in motion needed a mover. He also said that the mover was unmoved and was God and that movement cannot last forever. Aquinas believed that all things must be at rest and motion is unnatural. According to him, motion is any change that occurs, for example, growth, rotation, etc. He concluded that a supernatural power must have put the state of motion (Craig and Moreland 61). The Argument of Causation of Existence In the argument of causation of existence, Aquinas said that it was logical that nothing can create itself. There must have been a previous object, which created it. This first object must have been uncaused cause and it must have been God. He concluded that causation of all things that exist, are other things and that nothing can be the cause of itself. The things that cause other things to exist cannot be an endless string of objects; therefore, the first uncaused cause is God (Craig and Moreland 63). The Argument of Contingence The argument of contingence is the modal argument. Aquinas argued that an uncaused
Saturday, November 16, 2019
Psychoanalytical Concepts of Crisis in Masculinity
Psychoanalytical Concepts of Crisis in Masculinity The late 60s saw a rapidly materialising concern about the status of masculinity. Before the 60s it seemed that the idea of masculinity was safe males could be useful within modern capitalist societies, providing for their families and gaining a sense of satisfaction from their place in society. But society began to change, economically, socially and especially in relation to the position of women. The rise of feminism was changing womens attitudes about the way in which they were (and are) treated. In turn this was starting to affect how men viewed themselves. Carroll (2004) explains how in American society the breadwinner ideal was being eroded with support from professional groups including psychologists and cardiologists working all the hours and a constant striving for material wealth might not be good for you. How, asked men, do we define ourselves now? This essay will examine the crisis in masculinity from the point of view of psychoanalysis through the Oedipal complex and the castration complex and then move onto evidence from social and cultural theories. To examine how masculinity might be in crisis, it is first necessary to examine how psychoanalytical theories posit that boys gain their masculine identity or in other words how they become men. Modern psychoanalytical theory, as did Freud himself, places a great emphasis on the early relationships of the young boy with his parents or caregivers. It is the vicissitudes of these relationships that will have important consequences for development. In Freudian terms, this early relationship is overshadowed by the Oedipal conflict. The mother shows a great interest in the child and the boy realises that his father represents his main rival to this relationship. The boy desires the mother, but the father stands in the way. Attempting to maintain these conflicting influences at some kind of equilibrium is the central drama of development from a psychoanalytical viewpoint. What, then, are the most important processes that occur in early life that influence the construction (or otherwise) of the male identity out of the Oedipal crisis? Greenson (1968) explains that psychoanalytic theory concentrates on the idea of disidentification, this is divided into two processes: firstly a boy must sever the emotional ties he has with the primary caregiver usually the mother and secondly he needs to identify with a male role-model usually the father. The identification with the father should allow the boy to have a way of communicating with the outside world, to tempt the boy away from psychological closeness with the mother and provide the support needed to avoid the boys return to a symbiotic relationship with his mother. The relationship with the mother, then, is seen by Klein (1975) as a delicate balancing act. It provides a prototype for later relationships with women and so needs to be warm and loving, but it is difficult for a man to have relationships with women if he is too close to his mother. Horrocks (1994) argues that, in fact, the male child is surrounded by femininity throughout his early childhood, and it is important for him to break away and discover a world of men for here lie the roots of the male identity. The central paradox, though, is that the man wishes to escape this cocoon of womanhood but there is also the desire to become close to a woman. One danger in this dynamic is that the early influence of the mother is too great and not sufficiently counter-acted by the father this leads to an inability to separate himself from the mother (Horrocks, 1994). The role of the father in the masculine identity is seen as crucial by psychoanalysts. Horrocks (1994) sees the role of fathering as an introduction to manhood, the introduction to a role that has previously been shrouded in mystery. While there are some initiation rights and ceremonies in some cultures, overall, and especially in western societies, it is not particularly strong. There has actually been a disconnect between the son and his father, now the father heads out to work everyday and no longer has a chance to bond with his son. Horrocks (1994) sees one of the most important functions of the father as to show the young boy that it is possible to live with the mother, to have conflict, fear and guilt, but still to live together. It is through the father-son relationship that the boy can learn that it is possible to live a civilised existence without continual recourse to violence and satiation of primitive longings. The damaged modern male, the male in crisis, is seen by Horro cks (1994) as unfathered. Women are viewed as dangerous to have a relationship is to have a battle and the man must draw himself away from women from time to time to maintain his safety. By never really making a strong connection, the modern man in crisis feels damaged and abused and uses the methods of abuse and damage to relate to others because he knows no other way. This analysis of the Oedipal complex and its effects, as well as the possibility of transcendence, actually describes a rather prototypical interaction between the young boy and his caregiver. Blazina (2004) describes how some criticisms and refinements of this model have been made by subsequent theorists. Bergman (1995), for example, has argued that it is not necessarily with the mother the boy should be disidentifying. There are many situations where the father is actually the provider of the most emotional nurturance. In this case it is better to see the individuation as occurring with the primary caregiver rather than the mother. Blazina (2004) also maintains that there should not be such emphasis on the cutting off of the other identity. Where the other identity is feminine, there is now greater acceptability of feminine qualities in men so these can be integrated into male identity without compromising maleness. For the crisis in masculinity, Freuds conception of the castration complex is of great interest. Freud (1925) theorised that the castration complex had the following stages. Firstly a boy guesses from the evidence of his own anatomy that everyone has a penis. Secondly he finds out that women do not have penises and assumes that they have been mutilated in some way. Thirdly when he begins to masturbate, he is told that he will be castrated. Fourthly, finding that the breast has already been removed, summarises that the penis will be next. Finally, the Oedipus complex is destroyed by this threat of castration. According to Horrocks (1994), Freud saw this sequence of events as concrete, whereas many psychoanalysts now see this in more allegorical terms, as mediated by culture and society. Through gender, both men as well as women are denied a whole world of being, the world of the other gender. After the process of partitioning men and women both feel a sense of loss at the things that they will not be able to experience. In men this castration complex expresses itself in a variety of different ways. Men have a desire for love, a fear of their own sexuality, and, in particular, a fear of their own anger. Horrocks (1994) describes how, as a psychotherapist, many men talk about their fear that their anger will be exposed to the world. To stop this, they have to bottle it up and repress the emotion. As a result, in heterosexual men, this is recognised by the women with whom they have relationships and they are rendered impotent and asexual. A man who acts in this way behaves passive aggressive ly he is motivated to manipulate those around him by his anger. This prohibits a direct connection with other people because his relationships are based on manipulation. The result of this is that feelings are kept inside and denied. A similar problem is seen, in Horrocks experience, in macho men. The castration of the macho man leaves him profoundly afraid of expressing his own feelings. This denies him the possibility of acting emotionally in any situation as this will simply reveal his weakness as he sees it. It is the emotional parts of himself that this man hates and wants to hide away the feminine parts of him are an embarrassment. By being cut-off from his own feelings, the psychologically castrated man experiences an emptiness within himself that he attempts to fill with methods that will never work. The emptiness inside is often experienced as a dead feeling, almost of death itself. It is precisely this almost death from which, Horrocks argues, many men in the crisis of masculinity are suffering. Without the connection with his own emotions, or those of anyone else, he is only half a man, not able to experience himself or others properly, safely cocooned within an empty world. Within Freuds writings, woman were theorised to suffer from envy of the male penis, but Freud did not acknowledge the possibility of men being envious of the female breast. The male-centred idea that penis envy is fundamental to psychoanalysis is attacked by the introduction of the idea of breast envy. Klein (1975), for example, has pointed out that both male and female children have very strong feelings towards the breast both are attracted to it and both want to destroy it. Instead of defining both sexes in terms of the penis one having and the other jealous a reciprocal envy provides balance that acknowledges the lacuna in mens lives as well. The breast does, after all provide, not only nourishment, but also love to the child, and so a womans breast is a symbol of these qualities. Horrocks (1994) argues that men have a strong desire to return to the breast, to return to the originator of life and at the same time men attack the breast and want to destroy it. Melanie Klein posited that the idea of womb envy was also an important component in the male psyche. Minsky (1995) describes how the Kleinian viewpoint sees the development of male power as being rooted in the fear of the womb. Like the young boys envy of his mothers breasts, he also becomes envious of her womb and the power it has to create new life. To make up for this envy, men are forced to concentrate their efforts on cultural and creative efforts and to suppress womens forays into the same field. Minsky (1995) explains that it is the phallus that then saves men and provides a distraction from the envy of the womb. Lacan has a different take on the Oedipus complex. He sees the father not as a real father but as a representation or a metaphor for culture (Lacan, 2004). It is through the young boys experience of cultural factors such as language that he is pulled away from the mother. The mother represents desire for Lacan and so culture, through the representation of the father, pulls the boy from what he desires. This cutting off is like a castration and the child then attempts to substitute this with a search for truth (Minsky, 1995). Many of these psychoanalytical ideas about the roots of a crisis in masculinity are analysed in social theories in terms of a conflict in gender roles. ONeil, Helms, Gable, David, Wrightsman (1986) have defined gender role conflict as where socialised gender roles have an adverse psychological effect which causes a restrictive effect on the self through barriers created around personal creativities and freedom. ONeil et al. (1986) identify four different types of role conflict. There is a restriction in the range of internal emotionality; similarly, there is a restriction in the types of emotional behaviour that are possible towards other men this results in an inability to communicate feelings. Personal achievement and constant comparison to what others have creates a constant sense of fear and worry. There is a conflict between the requirements of work and those of the family which results in stress and health problems, and a simple lack of time to relax. Evidence to support these ideas of role conflicts has come, for example, from Sharpe Heppner (1991) who found a connection between role conflict and problems with intimate relationships. Watts Borders (2005) point out, though, that many of these studies have not been carried out in younger, adolescent boys. In rectifying this hole in the research, Watts Borders (2005) investigated role conflict in adolescent boys. Their findings were in line with the theories put forward by ONeil et al. (1986). The boys in their study said they found there was a societal pressure to restrict their emotionality, both internally and between themselves and other boys. Further they theorised that many of the boys had only been exposed to a very limited range of emotions from male role models indeed many denied experiencing any emotions other than anger. Cultural theories, which intersect with Lacans ideas, are also important in how the crisis in masculinity has been studied. Whitehead (2002) considers arguments that have been played out in the public domain. Firstly he considers the publication of Stiffed: The Betrayal of Modern Man (Faludi, 2000). The thesis of this book is that it is now the male who finds himself objectified and the subject of much sexist consumer culture. In addition the mans secure attachments and relationships with the world of work are no longer as strong and exclusive as they once were. Men seem also, in Faludis view, to be failing to fight back against the new culture, failing to take on this creeping emasculation. Now that feminism has attacked the patriarchal systems of power and control, masculinity has been left undermined and unsure. The rise of feminism has surely encouraged many men to question how they view women and then apparently left them confused. Faludi (2000) places the blame for this crisis in masculinity at the door of culture and encourages them to work together to combat it. While the argument has some elements of truth, quite how men and women are supposed to step outside of culture is not clear. Without men and women, there is no culture people are intimately bound up with it and part of it. The second set of arguments centre around research carried out by Professor Richard Scase as part of the European Commissions Futures Programme (Scase, 1999). This research found that many women are choosing to live alone as their opportunities in the workplace increase and especially as the roles they can adopt widen. It is hypothesised that this is having a knock-on effect on men who find it difficult to cope with this new situation. Evidence for this is in the rising rates of suicide between 1991 and 1997 they have increased by 60%. Social research finds that men are choosing to remain living at home rather than move out on their own (Office of National Statistics, 2000). Whitehead (2002) sees this as evidence that men are failing to cope with the new challenges they are facing. Further cultural and social evidence that men are in crisis is provided by Beynon (2001). Relying heavily on role theory, Beynon (2001) points to the changes in work patterns particularly the fact that less than half the men over 55 are in work. There is also a sense in which these men are caught between attempting to maintain the old-style macho posturing and the new-man type behaviour requiring a man to be in touch with his feelings. Beynon (2001) claims that generally men are less likely to tackle any psychological or physical illness which faces them. In marital breakdown, Beynon (2002) argues, the man is normally most responsible, with women starting 75% of divorces. Similarly nine out of ten men move out of the marital home after the breakdown of a marriage. This reason, however, is probably more of an artefact of the legal system and simple practicality than an indictment on men. Apart from anything else, men generally die younger and are much more likely to suffer from heart disease. The worrying facts and figures continue through both crime and education and other major areas of life. Violent crimes are mostly committed by men, indeed it is men who are mostly the victims of violent crime, and so it is violence that is seen as an important component of masculinity. Whitehead (2002) sees this violence discourse as having a powerful effect on peoples attitudes to men. Men are seen as being unable to cope with the demands of modern life, especially those men on the social and economic fringes, and so the resort to violence is only natural. Within education, in the schools, male performance is significantly lower then female. Despite much theoretical attention as well as some evidence from research on role theories and other areas, there has been a fair degree of criticism of the idea of a crisis in masculinity. Writers have asked whether the crisis of gender is anything new. Mangan (1997) (as cited in Whitehead, 2002) argues that masculinity, like femininity is constantly in crisis, constantly changing and adapting to new circumstances. Indeed, some of the fundamental ideas from psychoanalysis support the idea that masculinity is always a matter of crisis men will always have to cope with breast envy, womb envy and a castration complex. This question aside though, some commentators have asked if there is really anything to explain at all with the rise of feminism, men have suffered a loss of power relative to women and are trying to cope with that loss, some less successfully than others. Whitehead (2002) suggests that the crisis in masculinity is, in reality, an illusion confined to academic journals and has no meaning for people in the real world. Heartfield (2002), in arguing against a crisis of masculinity, talks of the fetishising of sexual difference, an exaggeration of the differences between men and women. Heartfield (2002) suggests that it is instead the working classes that are in crisis, not men in general. These ideas are far removed from those that come from psychoanalysis where many of the roots of future struggle are born in that difference. In conclusion, psychoanalytical ideas about the crisis in masculinity are grounded in the biological differences between the sexes and how these are dealt with psychologically. Other psychoanalysts and Lacanian ideas have taken these literal conflicts and, to some extent, moved them away from a focus on biological difference and introduced more cultural and social ideas. Social and cultural theories provide a wide variety of, and some reasons for, a possible crisis in masculinity. In particular, the use of role theory has provided an important analysis. Despite using the language of role conflict, the male preoccupations and problems described by role theory have many things in common with those arrived at by psychoanalytical means. Nevertheless, many authors have questioned whether this crisis in masculinity really exists and whether it is anything new. References Bergman, S.J. (1995) Mens psychological development: A relational perspective In R.F. Levant W.S Pollack (Eds.), A new psychology of men (pp. 33-67). New York: Basic Books. Beynon, J. (2001) Masculinities and culture. Buckingham: Open University Blazina, C. (2004) Gender Role Conflict and the Disidentification Process: Two Case Studies on Fragile Masculine Self. The Journal of Mens Studies, 12, 2, 151-161. Carroll, B. E. (2004) American Masculinities: A Historical Encyclopedia. London: Sage Publications Ltd. Faludi, S. (2000) Stiffed: the betrayal of the modern man. London: Vintage Freud, S. (1925) Psychical consequences anatomical distinction between the sexes, SE, 19, 248-258. Greenson, R. (1968). Disidentifying from mother: Its special importance for the boy. International Journal of Psychoanalysis, 49, 370-374. Heartfield, J. (2002) There is No Masculinity Crisis, Genders 35. Retrieved 5 January 2006 from http://www.genders.org/g35/g35_heartfield.html Horrocks, R. (1994) Masculinity in Crisis. New York: St. Martins Press. Klein, M. (1930) The psychotherapy of the psychoses. British Journal of Medicine and Psychology, 10, 242-4. Klein, M. (1975) Love, Guilt, and Reparation and Other Works. London: Hogarth Press and Institute of Psycho-Analysis Lacan, J. (2004) Ecrits: A Selection. New York: W. W. Norton Co Ltd. Mangan, J. A. (1997) Shakespeares First Action Heroes: critical masculinities in culture both popular and unpopular, unpublished paper. Minsky, R. (1995) Psychoanalysis and Gender: An Introductory Reader (Critical Readers in Theory Practice). Oxford: Routledge. ONeil, J. M., Helms, B. J., Gable, R. K., David, L., Wrightsman, L. S. (1986). Gender role conflict scale: College mens fear of femininity. Sex Roles, 14, 335-350. Office of National Statistics (2000) Social Trends 30. London: The Stationery Office. Scase, R. (1999) Demographic and Social Trends Issue Paper: Mosaic Living. EUR 18967 EN, Brussels: European Commission. Sharpe, M. J., Heppner, P. P. (1991). Gender role, gender-role conflict, and psychological well-being in men. Journal of Counselling Psychology, 38, 323-330. Watts, R. H., Borders, L. D. (2005) Boys Perceptions of the Male Role: Understanding Gender Role Conflict in Adolescent Males. Journal of Mens Studies, 13,2 267-280 Whitehead, S. (2002) Men and masculinities: key themes and new directions. Cambridge: Polity Press.
Thursday, November 14, 2019
Comparing the Power of Love in Uncle Tomââ¬â¢s Cabin and Beloved :: Comparison Compare Contrast Essays
The Power of Love in Uncle Tomââ¬â¢s Cabin and Beloved There are several common themes in the film Beloved and the book Uncle Tomââ¬â¢s Cabin. They both deal with the effects of slavery on the white and black communities. They both address the brutal treatment of blacks within slavery, including the sexual mistreatment of black women by their masters. A prevalent theme out of both works is the power of a motherââ¬â¢s love for her children. The film Beloved paints a grim picture of what it was like to be a black woman in the 1860ââ¬â¢s. Like the book Uncle Tomââ¬â¢s Cabin, it takes us through the story of an escaped slave in the South traveling to the North in order to gain freedom. The main characters, Sethe, in the movie Beloved, and Eliza, in the book Uncle Tomââ¬â¢s Cabin, are both mothers who want nothing more that to see their children delivered from the bonds of slavery. Although the film and the book were created using very different styles, their objectives are somewhat similar. In Stoweââ¬â¢s book Uncle Tomââ¬â¢s Cabin we follow Eliza through a dramatic escape from her plantation after she learns about the impending sale of her only son. Determined to take him out of slavery or die trying, she runs away in the night with him holding on to her neck. Stowe focuses much attention on the power of maternal love. She felt strongly against slavery because it often broke the bonds of maternal love by ripping children away from the mothers. Families were continually being torn apart by the auction block; Stowe wanted the reader to be aware of the effects of this horrible institution. Logic tells us that no mother would ever willingly put her children or herself in danger. However, through Elizaââ¬â¢s character in Uncle Tomââ¬â¢s Cabin we see the desperation that many women had to experience to save their children. Harriet Beecher Stoweââ¬â¢s novel, though fictional, did more to change the hearts of Americans who were standing on the edge abolitionism than any other work at that time. In fact, near the conclusion of the Civil War she was invited to the White House in order that President Lincoln might meet the ââ¬Å"little woman that started this big war.â⬠Stowe felt that she had an obligation to inform the world of what really went on in the South, what life was really like for slaves.
Monday, November 11, 2019
The Importance of Psycholinguistics in Education
THE IMPORTANCE OF PSYCHOLINGUISTICS IN EDUCATION A newborn baby always has the faculty of wonder . . . Psychology is the studies about human and mind. Psycholinguistics is the study about human and language which they acquire from a newborn baby, till they die. A newborn baby always has the faculty of wonder. That is how it is. If a newborn baby can talk, they will say something about what an extraordinary world it is. As the time goes by, they will acquire the language used by their mom. Children is using their language creatively, no one teaches them how to use the language.Why shall we put a verb after subject (in most language)? It is their nature to learn it. Language is a maturationally controlled behaviour. That is, there is a nature of language which we can learn language by our own, and nurture, in which someone teach us so. When individuals reach a crucial point in their maturation, they are biologically in state of readiness of learning the behaviour. Most of psycholinguis ts agree with these theory, but they still cannot agree with the term of innate.They cannot decide to what extent language ability is separate from other cognitive language. There is a study of the child language acquisition which is done by asking the parents write a diary, make a tape recordings, videotapes, or even controlled experiments. The studies show that child language is not just a degenerate from adult language. At each stage of development the childââ¬â¢s language conforms to a set of rules, a grammar. Although child grammar and adult grammars differ in certain respects, they also share many formal properties.Speaking about the norture of language by the children, it will be connected to the term of applied linguistics. Because here, in applied linguistics, we study about how parentsââ¬â¢ language influences their children language. Such a low class parents with a straightforward sentences, middle class parents with the usual language, and high class parents with t heir indirect language. Psycholinguistics is very useful to help us, a teacher candidate, understanding our students in the class. That is, as us is an Indonesian, we shall learn more about Second language Acquisition by the children.
Saturday, November 9, 2019
Criminal Justice Policy Process Essay
The criminal justice policy-making process is interesting to say the least. There are three levels of government branches which are Legislative, Executive, and Judicial. Looking into how the policy-making process works one finds that Federal and State has their hand in the process of making criminal justice policies, while local government is receiving many benefits by getting on board with the policy-making federal and state government branches. Criminal Justice Policy Processà Criminal justice policy-making process as fascinating as it is there are a lot of strings to benefiting from the process. Criminal justice policy actions taken at the federal and state levels affect local criminal justice agencies in various ways. Many policies provide grants and other forms of assistance to local police departments and other criminal justice agencies. However, to receive additional funding the local branches are mandated to do certain things such as getting into bed with the state or federal government good or bad. A good example of this is the policies related to the ââ¬Å"war on drugs,â⬠poured billions into the coffers of local law enforcement authorities, who in turn stepped up their drug enforcement and investigation activities, arrested many suspected drug dealers and users (Hall, 2013). Many times the actions by state and national (federal) policy issues will result in legislators passing new laws to address the issue. Ordering local agencies to enforce the new law passed with little or no funding, and minimal if any guidance on how to enforce the new law. Arizona passed a new illegal immigrants law in April of 2010, which the Arizona law enforcement opposed. The problem was not passing the new law it is however, the strain it will have on the local police departments. Currently the officers are required by this new law to detain all illegal immigrants, time and money is the price for this new law. ââ¬Å"In other cases, the local level of the criminal justice system bears the cost when state and federal officials fail to act. Overcrowding in state prisons provides one example. During the 1980s, overcrowded conditions in Texas prisons resulted in many county jails being forced to house inmates awaiting transfer to state prisons. This imposed heavy costs on local jail operators, with no help from state officials, who faced federal court pressure to reduce crowding in state prisons. Texas built new prisons and expanded others but made no policy changes to reduce recidivism rates or provide alternatives to incarceration, according to the Texas Criminal Justice Coalitionâ⬠(Hall, 2013). So it does seem that at the federal level of the criminal justice policy-making process that agency is highly involved with helping to make the new policies. Just as with the state government branch they also are involved in the new policy-making process. One can see how the local branches are not involved in the policy-making process but are involved with reaping the benefits of the new policies or shouldering the hardships caused by them. During the research information such as the branches of the government are as follows the Legislative branch is the branch that makes new laws. The Executive branch is the branch that carries out the laws, and the judicial branch is the branch that interprets the laws. Again this is fascinating how the three branches work with the federal, state, and local branches of the government. The federal branch although it is known help to make laws that is not all they do they also help to enforce laws. The FBI (Federal Bureau of Investigation) is a good example of enforcing the law. This branch is governed by an entirely different set of rules. It is able to cross state lines, can even leave the country if that is where the investigation leads the case. The state branch is also involved in the policy-making process as well as enforcing the laws which are made. The state houses many criminals in the state penal institutes. State law enforcement are ruled by a standard that has jurisdictions and are not able to cross state lines even if that is where the investigation leads, the must call in the FBI to finish the case. As they say things role downhill the state can call on the local agencies to help them out. The criminal justice policy-making process is in place to deal with issues that come up. Throughout time different issues have needed new ways to deal with them so policy is made and laws are set to fix the problem. The United States Constitution has been ratified starting in 1791proving that all laws and policies are subject to change over time. (Ritchie, 2005) As fascinating as Criminal justice policy-making process is there are a lot of strings attached to benefiting from the process. Criminal justice policy actions taken at the federal and state levels affect local criminal justice agencies in various ways. One can understand which agencies help to make the laws and which agencies reap the most rewards from the policy-making process. To conclude that the federal and state branches come out ahead would be an understatement. One can clearly see that the local branches of government have more red tape to deal with and have more hoops to jump through to receive the funding needed to do the best job. One could conclude that all matters of criminal justice policy-making process are beneficial to all branches. Depending on the interrupter because others may believe none of the branches benefit from the policy-making process.
Thursday, November 7, 2019
Terms and Conditions May Apply Documentary
Terms and Conditions May Apply Documentary The paper dwells on the specification of terms and privacy regulations through the analysis of Terms and Conditions May Apply documentary.Advertising We will write a custom essay sample on Terms and Conditions May Apply Documentary specifically for you for only $16.05 $11/page Learn More The motion picture starts with a cartoon element that regards the issue of terms agreements. Through the traditional representation of the problem, the director manages to reach a desirable effect: he links the procedure of Internet terms acceptance to the regular daily activities. After a general depiction of the concept of web privacy, the documentary reveals the problem in correlation to specific world companies that provide the global community with typical Internet services. These are such corporations as Google, Facebook, Twitter, and Reddit. Specifically, the authors of the terms and conditions fraud theory address the issue as a secret strategy that hides the concret e objectives of a particular Internet company under the multiple pages of plain textual reiterations that confuse the readers and leave the customers no choice, except for accepting the conditions of a corporation. The idea of terms and conditions reading turns to be ridiculous since, due to the filmmakersââ¬â¢ quantification, it can take approximately 180 hours a year for reading the complete terms and conditions that are assigned to the popular websites such as iTunes. The content of the documentary is based on a compilation of interviews that are given by the leading IT experts. Among them, there are Chris Anderson, Frank Heidt, and Brian Kennish. The specialists provide some consistent facts and data that support the idea of customersââ¬â¢ rights violations. For instance, the experts states that contemporary terms and conditions regulations seem to stipulate the invasions of privacy, for the web servers can remember the information about the clients, who accept specific co nditions, which becomes a subject for the further manipulations.Advertising Looking for essay on art and design? Let's see if we can help you! Get your first paper with 15% OFF Learn More Thus, due to the film, the world Internet-users lose approximately $250 million on the frauds that are promoted by the occasional terms and conditions agreements (Hoback, 2003). The documentary reveals some cases of Internet privacy abuse that concerned some celebrated personages. For instance, the film contains the interview with Barack Obama, who admitted that his privacy rights were hindered through the Facebook service. The working mechanism of the terms and conditions manipulations is shaded and hard to disclose since the similar violations are usually conducted on the basis of legal regulations. Thus, the clients, who agree to the individual web regulation, may be unaware of the fact that their signature serves as a legal ground for the web page administration to emplo y their personal data. In fact, practically every act of terms and conditions contains the section that claims the employment of private data. Therefore, it is a primary responsibility of every Internet user to check the dedication of the agreement as well as the reliability of the certain website. Moreover, it is recommended to use the web page that possesses a long-established tradition of customersââ¬â¢ serving. The documentary emphasizes that certain Internet servers reveal the lowest inclinations to the terms and conditions manipulations. These are such web pages as Twitter and Reddit. In contrast to them, Google is described as one of the most corruption-driven sites that support the wide usage of private data misusage. In my opinion, the concept of terms and conditions violation is a direct consequence of the high information technologies development. Since the issue of private data usage stipulates such consequences as financial fraud transactions and verbal abuse, it is highly recommended to spend some time on cross-reading of the Internet agreement rules. Reference Hoback, C. (Producer), Ramos, J. (Director). (2013). Terms and Conditions do not Apply [Motion Picture]. United States: Hyrax Films.Advertising We will write a custom essay sample on Terms and Conditions May Apply Documentary specifically for you for only $16.05 $11/page Learn More
Monday, November 4, 2019
Chronic Bronchitis and Emphysema Pathophysiology Research Paper
Chronic Bronchitis and Emphysema Pathophysiology - Research Paper Example The exact prevalence of these lung diseases across the globe is not well known. In this article, both the diseases with be discussed by comparing and contrasting with each other. Definitions Chronic bronchitis is defined clinically as a condition in which the patient suffers from expectorant cough for a minimum of 3 months for 2 consecutive years (Celli, 2008). The diagnosis is mainly through clinical presentation. On the other hand, emphysema is defined as a condition in which the patient has permanent and abnormal enlargement of the air spaces distal to the terminal bronchioles and associated with destruction of the walls without any obvious fibrosis (Celli, 2008). Chest radiography and pulmonary function tests are needed to arrive at the diagnosis. Pathophysiology In chronic bronchitis, there is typical inflammation of the bronchi. The endothelium is damaged because of which the mucociliary response is impaired. This leads to improper clearance of bacteria and mucus. Thus, inflamm ation, along with inadequate clearance of mucus contributes to obstruction in the disease. There is histopathological evidence of goblet cell hyperplasia, mucus plugging, smooth muscle hyperplasia and fibrosis. Alveolar attachments that are supportive are lost, the airways are deformed and the air lumens are narrowed. The capillary pulmonary bed is undamaged. In emphysema, the airspaces distal to the terminal bronchioles are enlarged permanently, because of which alveolar surface area necessary for gas exchange is decreased. Loss of alveolar walls leads to decreased elastic recoil property of the alveoli, causing limitations to airflow. Decrease in the alveolar limiting structure causes narrowing of the airway, causing further limitation of airflow. There are 3 characteristic patterns of morphology in emphysema and they are centriacinar, panacinar and distal acinar. In centriacinar type, destruction is mainly in the central portions of the acini. In panacinar type, entire alveolus i s involved. In distal acinar type, only those acini in the distal portion of the airways in involved. (Maclay et al, 2009). Etiology and pathogenesis The most common etiological agent in both chronic bronchitis and emphysema is cigarette smoking. Smoking over a long duration of time triggers the macrophages to release chemotactic factors like elastases which destroy the tissues of the lung. Passive smoking and other environmental factors also can contribute to chronic obstructive pulmonary disease. Airway hyperresponsiveness is a risk factor for chronic bronchitis. Alpha-1 antitrypsin deficiency, a genetic disorder, is an important risk factor for chronic pulmonary obstructive disease, especially emphysema. Intravenous drug abuse is another important risk factor for emphysema. The disease occurs because of the pulmonary vascular damage that occurs due to insoluble fillers present in the drugs. Immunodeficiency syndromes like HIV infection, vasculitis disorders, connective tissue dis orders and Salla disease are risk factors for both chronic bronchitis and emphysema (Celli, 2008). Prognosis As far as prognosis is concerned, both the conditions are associated with significant mortality and morbidity. The prognosis is worse in emphysema because of damage to pulmonary vascular bed. Chronic obstructive pulmonary disease is infact, the fourth leading cause of mortality in the United States. Both chronic bronch
Saturday, November 2, 2019
The Main Capabilities That Motivate LinkedIn Case Study
The Main Capabilities That Motivate LinkedIn - Case Study Example In 2011, the companyââ¬â¢s revenues stood at $522.2 million making it the worldââ¬â¢s largest professional network by 2012 (Yoffie and Kind 2012, p. 1). The companyââ¬â¢s revenues and profits come from marketing solutions, premium subscriptions, and hiring solutions. LinkedIn became the first U.S social networking firm to participate in an IPO where it raised $270.2 million (Yoffie and Kind 2012, p. 1). LinkedIn has a mission to connect the worldââ¬â¢s professionals to make them more productive and successful (Yoffie and Kind 2012, p. 3). Indeed, the company helps the members to access people, jobs, news, updates, and insights that help them to become good entrepreneurs (LinkedIn 2014). The company seeks to link about 640 million knowledge workers across the globe (Yoffie and Kind 2012, p. 4). LinkedIn has a vision to connect 640 million knowledge workers across the world (Yoffie and Kind 2012, p. 4). With such a promising mission and vision, the company attracts more than 5,400 full-time employees, 5.7 billion professionally oriented searches in 2012, and 186 million unique visitors in the first quarter of 2014 (LinkedIn Corporation 2014). The company enjoys about 36% of the online advertising market (Fawley 2013, p. 31-32). The company generated revenues from premium subscriptions (20%), marketing solutions (30%), and hiring solutions (50%) in 2011 (Yoffie and Kind 2012, p. 7-8). Most of its competitors could not match these revenues. LinkedIn adopts (R&D) Innovative product development to produce new products that will address market changes and customer needs. This defines a competitive advantage since other firms like Google + and Facebook are only applicable in specific occasions (Yoffie and Kind 2012, p. 1). This detailed strategic management analysis of LinkedIn Corporation addressed the internal and external environment of the company and identified the strategic challenges for the firm. Consequently, it proposed a set of rational options and derived the best applicable option that the company must adapt to survive in the competitive market.
Thursday, October 31, 2019
The underground water in the uae area and their quality, distribution Case Study
The underground water in the uae area and their quality, distribution and their effects in plantation - Case Study Example The need for water in agriculture, domestic and industrial use remain the primary areas where significant volumes of water are necessary to run the economy of U.A.E not to mention sustaining the livelihood of about 1.4 million people living in U.A.E (Heard-Bey 98). Because of poor quality water in most underground water sources, U.A.E have to contend with desalination of water as show in appendix A. While U.A.E has the least number of rainfall in the, a characteristic of many nations in the Arab Peninsula, the Emirates have the highest number of water use. The amount of water use per-capita in the U.A.E is the highest as compared to any part of the world. Despite the high rate of water use in U.A.E, there demand for water outstrips the supply given that U.A.E has less surface water. The primary source of water in the U.A.E is underground sources, which contribute to meeting the demand of water for domestic, industrial, and agricultural use. The underground water sources provide the h ighest amount of water from well such as one figure 1 depicts. Even with water quality being low due to salts, underground water remain significant resource. ... While the U.A.E have a varying landform, there are several aquifers. Appendix B shows a representation of the main aquifer system in U.A.E that provide underground water sources. In the U.A.E, the primary aquifer system that determine the distribution of underground water consist of alluvial aquifer system, the Batinah coastal plain aquifer, and the deep carbonate aquifer system. The alluvial aquifer system is made of sand, cobbles boulders, and pebbles and stores underground water of nearly 5,280 x 10 9 cm3. The second aquifer systemââ¬âthe Batinah Coastal Plain Aquiferââ¬âconsist of course sand, boulders, and gravel. In this aquifer system, well sunk are shallow and allows drawing of water because water levels are high and often above the sea level. The third category of aquifer systems is the deep carbonate aquifer system. This system has thick carbonate rocks that stretch across the southern part of Abu Dhabi. This aquifer demonstrates the characteristics of a system unde r an artesian condition. Statistics from the U.A.E Ministry of Agriculture and Fisheries reveal that all the seven Emirate have close to 76,000 sources of ground water. These wells produce water used for domestic purposes across the U.A.E. The cumulative production of water from these underground well totals to 137.5 Mm3. Most of the underground water sources have an age between 12,000 and 40,000 years pointing to water deposits that have taken long time to accumulate in the aquifers. Across the U.A.E, the main underground sources of water belong to three aquifers, which represent one of the factors that influence the distribution of underground water. Other factors that play a role in determining
Tuesday, October 29, 2019
Landscape Architecture in Palo Alto City Essay Example for Free
Landscape Architecture in Palo Alto City Essay Palo Alto City, a city known because of many famous landmarks and buildings, is located in Santa Clara County, in California of United States. The named of the city was derived from a name of a tall oak tree at the banks of the San Franciscquito Creek bordering Menlo Park called El Palo Alto. The geographic characteristic of the city is at the northern end of the Silicon Valley. The city is also situated near the Stanford University and is known as home of many huge companies in the high-technology industry like Hewlett-Packard. (Bowling, 2007) History of Palo Alto The history of Palo Alto city was traced back in 1979 Gaspar de Portola made an Ohlone settlement in the said city. To commemorate what happened in this place, a plaque was made in order to remember the histiroy for Palo Alto City. The plaque was located at Middlefield Road and Webster Street, (Bowling, 2007) Landscape Architecture Landscape architecture is the art of planning, designing, developing, managing and rehabilitating a land for a specified purpose. Landscape architecture is a profession that is combination of different inter disciplinary field like mathematics, geography, engineering, art, horticulture, social science, politics, history and philosophy. The duties of a landscape architecture can range from different roles like designing of a museum, parks, site planning for commercial buildings, as well as residential lands, and development and maintenance of nature lands like forest. Arastradero Preserve There are many famous buildings and landmarks located in the city. Some of the notable landmarks located in Palo Alto are the Arastradero Preserve. Arastradero Preserve, which is officially known as Enid W. Pearson- Arastradero Open Space Preserve, is a nature preserve which serves as parking lot of the city. The landscape architects designed the Arastradero Preserve so that people can have a biking, hiking and horseback riding session. The preserve is a combination of savanna grassland and broadleaf evergreen forest that is suitable for a nature preserve location. This made also the preserve to be a habitat for many wildlife species like bobcats, deer and diverse birds. (City, 2001) Arizona Cactus Garden Another popular landmark in Palo Alto is the Arizona Cactus Garden located in the Stanford University. Arizona Cactus Garden is a botanical garden specializing in the production of different cacti and succulents. The Arizona Cactus Garden is open for public visit. The Arizona Cactus Garden was designed by Rudolph Ulrich, a landscape architect, for Jane and Leland Stanford. The garden was open in public on 1883. The design of the garden was planned to be near at the residence of the Stanford family as well at the Stanford estate. The garden was designed in such a way it is divided in to two parts, the Eastern and Western Hemisphere. The Eastern Hemisphere part contains aloes, jade plants and other succulents from Europe, Asia and Africa while the Eastern Hemisphere contains cacti that are native in America. The garden was designed and made as public landmarks were people can view different varieties of cactus and succulents. (Bowling, 2007) Stanford University One of the most famous landmarks located in Palo Alto is the Leland Stanford Junior University or simply Stanford University. It is a private university that is situated at the center of Silicon Valley. It was in 1891 the university was established under the supervision of the governor of California, Leland Stanford together with his wife Jane Stanford. The name was derived from their only son, Leland Stanford Jr. who died at his teenage years. The university was firstly known as The Farm because it is situated at eh Leland Stanfordââ¬â¢s horse farm and offers courses for both male and female students. (Bowling, 2007) Stanford makes sure that the university will be of good quality that is why he consulted first some key person that may give a big help in the construction of the campus. Some of these person were Francis Amasa Walker, president of another university which is specialize in the filed of engineering, the Massachusetts Institute of Technology and second is Frederick Law Olmsted which is a famous landscape architect. The main role of Olmsted is on the general plans and concept for the proposed university. These are the constructions of the buildings and the removal of hillside sites that will favor for more practical flatlands. Another landscape architect that helps in the design of the campus is Charles Allerton Coolidge. Coolidge used the concept Richardsonian Romanesque style that was derived from his teacher, Henry Hobson Richardson. The said style is has the properties of rectangular stone buildings that are joined by arcades of semi-circle arches. There was also another design that was incorporated at Stanford University, the Mission Revival. The Mission Revival is a Spanish-colonial style and is characterized as red tile roofs and solid sandstone masonry that hold a discrete Californian appearance. The red tile roof has a good combination to bright blue skies making it famous to the people of the city. (Bowling, 2007) The major open space is formed by an on-structure, two-level plaza. It is layered with linear arrays of granite and quartzite aligned to echo the San Andreas Fault line below, and subtly forms gathering areas of various sizes for outdoor classrooms. The lower and more private courtyard provides light to the surrounding laboratories and offices, and exposes a dry riverbed that continues the north/south fault line, while expressing the character of a lower stratum and accommodating gathering places for students, faculty and researchers. (Bowling, 2007) The Stanford University is a huge campus were almost basic building that is required in a university is made. There are different buildings for different department of the campus. There are also dormitories and student housing were the students can reside. Stanford University Arboretum Stanford University Arboretum, which is located at Stanford University, was also designed by Frederick Law Olmsted. First, the land where the arboretum is located was planted by live oak trees. Olmsted designed the arboretum so that the public is free to visit the park. The orientation of the trees to be planted was a factor that was considered by Olmsted as well as the spacing of the trees. Olmsted sees to it that the arboretum will serve as a public park. Jane Stanford finds the arboretum essential to the people of Palo Alto and once said to the people of the city; (Bowling, 2007) In this enlarged Arboretum it is desired that there shall be exhibited to advantage all the trees and wood plants of the world that may be expected to grow to mature natural forms under the climatic and other conditions of the locality. Byxbee Park Byxbee Park, which was designed by Peter Richards and Michael Oppenheimer, shows of the siteââ¬â¢s unique form and characteristics. Is shows the inspiration of landfill, slough, marsh, wind, and sky. The park does not allow buildings to be made inside the park making it a very natural in purpose. The intertwined elements of the park make the park a very sensitive environmental landmark. Cantor Center for Visual Arts The Cantor Center for Visual Arts, which is located in Stanford University, is another landmark in Palo Alto. The Cantor Center for Visual Arts is a museum that contains about 24 galleries, terraces, and sculpture gardens. The museum was established when the university was established in 1891 as a memorial park for their late son. Hewlett Packard Courtyard The Hewlett Packard Courtyard was designed to show the aesthetic value of nature. Hewlett Packard Courtyard is a huge company specializing in the production of computer hardware and the likes like printers. Hedges, designer of the courtyard, design the rooms of the employers of the company in such a way that they can view the outside environment. The terminal wires of the computer being utilized allow the programmers to work outside the rooms. Three-dimensional landforms ripple out from the round cafeteria addition, creating a romantic play against the beaux-arts structure of the courtyard, and dividing the space to create more intimate areas. (Bowling, 2007) Conclusion The role of a landscape architect is very important when buildings and landmarks are being constructed. Because the aesthetic value of the proposed building is their product. It must be taken in to account the proper way of designing, planning as well as developing the building. It is in the hands of a landscape architect the success of the building because this will reflect the popularity of the building.
Sunday, October 27, 2019
Evaluation Of Competitive Environment
Evaluation Of Competitive Environment INTRODUCTION In any businesses, understanding micro-economic and macro-economic environment that business is operating in is very important stage because the factors in these two environments have strong influence on the success of business. Micro-economic environment involves demand and supply for the business, market structure and cost structure. In other words, those are internal factor of the business that to some degree business can control. On the other hand, macro-economic environment comprises of external factors that cannot be controlled by the business but have strong influence on the business for example: economic situation, inflation, interest rates. This report will describe and analysis the impacts of micro and macro-economic environment on Dominos pizza business. The purpose of this report is to use knowledge and theory in economics for manager subject to apply into practical situation. MICRO-ECONOMIC ENVIRONMENT The business overview Dominos Pizza is an American restaurant chain and international franchise pizza delivery corporation. Founded in 1960, Dominos is the second-largest pizza chain in the United States and has more than 10,000 corporate and franchised stores in 70 countries and all 50 states of United State. Dominos Pizza was bought out by Bain Capital in 1998 and went public in 2004. In Australia, Dominos Pizza is the largest pizza chain in terms of both network store numbers and network sales. In addition, Australias franchisee is the largest for the Dominos Pizza brand in the world. Dominos Pizza holds the exclusive master franchise rights for the Dominos brand and network in Australia, New Zealand, France, Belgium, the Netherlands and the Principality of Monaco. The Dominos brand is owned by Dominos Pizza, Inc, a listed US company. Dominos Pizza Enterprises are operating in five countries, with approximately 845 stores hiring about 21,000 people and making more than 60 million pizzas a year. Dominos Staff Products The current Dominos menu features a variety ofà Italian-Americanà entrees and side dishes. Pizza is the main focus, with traditional, specialty and custom pizzas available in a variety of crust styles and toppings. Besides, Dominos also try to appeal to a larger base of customers by expanding its menus offering pastas, sides and desserts, chips. http://blog.vovici.com/Portals/60483/images/dominos_pizza_pie.png http://whatifeedmyhusband.files.wordpress.com/2010/12/img_2916.jpg https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEhdNzRMIqGedYxcRrD0Yi5MVRLlSGThamhMaEA9T4bKnXaRIwExHCUhMb6-gq5_XRv7QspXom5bgc6t8YiC7V4PAEVy5EmMrrFgliVnhS3AG41GxJZTipH2K3Emfm_xpyzC0ivAGY5TU23h/s1600/DSC_5602.JPG http://slice.seriouseats.com/images/2013/01/20130108-dominos-chain-reaction-bread-bowl-pasta-5.jpg Customers Dominos target market is the consumers who is looking for reasonably-priced pizza and quick delivery. Dominos mainly focuses on delivery and pick-up customers. Demographically, Dominos does not target at a specific segmentation. Instead, it targets. Moreover, Dominos also concentrates on online pizza orders, so it can reach the greatest number of consumers while also improving its ability to meet customer demand, by 2012 online and mobile ordering account for up to 40% of sales. Competitors Domestically, Dominos faces highly competitive with main challenges coming from Pizza Hut, Papa Johns and various local/regional competitors. Direct competitors Pizza Hut: 271 stores Pizza Haven: 150 stores Pizza Capers: 95 storesC:UsersQuanDesktopdownload (2).jpgC:UsersQuanDesktopimages.jpgC:UsersQuanDesktopdownload.jpg Crust Gourmet Pizzas Eagle Boys Pizza: 281 stores C:UsersQuanDesktopdownload (1).jpgC:UsersQuanDesktopcrust_logo_vine__Square_normal.jpg Indirect competitors Dominos pizza has a huge variety of indirect competitors or close substitute products within fast food industry like Mc Donald, KFC, Subway, Nandos, Hungry Jack, Sushiâ⬠¦ Market share Dominos Pizza is the market leader in the Australian chained pizza market with 46.1% followed by Pizza Hut (29.8%), Eagle Boys Pizza (14%), Pizza Haven (3%) and other (7%) Figure : Market share Evaluation of competitive environment Monopolistic competition is a market structure where many producers of somewhat different products compete with one another (Robert, 2010, p 401). Dominos chain is operating in a fast food industry with a number of similar producers. These producers are competing together within Australia to gain market share in pizza market. Although the products produced and sold are basically the same among these producers, there are still different feature differentiate them, namely brand image, store design, location, additional services. What helps customers distinguish Dominos from other pizza stores are the distinct logo and design in store, easy online order and tracking as well as quick delivery service. In addition, barrier to entry pizza market is not really high. Although differentiation is a large and necessary expense for the large fast food chains, it is not difficult for private startups to overcome and thus not a significant barrier to market entry. As a result, it can be concluded that Dominos is operating in Monopolistic competition environment. Evaluation of Demand Curve Operating in Monopolistic competition environment and occupying 46.1% chained pizza market give Dominos a certain power to determinate pizza price in the market. Ii is assumed that Dominos increases its price; majority of customers would switch to other place for pizza like Pizza Hut, Eager Boys Pizza or switch to substitute products of pizza like burger, chicken, sushi. However, not all customers will do that; some of them will still buy Dominos pizza because of its convenient location or quick delivery. Therefore, demand curve for Dominos is relatively elastic but not horizontal as can be seen in the graph. Figure : Demand curve of Dominos As a nature of Monopolistic competition environment, firms that are operating in that environment can pursue the objective of maximizing their profit. As a result, price will be above marginal cost (as can be seen in the graph). Dominos also can maximize its profits by producing and selling the quantity of pizza at q* at which the pizza price will higher marginal cost of producing pizza. However, this pricing strategy need to be considered carefully and should be only employed in the short run because of the fact that in the long run if Dominos keep the price so high and its competitors reduce the price, Dominos will lose its customers base which means that the demand curve for Dominos will shift to the left leading to decreased profit of Dominos. In addition, this strategy also encourage new entrant to enter into the pizza market which also have the effect of shifting demand curve of Dominos to the left. Cost structure of Dominos Fixed cost and variable cost The short-run total costs of Dominos break down into two categories: fixed costs and variable costs. Fixed costs are the costs change with the level of outputs (Robert, 2010, p 296). For Dominos, these costs comprise of Management salaries, Plant and equipment, marketing expenses, occupancy expenses, store related expenses and communication expenses. On the other hand, variable costs are unchanged with the level of output. The variable costs of Dominos include the expenditure on Food and paper and employment. (For more detail refer to appendix 3) Figure : Cost structure of Dominos Evaluation of cost structure As can be seen from the cost structure of Dominos, the proportion of variable cost is relatively higher than fixed cost, 71% as opposed to 29%. In short term, declining average fixed cost is primary reason for the falling average total cost and with high output, diminishing marginal product causes marginal cost to increase which eventually causes average variable cost and average total cost to rise (Robert, 2010). Therefore, cost structure of Dominos indicates that as its pizza stores increase their sold pizza to stores capacity, the effect of declining average fixed cost will soon disappear and the effect of diminishing marginal product will be soon prominent leading to average total cost increasing quickly. This also explains why more Dominos pizza stores are going to be opened quickly within one year so that the average total cost will decrease again. This is illustrated in the graph below, as the average total cost increase quickly from A to B and its current stores nearly reach to capacity, Dominos will open another store to reduce the cost to C so that it can keep competitive price with its competitors. Diseconomies of scale occur as the firm finds it increasingly difficult to handle the complexities of large scale management (Robert, 2010, p 306). However, at the moment it is not a case for Dominos as the expansion strategy employed by the company is franchising. This strategy allows Dominos to expand operation without adding complexity to the management because the business model has been standardized to be able to be copied within a market and easily managed by manager. Therefore, in the long run Dominos still can manage its cost store by store and leverage the economies of scale for each new store opened. MACRO-ECONOMIC ENVIRONMENT Political environment in Australia Recently, Australia stood out as an attractive investment destination due to a political system that has been evaluated as being highly effective in responding to economic challenges .The adaptability of Australian government policy to economic changes has been ranked in the top two countries in the region (IMD World Competitiveness Yearbook, 2009). Australia also has an open, efficient and transparent legal framework due to a strong system of checks and balances, and a highly respected judicial and law enforcement system. Moreover, tax policy, labour law, environmental law, trade restrictions and tariffs are carefully constructed and implemented consistently which provide a clear guideline and safe environment for businesses (Australian Trade Commission, 2011). Economic environment in Australia The economy of Australia is one of the largest economies in the world. In 2011, it was the 13th largest national economy by nominal GDP and the 17th-largest measured by PPP adjusted GDP, about 1.7% of the world economy. Australia is the 19th largest importer and 19th largest exporter. Service sector is the main contributor to the Australian economy with 68% of GDP. The mining sector presents 19% of GDP. Economic growth is largely dependent on the mining sector and agricultural sector with the products to be exported mainly to the East Asian market. Australia is a member of the APEC, G20, OECD and WTO. The country has also signed free trade agreements with ASEAN, Chile, New Zealand, Thailand, and the United States. The ANZCERTA agreement with New Zealand has greatly increased integration with the New Zealand economy subjecting to form a Single Economic Market by 2015. Growth rate Australia is one of the fastest growing economies among developed countries. Despite of the effect of global financial crisis, Australian economy still shows a good sign of continual growth. The main industries contribute largely to Australian economy include mining, tourism, education, agriculture and manufacturing. Historical Data Chart Figure : Australia GDP growth rate Unemployment rate Jobless rates in Australia fluctuated between 5 to 5.4% between 2010 and 2012, this is a satisfactory indicator of a growth and healthy economy as natural rate of unemployment is 5%, especially in the worlds current situation where the unemployment rates in other developed countries are alarmingly high such as 7.8% in US and 11.8% in Europe.Historical Data Chart Figure : Australian unemployment rate Inflation rate.Historical Data Chart Consumer Price Index (CPI) shows a downward trend over the period from 2010 to 2012 reflecting an effective monetary policy of Australian government. Figure : Australia inflation rate Interest rate Interest rates in Australia tend to decrease significantly during 2011-2012; this indicates a healthy economy that encourages investment and capital markets remain open to corporations Historical Data Chart Figure :Australia interest rate Evaluation of influence of micro-economics on Dominos business Through above overview of macro-economic environment, it can be stated that Australian economy currently is favorable for organizations operating in and Dominos is not an exception. Economy is still growing and creating more jobs indicating that people will have more disposable income to spend, hence demand for pizza will increase in the future. This is demonstrated by the fact that disposable income per capita in Australia over last decade has been increasing 2.6% per year in average, meanwhile revenue of Dominos has been also increasing significantly at average rate of 20%. This fact also shows that pizza is likely to be a normal good because quantity demanded increase with the growth of consumers incomes. In addition, low unemployment rate and interest rate are good indicators for Dominos because it cans easily access to financial and human resources which are the key factors of any business. However, the problem face Dominos is the increase of food price and wages. As these are two main costs that make up for about 75% of total cost, an increase in those cost will influence the ability of Dominos to keep the competitive prices to customers. APPENDIX Appendix 1: Management salary and fees Appendix 2: Statement of income 2012 Fixed cost Value ($000) Variable cost Value ($000) Management salaries 5,142 Food and paper expenses 78,679 Plant and equipment costs 8,588 In store employees wages 60,140 Depreciation and amortization expense 10,029 Occupancy expenses 7,837 Marketing expenses 11,477 Store related expenses 5,887 Communication expenses 6,669 Total 55,647 Total 138,819 Appendix 3: Fixed cost and Variable cost of Dominos in 2012
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