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Monday, September 30, 2019

Disembowelment In Japanese History

Honor was defined in Dr Johnson’s Dictionary in several senses. The first sense described honor as â€Å"nobility of soul, magnanimity, and a scorn of meanness. † This sort of honor derives from the perceived virtuous conduct and personal integrity of the person endowed with it. On the other hand, Johnson also defined honor in relationship to â€Å"reputation† and â€Å"fame†; to â€Å"privileges of rank or birth†, and as â€Å"respect† of the kind which â€Å"places an individual socially and determines his right to precedence.†This sort of honor is not so much a function of moral or ethical excellence, as it is a consequence of power. Finally, for women, according to Dr Johnson, honor is synonymous with â€Å"chastity†. On the other hand, dishonor means loss of honor, respect, or reputation; the condition of having lost honor or good repute. Many Japanese heroes choose to engage in disembowelment because it forms the way of gr aceful suicide by a samurai in Japan. By this method, samurais are deemed to be free from the dishonor. A samurai is a professional warrior belonging to the Japanese feudal military aristocracy.Disembowelment or evisceration is the removing of some or all of vital organs, usually from the abdomen. The results are, in virtually all cases, fatal. It has historically been used as a severe form of capital punishment. The last organs to be removed were invariably the heart and lungs so as to preserve the victim's life force for the full procedure. In Japan, disembowelment also formed part of the method of execution of or graceful suicide by a samurai. In killing themselves by this method, they were deemed to be free from the dishonor resulting from their crimes.The most common form of disembowelment was referred to in Japanese as seppuku (where the term â€Å"hara-kiri,† literally â€Å"stomach cutting,† is regarded as vulgar), involving two cuts across the abdomen, sometim es followed by pulling out one's own innards. The act of beheading, in most cases by one's best servant, was added to this ritual suicide in later times in order to shorten the suffering of the samurai or leader, an attempt at rendering the ritual more humane. In the English language, hara-kiri and seppuku are often treated as synonyms.Seppuku was a key part of bushido, the code of the samurai warriors; it was used by warriors to avoid falling into enemy hands, and to attenuate shame. Samurai could also be ordered by their daimyo (feudal lords) to commit seppuku. Later disgraced warriors were sometimes allowed to commit seppuku rather than be executed in the normal manner. Since the main point of the act was to restore or protect one's honor as a warrior, those who did not belong to the samurai caste were never ordered or expected to commit seppuku. Samurai women could only commit the act with permission.In his book The Samurai Way of Death, Samurai: The World of the Warrior (ch. 4) , Dr. Stephen Turnbull states: Seppuku was commonly performed using a tanto. It could take place with preparation and ritual in the privacy of one's home, or speedily in a quiet corner of a battlefield while one’s comrades kept the enemy at bay. In the world of the warrior, seppuku was a deed of bravery that was admirable in a samurai who knew he was defeated, disgraced, or mortally wounded. It meant that he could end his days with his transgressions wiped away and with his reputation not merely intact but actually enhanced.The cutting of the abdomen released the samurai’s spirit in the most dramatic fashion, but it was an extremely painful and unpleasant way to die, and sometimes the samurai who was performing the act asked a loyal comrade to cut off his head at the moment of agony. Sometimes a daimyo was called upon to perform seppuku as the basis of a peace agreement. This would weaken the defeated clan so that resistance would effectively cease. Toyotomi Hideyoshi used an enemy's suicide in this way on several occasions, the most dramatic of which effectively ended a dynasty of daimyo forever, when the Hojo were defeated at Odawara in 1590.Hideyoshi insisted on the suicide of the retired daimyo Hojo Ujimasa, and the exile of his son Ujinao. With one sweep of a sword, the most powerful daimyo family in eastern Japan was put to an end. In time, committing seppuku came to involve a detailed ritual. A Samurai was bathed, dressed in white robes, fed his favorite meal, and when he was finished, his instrument was placed on his plate. Dressed ceremonially, with his sword placed in front of him and sometimes seated on special cloths, the warrior would prepare for death by writing a death poem.With his selected attendant (kaishakunin, his second) standing by, he would open his kimono (clothing), take up his wakizashi (short sword) or a tanto (knife) and plunge it into his abdomen, making a left-to-right cut. The kaishakunin would then perform daki-kub i, a cut in which the warrior was all but decapitated (a slight band of flesh is left attaching the head to the body). Because of the precision necessary for such a maneuver, the second was often a skilled swordsman. The principal agreed in advance when the kaishaku made his cut, usually as soon as the dagger was plunged into the abdomen.This elaborate ritual evolved after seppuku had ceased being mainly a battlefield or wartime practice and become a para judicial institution. The second was usually, but not always, a friend. If a defeated warrior had fought honorably and well, an opponent who wanted to salute his bravery would volunteer to act as his second. In the Hagakure, Yamamoto Tsunetomo wrote: From ages past it has been considered ill-omened by samurai to be requested as kaishaku. The reason for this is that one gains no fame even if the job is well done.And if by chance one should blunder, it becomes a lifetime disgrace. In the practice of past times, there were instances w hen the head flew off. It was said that it was best to cut leaving a little skin remaining so that it did not fly off in the direction of the verifying officials. However, at present it is best to cut clean through. Some samurai chose to perform a considerably more taxing form of seppuku known as jumonji-giri (. â€Å"cross-shaped cut†) in which there is no kaishakunin to put a quick end to the samurai's suffering.It involves a second and more painful vertical cut across the belly. A samurai performing jumonji-giri was expected to bear his suffering quietly until perishing from loss of blood, passing away with his hands over his face. While the voluntary seppuku described above is the best known form and has been widely admired and idealized, in practice the most common form of seppuku was obligatory seppuku, used as a form of capital punishment for disgraced samurai, especially for those who committed a serious offense such as unprovoked murder, robbery, corruption, or treas on.The samurai were generally told of their offense in full and given a set time to commit seppuku, usually before sunset on a given day. If the sentenced was uncooperative, it was not unheard of for them to be restrained, or for the actual execution to be carried out by decapitation while retaining only the trappings of seppuku; even the short sword laid out in front of the victim could be replaced with a fan. Unlike voluntary seppuku, seppuku carried out as capital punishment did not necessarily absolve the victim's family of the crime.Depending on the severity of the crime, half or all of the deceased's property could be confiscated, and the family stripped of rank. Seppuku as judicial punishment was officially abolished in 1873, shortly after the Meiji Restoration, but voluntary seppuku did not completely die out. Dozens of people are known to have committed seppuku since then, including some military men who committed suicide in 1895 as a protest against the return of a conquer ed territory to China by General Nogi and his wife on the death of Emperor Meiji in 1912; and by numerous soldiers and civilians who chose to die rather than surrender at the end of World War II.In 1970, famed author Yukio Mishima and one of his followers committed public seppuku at the Japan Self-Defense Forces headquarters after an unsuccessful attempt to incite the armed forces to stage a coup d'à ©tat. Mishima committed seppuku in the office of General Kanetoshi Mashita. His second, a 25-year-old named Masakatsu Morita, tried three times to ritually behead Mishima but failed; his head was finally severed by Hiroyasu Koga. Morita then attempted to commit seppuku himself.Although his own cuts were too shallow to be fatal, he gave the signal and he too was beheaded by Koga. In 1999, Masaharu Nonaka, a 58-year-old employee of Bridgestone in Japan, slashed his belly with a sashimi knife to protest his forced retirement. He died later in the hospital. This suicide, which became widel y known as ‘risutora seppuku', was said to represent the difficulties in Japan following the collapse of the bubble economy. Well-known people who committed seppuku: Disembowelment in Japanese History Seppuku or ritual disembowelment is often considered by those of us in the western world to be a common form of institutionalized (by ritual) suicide: an ancient custom dating back to the age of Samurai under the code of bushido. However, in Japanese culture, it escapes this easy stereotype and is considered something much more complex and meaningful than mere suicide. T. Harada, writes: ‘It was not mere suicide. It was an institution, legal and ceremonial†¦by which warriors could expiate their friends or prove their sincerity'.From historical evidence as well as by contemposrary Japanese cultural identification with seppuku we can ascertain that â€Å"it is at least questionable whether thinking of seppuku as a variety of suicide is justified† (Fairbairn 144). Seppuku, in its original form as practiced by the bushi, involved slicing open the abdomen normally with a cross-cut from left to right and then slicing upward to the navel. The method might result in the vic tim living on for hours before death. For a bushi who was accused of a crime, whether innocent or guilty, seppuku was often the only honorable death.One central reason for the form of seppuku was the fact that the Japanese believed the soul or spirit of a person resided in the abdomen. By cutting open his abdomen the bushi could ‘lay bare his soul' and show his firmness to atone for his crime, or demonstrate innocence and earnestness. For a bushi who actually committed crimes seppuku was considered a lenient punishment, which preserved his honor and property. â€Å"A samurai might commit seppuku after having felt duty- bound to give his lord sensible but unwelcome advice, as a means of demonstrating his absolute sincerity† (Blomberg 75).Disembowelment in Japanese History Page -2- The sensational nature of seppuku as a painful and self-punishing act, as it is most commonly viewed by Western eyes is founded on a number of divergences in philosophy and spirituality that di vide the East and West culturally. Foremost among these divergences is the perception of death. In Western society death is viewed in linear terms, with little or no expectation that the â€Å"soul†would be reborn into earthly life.Japanese culture regarded death as cyclical and based in reincarnation; therefore to die honorably was more important than to live at all costs. â€Å"The connection with death is another part of the image we have of the samurai. The way of the samurai is found in death. aspects of the samurai connection with death figured prominently in Shogun† (Hurst 520). The belief in honor, coupled with the belief in reincarnation and in the cyclical, ever-present force of death, allowed the Japanese to regard seppuku as an act of preservation rather than an act of suicide.To Western eyes, the samurai willingly commits suicide, but to the Samurai, death and disembowelment is a much preferable remedy to shame or disgrace than living on past the point of moral or martial defeat. To atone for a crime or to accept responsibility for some error, by seppuku, or to gain glory and honor by the sword in battle: these concepts are one and the same to the Eastern mind. The samurai were conditioned to slaying others, especially peasants, with calm.â€Å"Although the bushi alone were entitled to be executed by decapitation with a sword, zanzai, a public execution was regarded as a disgrace† (Hurst). Disembowelment in Japanese History Page -3- â€Å"The convicted criminal was paraded through the streets to the common execution ground, with placards recording his crime carried before him. He had to kneel on the ground in order to be dispatched by the public headsman, and his severed head was then gibbeted for a certain period,with a wooden sign proclaiming his name and the nature of the crime† This disgraceful type of public ridicule disgusted the bushi; â€Å"only samurai proper could be sentenced to commit seppuku as punishment for a crime† (Hurst 521). So, far from an appalling and self-despising act, seppuku evolved out of a Japanese sense of honor and integrity, which, in its formality and tradition becomes rigidly different from contemporary Western standards for moral, ethical or legal punishment. For the Samurai the punishment lay in living, not dying.Because the seat of the soul was in the abdomen, the naked â€Å"exposure† of one’ soul also confirmed that the act of seppuku was not so much rooted in suicide or self-abnegation, but in revelation and in a (final) demonstration of personal will and moral fortitude. Over the centuries, common citizens sought to copy the ethical system of the leading elite, widening the practice of seppuku far beyond its original elitist conception. In fact, the tradition persisted well into the twentieth century: â€Å"Especially among military men of bushi stock the custom of seppuku lingered on [†¦] Many of the conspirators behind the attemp ted military coup of 1936 killed themselves in this manner when the coup failed† (Blomberg 191). In due time a non-lethal, symbolic variant of seppuku penetrated Japanese culture: â€Å"Imagine that the ritual of seppuku was further attenuated so that it involved nothing more than reaching out to a ceremonial dagger after which the seppuku's aide whirled a ceremonial sword round his head Disembowelment in Japanese History Page -4- three times, then shook the seppuku's hand.In this case, seppuku could not be suicide because the individual engaging in it would be aware that by doing so he could not arrange his death. And yet he would have done seppuku†(Fairbairn 145). If there is a widely understood Western parallel to the Japanese practice of seppuku, it may lie in the famous death of Socrates which has been much discussed by historians and philosophers. Socrates' death as recorded by Plato noted that he had been accused, among other things, of introducing unusual religi ous practices and of corrupting young people. At his trial he defended himself but was found guilty and sentenced to death.In the month leading up to his execution by means of a self administered cup of hemlock, Socrates did not accept the possibility for escape arranged by friends because it would have gone against his sense of duty to avoid the punishment decreed by Athens. Then on the appointed day, he drank the hemlock before the hour stipulated for his death. (Holland, 1969, p. 74) Though Socrates drank the cup of hemlock (and so could technically be said to have died by his own hand) â€Å"yet even this cannot make a man a suicide, given the fact that his death was not decreed by him [†¦]. Suicide would have to have been the case that by acting as he did Socrates intended not only to do that which he ought to do or had to do, but that he wanted to be dead and intended to bring about his death† (Fairbairn 148). The ritual of seppuku is, then, far from being a desper ate act of a suicidal nature, an act of self and soul preservation that, viewed through the prism of Japanese history and culture, emerges as a strong symbol of national and racial orientation, particularly impacting views of ethics, honor, and personal responsibility.

Sunday, September 29, 2019

Assessment as a Process of Making Judgements of Learners Knowledge

What is an assessment? Alan Rogers (1994, p172) defines assessment as collection of data on which we base our evaluation. According to Reece and Walker (2008, p5) assessment consists of tests and observations that we, as tutor, use to determine how well the students has achieved the objectives. Geoff Petty (2004, p449) writes that â€Å"Assessment measures the breadth and depth of learning†. Assessments are used in all areas and domain of everyday life, whether formal or informal, ranging from taking a written or practical driving test to claims for income support or acquiring life insurance on-line.Assessment is used to make a specific educational decision and is the process of evaluating the extent to which participants in education have developed their knowledge, understanding and skills. Assessment, both formative and summative, plays a significant part in the learning experience as it determines progression and enables learners to demonstrate that they have achieved their desired learning outcomes. There are generally two ways of assessment, formative and summative.According to Ashcroft and Forman-Peck (1994, p54) â€Å"Assessment is generally taken to mean a judgement about the progress (formative assessment) or achievement (summative assessment) of a particular student’s learning†. Reece and Walker’s (2008, p323) distinction between formative and summative is one to satisfy the needs of the society (‘summative’ assessment) and the other type of assessment is to help in both teaching and learning (‘formative’ assessment).Formative assessment is the assessment that takes place throughout the course or programme of study and is usually carried out by the assessor during mentoring and training. It provides feedback to both the learner and the assessor on how things are going and how learning can be improved. In contrast summative assessment is assessment of learning and is often used to determine what has been learnt or achieved in terms of acquired skills, knowledge and understanding at or towards the end of a course or programme of study.Further functions of assessment in learning and development are the measurement and recording of achievement, the identification of individual learners’ needs, that the assessment reflects the required standards and performance/assessment criteria and are fit for the purpose intended and that they contribute to quality assurance and the development of best practice. There are many reasons why we assess learners. Assessments enable tutors to measure learner’s progress towards their goal. And feedback can be given to help them such as outlining their strengths and weaknesses. Read also: Principles of Good Writing by L.A. HillFeedback is used to help learners learn and improve, and is the most important aspect of formative assessment. This can be given in various ways such as written, oral, in the form of graded/marked assignment etc. When giving feedback it is good practice to bear in mind the following points. It is important to give immediate feedback if possible; turn negative comment into constructive comments such as what to improve on before the next assessment; make assessment criteria clear, accurate and available; feedback to be clear, accurate and recorded; praise learner on achievement; encourage positive attitudes and make further suggestions.Learners can be encouraged through communication of how well they are doing and what skills and knowledge they are developing. I assess my students at regular intervals. Every time I ask a question to an individual or to a class I am assessing their knowledge and understanding. When I walk round the class watching students doing their tasks, checking their printouts, I am observing and noting against a checklist of expectations in my mind.When I receive or look at a printout from a mock exam I am comparing their performance with that which I would hope for from such a group or individual at such a stage in such a course at such a level. When giving verbal feedback to my learners, I use the following words of encouragement: very good, well done, brilliant, excellent, spot on. Throughout the delivery of a course I give my students formative, diagnostic and summative assessments and feedbacks.

Saturday, September 28, 2019

A Filmic Analysis of Hamlet Essay Example for Free

A Filmic Analysis of Hamlet Essay Film (1251) , Hamlet (634) , Claudius (325) , Polonius (224) Haven't found the essay you want? Get your custom sample essay for only $13.90/page ? Shakespeare’s Hamlet inspired many film directors to adapt the play onto the big screen. In Kenneth Branagh’s version, he takes on the challenge of both directing the film and portraying Hamlet. In Marco Zeferelli’s edition, celebrated actor Mel Gibson stars as Hamlet. The directors use different aspects of cinematography and mise-en-scene to depict distinctive interpretations of the famous â€Å"To be or not to be† soliloquy. Branagh interprets the scene as a contemplation of Hamlet’s decision whether to kill himself or Claudius, whereas Zeferelli construes the scene as a deliberation of life, death, and the afterlife. Branagh uses props, varied camera angles, and thoughtful acting to describe the â€Å"To be or not to be† soliloquy as a brooding decision haunting Hamlet of action versus inaction. Branagh begins the soliloquy facing a two-way mirror, with Polonius and Claudius hidden behind it. The audience sees Hamlet staring directly at himself, while also facing the concealed men behind the mirror. This personifies the idea that Hamlet is hesitant about taking action against his own life or taking the life of Claudius: â€Å"Whether ‘tis nobler in the mind to suffer / The slings and arrows of outrageous fortune, / Or to take arms against a sea of troubles / And, by opposing end them† (3. 1. 65-68). The camera angle consists of a medium close-up on the intense concentration of Branagh’s face, expressing the critical contemplation of his life and Claudius’s. Later in the soliloquy, Hamlet uncovers a bodkin, pointing the weapon towards the two-way mirror in a manifestation of action versus inaction. The lighting of the scene highlights Branagh’s face and disposition with explicit detail, leaving no question to the viewer about his intent on either killing himself or Claudius. However, Branagh neglects to analyze Hamlet’s actual contemplation of death itself. Zeferelli focuses on Hamlet’s reflection of death as an experience and also the ambiguity of the afterlife. Mel Gibson recites the â€Å"To be or not to be† soliloquy in a royal tomb where his father is buried. The morbid setting suggests a theme of death. The low-key lighting emphasizes an ominous quality associated with Hamlet’s musing of the afterlife. Gibson meticulously edges through the graves, using composed speech to reflect upon his life and the life of his father: â€Å"For in that sleep of death what dreams may come, / When we have shuffled off this mortal coil, / Must give us pause. There’s the respect / That makes calamity of so long life† (3. 1. 74-77). Hamlet believes that the hardships of life become resolute through death. The turmoil of human affairs perishes along with an individual’s life. Gibson’s acting and disposition suggest that he thinks death is more appealing than life. His ponderings are not a question of action and revenge but a question of the actual prospects of death and what comes after death. The setting in a tomb highlights this as well as Gibson keenly looking up towards heaven during the soliloquy. Although the two directors interpret the â€Å"To be or not to be† soliloquy differently, similarities exist between the two scenes. The acting of Branagh and Gibson both reflect deep contemplation; Branagh being more concerted and Gibson being more reflective. Both actors use Shakespeare’s words very thoughtfully and precisely, and keep their voices in a soft but convincing monotone. The camera angles of the scenes are also similar with the shot situated intently on the actors’ faces, either focused in a fixed position on Branagh to represent great credence or zooming in slowly on Gibson’s face to represent a more reflective quality. Both directors do an exceptional job conveying the message that their cinematographic and acting choices suggest. The â€Å"To be or not to be† soliloquy is interpreted in many different ways, but Branagh and Zeferelli artfully choose one aspect of the scene to focus on. A Filmic Analysis of Hamlet. (2016, Sep 14).

Friday, September 27, 2019

Integrity and Social Responsibility Essay Example | Topics and Well Written Essays - 1000 words

Integrity and Social Responsibility - Essay Example International human rights law imposes obligations and responsibilities on Governments, and thus promotes and ensures protection of the fundamental freedom of groups and individuals (Ohchr.org, n.d.).Thus, Governments play a significant role as they are responsible to comply with the international human rights law and to refrain from acts that are contradictory to this law. Human rights are based on the principle of universality, which is the cornerstone of international human rights law. This principle was first declared in the Universal Declaration on Human Rights in 1948 (Ohchr.org, n.d.). Also, human rights are interdependent, interrelated and indivisible, whereas all people have the right to life, freedom of expression, equality before the law, right to education, social security, work, to self-determination, and personal development (Ohchr.org, n.d.). Another cross-cutting principle in international human rights law is the principle of non-discrimination. This principle is integrated into all major human right treaties, and has a central theme in the Convention on the Elimination of All Forms of Discrimination against Women and the International Convention on the Elimination of All Forms of Racial Discrimination (Ohchr.org, n.d.). Today, human rights are identified and declared in the numerous declarations, resolutions, and conventions, including the following: United Nations Convention: International Covenant on Civil and Political Rights; United Nations Universal Declaration of Human Rights and its Protocols; The Vienna Declaration and Programme of Action; ILO Declaration on Fundamental Principles and Rights at Work of 1998; and United Nations Convention: International Covenant on Economic, Social, and Cultural Rights (Global Reporting Initiative, n.d.). Increased public awareness and presence of various international organizations facilitate the process

Thursday, September 26, 2019

Personal movie reflection Essay Example | Topics and Well Written Essays - 1500 words

Personal movie reflection - Essay Example The latter visits him. Although initially, the two boys disliked each other, Danny was determined to be forgiven of his deliberate mistake. He offers to help Reuven with his studies and the two start a friendship like no other. Reuven was accepted into the Jewish family as if he was their own. However, with Reuven’s father’s fight for the Jewish state, their friendship was marred. Danny’s father demanded him to stop speaking with his friend which he did for more than a year. Confused and hurt, Reuven also stands by his father to fight for the Jewish state. After the proclamation of Israel as an independent state, Danny again approaches Reuven and the latter accepts him back. Knowing that there is no stopping Danny from pursuing his studies, his father calls the two young men and explains why he raised Danny the way he did. Their relationship changes and they become more open to each other. The strong bond that was formed between Danny and Reuven is quite moving. Seldom in times of trial do we find relationships that have such strong foundations, not to mention the start of their relationships. They connected with each other as they found they are not so different after all despite their religious inclinations and beliefs. However, they have hurt each other as well especially at a time when they most needed each other. Their families contributed to such separation. Danny, because he is the son of a Rabbi, had to obey his father’s wishes whose word was powerful in the eyes of his followers. He was not going to be the first insubordinate follower in his father’s house. He chose to support his father despite his personal beliefs, abandoning his best friend. Reuven on the other hand suffered loneliness. He was an only child and his father was always busy with his work. He tried to support him by doing what he thought would help his father’s dreams come true. He stood alone, taking care of his father when he suffered a stroke. When

Effect of Television on language development Essay

Effect of Television on language development - Essay Example Modern life is a haven of myriad issues that subject humanity to series of arguments and researches that seek to demystify and define these complex occurrences. Television, though relatively old, is a device that totally revolutionized the social lives of humanity. It brought into focus several issues of concern and continues to elicit heated debates regarding its effects on various aspects of human development and social life. Indeed, it must be emphasized that any technological invention must have its special repercussions on a particular sector of human life. Children today make up much of the population that spends much time in front of the television sets. Perhaps this occurs due to the ample time that children will usually have contrary to their parents and other adults. In that manner, several researches have been conducted with an aim of establishing the influences of television on children and establishing whether these effects are positive or detrimental. One particular iss ue regards the influence of television on children’s language development and the ascertainment of the myriad hypothesis that abound regarding this heated topic. It must be remembered that this concern actually arose out of the noticeable differences that were established after several years of observation that necessitated the commencement of this search of facts. Television programs are very many today with particular programs specifically meant for children through adults. For children, such programs mostly include comedies and other comical scenes that are meant for a child’s enjoyment. In most cases, these programs inhibit language development since the language used is never proper. In several cases, children organizations have raised concerns on the type of language used in some of these situations. The ability of a child to internalize basic concepts like language is normally very high in the early stages of development. As such, a television program that uses improper English may impart a lifelong discrepancy in a child. It is therefore appropriate that the concerned parties be very vigilant in their effort to ensure effective language use in television programs meant for children. In adults, this is never an issue, since most adults watch mostly news and documentaries, which are normally addressed in good languages. In most developed countries, it is established that by the time most children join high school, they shall have spent 15000 hours watching television. Well, that demands serious attention. The effect of such addiction emerges considering that in most of these countries; family planning has reduced most families to have two children. It then implies that a child will spent almost half of their pre-high school waking hours completely alone or with a brother or sister watching television. Indeed, the actual speaking of the language mostly enhances the development of proper language in children. The failure to frequently practic e the language will mean that a child will limit their ability of learning a language and will therefore be impaired in a way. Without doubt, television influences the mental occurrences of children as they simply sit and watch without stimulating their minds and subjecting themselves to reasoning that enhances their aptitude. The several arguments regarding the effects of television on language development majorly revolve around the lack of social interaction in children because of being too much glued to the sets. However, the role of parents in children development is an important aspect that needs much analysis. Several cases abound where parents also become addicted to watching television and thereby spent several hours alongside their children glued to their sets. In such a case,

Wednesday, September 25, 2019

1- Web API & 2- Rich Interface Technologies Essay

1- Web API & 2- Rich Interface Technologies - Essay Example Some of the factors that have fueled the growth of web APIs have also been contributed by the growth of mobile (Gosnell, 2005) devices and the need to distribute services across multiple platforms. This has been through development of web based applications that support sharing of data such as photos, geographical mapping and even online payment services. Business found using APIs have found that they ultimately increase their customer and partner reach by more than 70%. This is attributed to the ease in which businesses make connections as well as the fact by which companies ability to open up their services to more platforms and devices is improved. It can also be said that the use of web API’S have resulted in increased traffic and service use by participant entities. This has been attributed to a more that 60% increase in the use of Web services to companies. The creation and adoption of Web API has also seen the improvements of developer’s productivity that has greatly impacted on innovation. For instance the integration of email services with social media companies has highlighted but a few of these innovations. The use of web APIs have not gone without the challenges that come about with risk of attacks. Considering the fact that web APIs have often involved the use and integration of data, this has attracted attackers (Halper et al., 2011) to access privileged data either through SQL injection or XML attacks that have greatly compromised on the stability of web APIs as in most cases there operation are challenges due compromised latency handling of data. Evaluating web API from a business point of view it would be correct to point out that many business organizations and companies have realized that they can no longer expect to connect with a sufficient number (Halper et al., 2011) of customers only through a

Tuesday, September 24, 2019

Geographic development of New England Colonies and affects of Research Paper

Geographic development of New England Colonies and affects of Mayflower Compact - Research Paper Example The New England Colonies was a result of the lack of religious freedom in England. When the Puritans immigrated to America, they started colonies where there leaders emphasized Christianity. This group of people were referred to as Puritans since they sought to purify the churches in the New England (Pastoor 388). The authorities banned those who did not agree with them from the colonies to go and initiate their own colonies. Rapid growth of New England colonies was a result of rebels who built colonies of their own. Currently, the New England states are Connecticut, Massachusetts, Vermont, New Hampshire as well as Rhode Island (Bremer55). The geographical location of the Puritans was defined as the part of America that in breath was from 40 to 48 degrees of the north latitude (Bremer 550). The location in length was across the mainland from sea to sea. Agriculture practices of the Puritans went hand in hand with the nature of the environment they lived in. The Puritans cultivated most of their food. They also began fishing and lumbering also took charge. The soil was however thin and rocky hence they could not cultivate cash crops. Because of the nature of the soil, they believed it was a sign from God that encouraged them to work harder in their farms (Pastoor 388). They also kept dairy cattle and the geographical layout supported this economic activity. The Connecticut River valley provided water as well as pasture for the cattle (Bremer 55). The native species of grasses in the bottom and upper locations of the river grew in red sandstone soil, which was the best of soils (Bremer 55). While religion and politics w as the centre of attraction, the Puritans sough to concentrate on the higher pastures, the good soil and practical agricultural use of the same soil. The Puritans were industrious and built a strong economic base. They participated in slave trade; they made and sold iron, pots, kettles and a variety of tools in other

Monday, September 23, 2019

LAW Essay Example | Topics and Well Written Essays - 500 words - 3

LAW - Essay Example They were convicted and sentenced for felony murder in the Supreme Court of the State of New York for New York County. Judgment was affirmed without opinion in the Appellate Division. A motion to reargue was denied by the New York Court of Appeals on June 15, 1976. Victory was tried for felony murder (N.Y.Penal L. Â § 125.25(3) predicated upon the crime of escape in the second degree (id. Â § 205.10(2)). To convict Victory the jury had to find that Bornholdt and he escaped from custody after Officer Varecha had arrested them for a felony and that the policeman was shot in the course of or in furtherance of this escape. In charging the jury, the trial judge explained several times that it was necessary for them to find that an escape was being committed at the time Varecha was shot in order to convict Victory of felony murder. http://cases.justia.com/us-court-of-appeals/F2/570/66/3893 For example, "the prosecution must show that during the commission or attempted commission of the crime of escape in the second degree, and in the course of and in furtherance of that crime, or the immediate flight there from, a defendant caused the death of a person other than one of the participants." Both the crime of felony murder and the crime of escape in the second degree were submitted. After retiring, the jury asked for a re-reading of the law of escape, and twice for a re-reading of testimony about events prior to the shooting. "As a matter of law, does the fact of flight after the shooting itself establish escape in the second degree after an arrest has been made for felony assault?" The judge indicated that there was no "categorical" answer to the question posed, carefully stated what the jury would be required to find for a conviction of escape in the second degree, then re-read the statutory definition of felony murder which, as the jury had often heard, requires death be caused in the course of or in furtherance of a predicate

Saturday, September 21, 2019

Bilbo Baggins in “The Hobbit” Essay Example for Free

Bilbo Baggins in â€Å"The Hobbit† Essay Firstly, it is necessary to outline that Bilbo Baggins is the protagonist and title character of â€Å"The Hobbit†. He is the most important figure in the novel, because his emotions, feelings and actions shape the plot of the story. Bilbo’s appearance is rather original and even funny as he is only half the size of a man. In the beginning of the novel Bilbo appears to be comfortable and complacent like most hobbits. For example, he likes drink, food and security as well as he has his snug little hole at Bag End, Underhill. However, starting from the chapter 5, when Gandalf â€Å"enlists Bilbo’s help in Thorin’s quest for the treasure under the mountain†, Bilbo gradually changes, develops and transforms from a cautious homebody to a confident and brave hero. With novel progression, Baggins displays inner cunning, strength and, certainly, he becomes the dominant force which holds the group of hapless dwarves together. Bilbo gains their respect, because he saves them from the goblins by shouting for Gandalf and then he helps them to defeat the spider and wood elves in Mirkwood. He is respected for finding the way into the mountain and leading dwarfs to the desired treasure. Furthermore, Bilbo discovers the weak spot of Smaug and tries to thwart Thorin’s greed. Simply saying, Bilbo wants to bring peace to the feuding dwarves, elves, and humans. Chapter 8 is the turning point in hero’s development, because Bilbo kills the spider and feels like â€Å"a different person†. Further, despite dwarfs’ stubbornness and inability to make proper decisions, Bilbo develops his newfound qualities of initiative, courage, and heroism. It is necessary to underline that when other participants of the journey become corrupted with greediness, Baggins tries to maintain common sense and courage. Throughout the novel, Bilbo discovers new capabilities unknown to him earlier. Moreover, he doesn’t become arrogant and follows his principles and values. Bilbo learns how to thrive and how to draw strength from the simple source trying to stay true to himself all along. References Tolkien, J. , Gardner, P. (ed. ) Phllips, B. (ed. ). (2002). The Hobbit. New York, NY: Spark Pub.

Friday, September 20, 2019

The Importance of Cash Flow Management

The Importance of Cash Flow Management An understanding of effective cash flow statement and its further management is vital tool for the long term survival of an entity`s cash flows. It is also a key factor in planning and in the competent performance of all aspects of operations. The phrase revenue is sanity, profit is vanity but cash is king is an appropriate phenomenon that companies have to consider and embedded in their cash management strategy. It should be noted that profits are not an acceptable means of measuring and ensuring good cash flow, since it is not a major piece of cash flow management. Once cash inflows and outflows are received and money paid out are not effectively considered and monitored, corporations may possibly not be able to settle their employees and vendors on time. Hence, lack of good cash flow management could lead to companies inability to pay their bills as and when they fall due but yet these companies may have huge profits in their annual financial statements. 1.0 Background of the study Discounted cash flow analysis is widely used in investment finance,  real estate development, and corporate financial management. Indeed, a managers primary goal is to maximise the value of his or her firms stock. Value is based on the firms future cash flow. (F.Houston 2007 ,p.10). How does bank estimate that cash flow and how that cash flow will be used in future investment? The answers to both questions lie in a study of financial statement and risk related to transactions concerned with. Analysts describe the activities of a business in either operating or financial terms. Usually, to evaluate its operating profit, a business firm buys raw materials and combine them with actor as capital and labour to produce goods and services. Later on, the company will sell these goods or services to others at a higher price enough to yield return above the cost of the raw material, capital and labour used. In financial terms, the business obtains funds through creditors and owners, and spen ds them for raw material, labour and fixed assets. To see if a firms management has achieved its objectives, we must analyse the companys return and risk measures. Measuring returns consist of calculating profitability and risk measurement for the bank. 1.1 Overview of the company The creation of the UK largest retailer goes back to 1919, when John Edward (Jack) Cohen a retailers product line started selling surplus groceries from a stall in the East End of London. The name Tesco originated in 1924 when he bought a shipment of tea from a Mr T. E Stockwell, from whom the initials TES come from and CO from Jacks surname. In 1929 Mr Cohen opened a flagship Tesco store in Burnt Oak, North London and founded in 1939 Tesco stores limited. Today the company is a public limited and employs 470,000 people in more than 14 countries, and is the UK largest grocery retailer and the third worldwide. In the UK: Over the next decade following its creation, Tesco opened more than 100 small stores, mainly in the London area. The company expanded rapidly across the United Kingdom. Started with the acquisition of smaller grocery chains including the nineteen stores Burnards chain in 1955, and has now, 2362 stores ranging from superstores to express and petrol stations. Since the 1990s Tesco has developed an aggressive marketing campaign in an attempt to overtake Sainsburys and become the UKs leading retailer since 1995. In 1992, the company launched is slogan every little helps followed by the Tesco Value range in 1993 and the launch of his loyalty scheme, clubcard in 1995. Today Tesco is the first retailer in the UK with a groups sales of  £62,537 billion, a rise of 6.8% and  £3,412 billion group trading profit (12.3% growth) Abroad: The Company is now present in more than thirteen countries since 1995 when it first expanded to Tesco Hungary to, the USA in 2007. Strategy: The Companys strategy has been revised since 1997, the year Terry Leahy was named chief executive officer. Tesco has developed a growth strategy, the one that was ambitious in its design. In the coming years, the company directed its expansion efforts on its core U.K. business, retailing services, international operations, and non food business. Store types: Tesco has Extra, Superstore, Metro, Express, Tesco.com. Store offerings: Food retail, Non food retail, Petrol stations, Home living range. Tesco personal finance: life insurance, pet insurance, home insurance, travel insurance, motor insurance, saving account, personal loans, secure investment bonds, online mortgage finder The company aims: This dissertation was dedicated to the financial area, especially to financial management and risk involved. The proposed title of this dissertation is as follow: How important is for manager to have a good understanding of cash flow statement in a retailing industry. 1.2 Aims and objectives The aim of this research was to evaluate the overall performance of retailing sector a case study of Tesco Plc being chosen by taking into consideration its cash flows and risk involved. The researcher aims to understand the issues related to cash flow statement and relate it to risk involved and how to improve the management cash flow. Furthermore setting some aims and objectives are of a high importance as they outline some targets, tasks, guide and thus facilitate the research process. Objectives Identification of the key factors included in a cash flow statement Establishment of the straight relationship between the cash inflow and cash outflow Identification of the element that affect (risk) the successful cash flow The areas in need of cash flow What are the advantages of good knowledge of cash flow analysis Recommendation of new strategies and techniques to improve organizations overall cash flow performance Rationale of the Study The essence of commissioning this research was to establish the need for the company managers to have a good and a deeper understanding of the cash flow statement. After having considered the rate at which corporations are faced with liquidations as a result of going concern problems. The dependencies of profit/ income statement for financing decision making by most businesses over the years have result to these corporations failing to meet the expectations of their long term objectives. With this study the managers would realise the importance of the role the cash flow statement plays in the organisations cash flows management status. The other annual financial statements do not through more light on the financing needs/ requirement and management of the entities. However, the cash flow statement provides more and strong indicators that assist corporations to know the strength and weaknesses of their cash flow generation approaches. 1.4 Significance of the study Cash flows information of a company is very significant element in providing users of financial statements with a basis to measure the capability of the business to generate cash and cash equivalents and the desires of the business to make use of those cash flows. The financial decisions that users (both shareholders and stakeholders) make depends an appraisal of the strength of the business to generate cash and cash equivalents by having regard to the certainty and their ability to generate those cash (Ramachandran, 2007). The cash flow statement deals with the consideration of information concerning the historical changes in cash and cash equivalents of a company and categories cash flows in to certain groups. This research will no doubt be a significant tool in financing decisions for managers, shareholders and stakeholders at large. 1.5 The Research problem In recent years so many businesses have had to depend on excessive borrowings from the banks, credit agencies and other financial institutions. Cash flow shortages result to increase in costs, due to interest companies need to pay on borrowed loans, late-payment which may lead to fines, and subsequently the discounts that could be lost for paying bills lately. Lack of cash flow improvements can compound these unexpected costs and could result to difficulty in accessing credit and unfavourable payment terms on some types of purchases. Eventually, corporations that get better in the manner in which their receipts of cash and payment of cash are managed would be more flourishing than their counter-parts. 1.6 Research question After identifying the aims and objectives of this study, the research attempted to answer the following questions. What is cash flow concept? How is it used in an organisation? What is the impact of financial statements when valuing the cash flow statement? What are the review conceptual models and theoretical fragments related to cash flow? What review cash flow statement used by Tesco? What are the risks faced by the company when evaluating their cash inflow and cash outflow? The overall impact on cash flow statement inside and outside the industry 1.7 The dissertation outline The study has been organised in a manner that makes it much easier to read and understand. As a consequence the outline is as follows: Chapter one: introduction was concerned with general overviews of the study by presenting the aims and objectives, the significance of carrying such research as well as some questions faced by managers when valuing their liquidity. Chapter two: literature reviews was applied as others opinion, what authors has writing and thinking about cash flow management. Chapter three: methodology was highlighting the different techniques and approach used to carry out our research so that readers and manager can have a Chapter four: data analysis was presented as the methodology used to conduct this research successful .it furthermore presented the chosen analytical method in accordance with qualitative approach chosen in this study. The data collected are analysed using a qualitative analytical method the methodology used to conduct this study has been discussed. in this chapter and evaluated in accordance with the theoretical framework established from the literature review. Chapter five: conclusions and recommendations 1.8 summary This chapter gave an insight of the research project by presenting the company Tesco plc which is subject to inquiry, highlighting the aims and objectives, and discussing the significance of carrying such project as well as the limitations. The subsequent chapter reviews the literature of direct marketing, discussed by prominent authors.

Thursday, September 19, 2019

how to safely change a flat tire :: essays research papers

How To Safely Change A Flat Tire While changing a flat tire may seem to be simple enough, there are some safety tips you should know first. „h Always park on level ground away from oncoming traffic. „h Always place the gear shift lever in park or in gear in the case of a manual transmission. „h Always set the emergency brake and remove the keys from the ignition. After you have completed each of these procedures you will be ready to change the flat. Step 1: Remove the jack, spare tire and lug wrench. To prevent personal injury, remove the spare before raising the vehicle. Step 2: Remove the wheel cover by prying it away from the rim using the flat end of the lug wrench. If your vehicle is equipped with custom wheel covers or locking lug nuts, consult the owner's manual for proper removal instructions. Step 3: Next loosen each lug nut two full turns. Never remove the lug nuts completely during this step. Step 4: Following the instructions on the jack or in the owner's manual, place the jack under the vehicle as recommended by the car's manufacturer. Then raise the tire approximately two inches from the ground. This will allow enough room to remove the flat and replace it with the spare. WARNING: Never place your hands or feet under the vehicle or tire once it has been raised. Step 5: Now remove all of the lug nuts. When removing the lug nuts place them inside the wheel cover. This will make it easier to find them to put them back on. If you have trouble loosening a stubborn lug nut, spray it with WD-40 and let it set for about two minutes. This will help make the job easier. Step 6: Next remove the flat tire from the working area. Flat on the ground behind your car is the best place as this will help prevent it from rolling into traffic and it will be out of the way as well. Step 7: Place the spare tire onto the hub by holding the outer sides of the tire. Never place your hands in the center of the rim or under the tire. Step 8: Put each of the lug nuts back on with the tapered end of the nut facing the rim. When they are all on, make sure they are snug, not tight. This is just to help align the rim to the hub and hold the tire in place until the car is lowered.

Wednesday, September 18, 2019

Analysis of After Great Pain A Formal Feeling Comes by Emily Dickinson :: essays research papers

In After great pain, a formal feeling comes(341), Emily Dickinson offers the reader a transitus observation of the time just after the death of a loved one. Dickinson questions where one goes in the afterlife asking, 'Of Ground, or Air' or somewhere else (line 6)' We often remember those who die before us, as we ourselves, as morbid as it may be, with everyday, are brought closer to our own deaths. As used in most of her poetry, she continues in iambic meter with stressed then unstressed syllables. Dickinson, however, straying away from her norm of 8-6-8-6 syllable lines repeating, uses a seemingly random combination of ten, eight, six, and four syllables, with the entire first stanza of ten syllables per lines. Line three lends itself to ambiguity as Dickinson writes, 'The stiff Heart questions was it He, that bore,' he, refers to the heart, yet she doesn't specify exactly what he bore. Dickinson refers to the Quartz grave growing out of the ground as one dies, lending itself to a certain imagery of living after death (lines 8-9). Although the poem holds no humor, she stretches to find what goes on after death. As we get to the end of the process of letting go of the one dying, Dickinson reminds us of the figurative and literal coldness of death. The cold symbolizes an emotion and lifeless person as well as the lack of blood circulation. Bringing reference her off syllable lines, the author of Dickinson's Fascicles, says the first stanza is held together by the structured iambic pentameter, in addition to using rhyming couplets as in, ?Bore? and ?before.? Due to Dickinson?s submergence in nature, she emphasizes organic matter, with both her use and capitalization of ?Heart? and ?Nerves.? Although she draws attention to those of which are organic, she shifts to emphasize those of which are inorganic, for those of ?Ground,? ?Air,? and ?Quartz.? Analyzing the two four syllable lines, ?A Wooden way/Regardless grown? (7-8), the way can be viewed as an insincere mourning path that society attempts to set individuals toward to cope with their emotions during troubled times. Wood, even though an organic matter is used negatively here to describe an artificial reconstruction of this natural element into a coffin. Looking further at an inorganic element, quartz, it signifies the sharp pain of a loss.

Effective Use of Revision in Strange Meeting Essay -- Owen Strange Mee

Effective Use of Revision in Strange Meeting  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚      In writing his poem Strange Meeting, Wilfred Owen uses revision as a tool to both clarify his ideas and re-evaluate one of the central figures in the poem. By examining a reproduction of Owen’s original text and comparing it to the final, published copy, we are able to retrace his steps and, hopefully, gain a further understanding of his thought process and motivations concerning this particular poem. From these examinations, it is evident that Owen spent a large portion of the revision process attempting to alter the character of the â€Å"encumbered sleeper†, whom the narrator encounters in hell. These alterations could be viewed as an attempt by Owen to make this â€Å"vision† more ambiguous, vague, and otherworldly, and therefore to alter his readers’ perception of this character, the narrator, and the poem itself.      Ã‚  Ã‚   The sheer frequency of revisions concerning the appearance and characteristics of the ghostly figure are staggering when compared to number of revisions made elsewhere in the poem. Perhaps the first thing one notices while examining Owen’s revisions is the long stretch during the figure’s speech in which there are very few marks of revision by the author. In contrast, the sections in which the figure is described, or in which he describes himself, are heavily revised. It appears, then, Owen’s primary difficulty with the first draft of his poem was not with the content of what the ghostly speaker said, but with how the character was portrayed.      Ã‚  Ã‚   Owen pays strict attention during revision to every mention of this ghostly figure. There are at least six changes made to the text concerning the figure’s description, including two changes dedicated sol... ...hat absurd; how can enemies be friends, and why should they fight and kill one another?      Ã‚  Ã‚   In order to bring about these changes in perception, Wilfred Owen focused the majority of his revisions on the character of the ghostly figure found in hell. By making this figure seem more abstract, vague, and otherworldly, Owen alters the significance of his poem and its statements and assumptions about war and battle from draft to draft. By making use of a few seemingly inconsequential revisions, he is able to use the re-evaluation of one character to affect the readers’ perceptions of both the other main character in the poem, and the poem as a whole. Works Cited: Owen, Wilfred. â€Å"Strange Meeting.† The Norton Anthology of English Literature The Twentieth Century Volume 2C Seventh Edition. Ed. M.H. Abrahms. New York, N.Y. W.W. Norton & Company, Inc., 2000.

Tuesday, September 17, 2019

I Love to Travel Essay

I’ve decided I want to travel. I mean I’ve always wanted to, but now I’m going to start planning it. I think once I finish University I’m going to take a year off, and travel the world. Visit different countries, move from town to town, live and experience different cultures. I’m not going to go straight into work after Uni.. I want to live my life. I mean I’m ready to leave this country right now, get away from everyone and just learn to be independant and travel†¦ but I have priorites at the moment, and for the next few years. And while it seems like a while away, a few years will pass quickly and I will be on my way to living in Paris for a while in a cute little apartment with the Eiffel Tower at your windows view, the busy streets of New York.. the sunshine of LA.. I’ll be dancing with the Spanish, learning the local life of Greece, seeing beautiful places and monuments in Italy and learning the life of Tuscany.. When you live in one country your entire life, you learn to think it’s all that’s out there.. his little world of yours. But it’s not. Once you come to realise there’s a whole world out there left to explore, something inside of you just craves it.. craves knowing and understanding and learning and seeing.. I want to see the world, before I work and settle down and do whatever.. And I don’t care if I’m on my own. The years of my 20s will be finding myself. Establishing myself. Making the most of discovering who I am and the world out there.

Monday, September 16, 2019

Human Observation Paper: Handwashing in Public Restrooms Essay

Quite recently, the World Health Organization has already declared AH1N1 Flu as a Pandemic, with the rating of Classified Level 6 Alert (World Health Organization, 2009) that has to date, affected 33 countries and thousands of deaths. Cross-contamination, which is the transfer of bacteria from one source to food which is high-risk (Three Rivers District Council, 2009) has resulted to 2.4 million healthcare-acquired infections (HAIs) and 30,000 deaths per year (American Society for Microbiology Survey, 2009). Surprisingly, these diseases or infections that have ended lives may be prevented not only by costly medicine or treatment using sophisticated, state-of-the-art technology but something as basic and simple as this: Hand-washing. With medical experts worldwide concurring on the immense benefits and the necessity of handwashing in the promotion of people’s health, there has been a clamor to increase awareness for people to make handwashing a part of their daily routine. This study aims to provide information on hand-washing behavior of people in public restrooms and the factors that may or may not influence frequency of hand-washing. Baseline Information I. Statement of the Problem Everyone knows the benefits of being clean as in hand-washing. However, there are still some who do not wash their hands after using the restroom. Are factors that may influence or may be linked with the human behavior of handwashing? If so, what are they? Do these factors induce or preclude handwashing behavior? II. Theory Statement In Smith’s study, she used Observation as one of the variables due to the Theory of Self-Awareness that states that self-awareness increases adherence to social norms. Thus, self-awareness of the people due to their knowledge of others watching them drives them to adhere to the social norm of hand-washing. There is also a link between Gender and Ethnic differences to health-related beliefs and behaviors (Courtenay, McCreary and Merighi, 2002). There is a higher likelihood for men to engage in riskier health-related behaviors and fewer preventive behaviors in health (Courtenay, McCreary and Merighi, 2002). The Theory of Planned Behavior, which believes that corresponding attitudes toward behavior, subjective norms and perceived behavioral control, coupled with personal responsibility may predict intention, in effect, the behavior of people, is used in justifying the Smith’s choice of Location as a variable in assessing the likelihood of handwashing. In a hospital setting, wherein people’s attitudes are focused on the maintenance of sanitary conditions as expected in hospitals, people become more conscious in being more responsible in following expected norms of sanitary habits in the hospital. In such as setting, behavior control in the people to wash their hands is greater then as compared to other places. III. Hypothesis There are some variables that affect the frequency of handwashing (Smith 2005). These may be observation, gender and location. There is a higher incidence of hand-washing among participants that know their behavior is being observed, are females and are in a hospital-setting (versus other locations such as schools and the workplace, for example). IV. Procedure or Methodology Female and male observers, respectively, were situated in both women’s and men’s restrooms in the University of Colorado, Colorado Springs (USCCS) campus and hospital, to record the pre-determined participant behaviors and conditions, including handwashing (yes/no), whether the participant could see the observer (observed/not observed), gender (male/female), and location (college campus/hospital) of 179 participants. These were tallied and results were generated. V. Results No significant differences were found in participants who knew that they were being observed and those who did not have the said knowledge. There were also no significant differences between handwashing behavior of males and females, as well as between those who are in the school or hospital setting. VI. Discussion None of the hypotheses were supported by the study. Observation, Gender and Location do not play a role in handwashing behavior as there were no significant differences between participants that were found in studying the above-mentioned variables. Behavior Change VII. Statement of the Problem May Observation and the Presence of Signages reminding people to wash their hands influence people to do so? What is the effect of people knowing that they are watched after they have read the signage recommending that they wash their hands after using the restroom? VIII. Theory Statement of Relationship or cause and Effect The study of Jenner et al. (2002) on predictive behaviors in hand hygiene or washing of hands in hospital health care workers state concludes that reminders such as signages are correlated to the higher tendency of people to wash their hands after they used the rest rooms. With the spreading of various diseases, there is also an increase in public service announcements by the media, and reminders in all types of institutions to wash their hands. This norm of washing hands as acceptable behavior after using the restroom is displayed with the observers showing approval upon seeing that a person washed his or her hands, and disapproval when such is   not done due to people’s belief in its importance. Such is largely due to efforts by media, the government and various institutions in the communities reminding people of the benefits of washing their hands. IX. Hypothesis This study, presupposes that observation may influence the frequency of hand-washing, as in Smith’s study. Also, the presence of a signage posted in the public restroom reminding people to wash their hands before they leave the restroom will also be examined as a factor affecting the incidence of hand-washing. This study will then not only support Smith’s contention that there may be factors that explains Handwashing behavior in humans, but will also extend the point that these variables even work together, influencing people to wash their hands. X. Procedure or Methodology Observers were situated at a public restroom of a coffee shop right smack in the middle of a shopping mall. The rest room is for both men and women, with a small space that housed a couch and a handwashing station prior to the door leading to the rest room. In the lunch time hours, the first ten people who entered the rest room during this time, 7 women and 3 men were randomly selected to be participants in the study. The observers noted handwashing behavior upon participants’ reading of the huge signage reminding people to wash their hands. Such signage was conveniently placed in front of the door which they see upon exiting the rest room and after seeing that there is another person with them in the room observing their actions. Results were then tabulated on the participant’s washing of hands (yes/no) as reactions to reading the signage and noticing that they are under observation by another person in the room. XI.  Results 6 out of 10 participants washed their hands immediately washed their hands upon reading the signage and upon noting the presence of another person in the area. 3 participants barely noted the presence of the observer (they did not even as much as glance at the observer in the area), but washed their hands after reading the signage. Only one participant left the rest room without washing his hands, even if he has read the signage and knew of the presence of the observer (he had eye contact with the observer prior to leaving the area). The aforesaid participant appeared to be in a hurry. XII.  Discussion Observation and the signage reminding people to wash their hands- that are conveniently placed in rest rooms may have an effect on people to wash their hands. Not only do the signage serve as reminders and the presence of an observer provide â€Å"pressure† for a person to wash their hands, the two in combination have effected handwashing behavior in a manner that the person washes his or her hands due to his or her possible avoidance of a situation wherein he will receive disapproval, not just because he failed to wash his hands, but because he did not do so after he had already seen the sign telling him of its benefits. This gives the finding that the compulsion to handwashing may not only come from the person knowing and is being reminded of its importance- a community or societal belief, moreover, it is done out of the person’s fear of being perceived in a bad light- an idiot, or someone who blatantly defies commonly held belief. A person herein does not only wash his or her hand not only because he or she believes of its benefits to health, but because he or she did not want to be labeled as the person, who after reading the sign, still does not wash his or her hands- an unintelligent and/or openly defiant person who does not seem to understand the importance of handwashing even after he has been amply told. Conclusion The goal of many professionals who in their studies, have proved the benefits of handwashing, is to encourage people to do so after they use the rest rooms. Knowing the factors and understanding how they interrelate would provide the key to formulating solutions to make handwashing become widely practiced so as that they will become the necessary part of the routine of the people. Such must be done because however handwashing would seem basic and simple, doing such has a tremendous effect- it can even save lives.

Sunday, September 15, 2019

Regulatory Agency Paper Essay

The industry in healthcare requires that its foundation in leadership is to follow procedures, rules, and regulations, which will help an organization, succeed in their leadership role in healthcare. This paper will identify important aspects of governmental or other agency such as Joint Commission on the Accreditation of Healthcare Organizations (JCAHO) that governs the health care industry or a particular segment of the industry. In addition, this paper will also identify the Joint Commission on the Accreditation of Healthcare Organizations (JCAHO) role, the impact it has on healthcare, the examples how they carry out their duties in regards to healthcare, the regulatory authority does JCAHO have in relation to health care, and what is their process for accreditation, certification, and authorization. Moreover, The Joint Commission was known as the Joint Commission on the Accreditation of Healthcare Organization. According to Feigenbaum (2013), â€Å"the Joint Commission, issues one of the most prestigious accreditations in the health care industry. This nonprofit organization sets high standards for hospital, skilled nursing home health and health-care staffing company operations and performs regular reviews, checks and audits to ensure accredited organizations comply† (ehow, 2013, para. 1). As a result, the Center for Medicare and Medicaid Services (CMS) has come to trust the judgment of the Joint Commission because of their reputation they have on certifying many medical facilities as â€Å"Medicare compliant† (ehow, 2013, para. 3). More than 15, 000 health care programs and organization throughout the United States are evaluated by The Joint Commission, which is not-for-profit organization that works independently since 1951 to maintain top of the line standards that promote on how to improve the safety and quality of care that many health care organization provides. Agency’s Structure The structure of The Joint Commission is â€Å"governed by a 29-member Board of Commissioners that includes physicians, administrators, nurses, employers, a labor representative, health plan leaders, quality experts, ethicists, a consumer advocate and educators. The Board of Commissioners brings to The Joint Commission diverse experience in health care, business and public policy. The Joint Commission’s corporate members are the American College of Physicians, the American College of Surgeons, the American Dental Association, the American Hospital Association, and the American Medical Association† (The Joint Commission, 2013). In addition, The Joint Commission have approximately 1,000 surveyors that are employed to survey health care facilities throughout the United States. â€Å"It central office office in Oakbrook Terrace, Illinois, and at a satellite office in Washington, D.C. The Washington office is The Joint Commission’s primary interface with government agencies and with Congress, seeking and maintaining partnerships with the government that will improve the quality of health care for all Americans, and working with Congress on legislation involving the quality and safety of health care† (The Joint Commission, 2013). Organization’s Effect on Health Care The effect that The Joint Commission has on health care is that each hospital or health care facility that need to meet the The Joint Commission standards. For example, â€Å"patient rights, patient treatment, and infection control are standards that need to meet the expectation of the Joint Commission. The standards focus not simply on an organization’s ability to provide safe, high quality care, but on its actual performance as well† (The Joint Commission, 2013). Values that are set for performance expectations of activities that concerns and affect the safety of patients as well as the quality of care they receive. Otherwise if hospitals do not meet The Joint Commission standards they will not get accredited and that can have an effect in Medicaid/Medicare payments in that health care facility. However, if the organization provide high standard in patient care and they perform them well then the patient will have good experience in the outcome of patient care. Moreover, The Joint Commission creates standards in collaboration with experts in healthcare, measurement experts, providers, consumers and purchasers. Example of the Agency Carrying Out Its Duties Examples that The Joint Commission has when carry out their duties is that they provide assessment of the health care facility or organization that are in compliance with the standards and how they perform. As a result, The Joint Commission will assess the organization compliance with values and their fundamental of performance. â€Å"The Joint Commission assess the organization’s compliance with standards based on: Patient and staff interviews about actual practice, Performance improvement data/trends, verbal information provided to the Joint Commission by key organizational leaders, and , On-site observations by Joint Commission surveyors† (The Joint Commission, 2013). Regulatory Authority Relation to Health Care The regulatory authority that The Joint Commission has in relation to health care is that they maintain a list of agencies throughout the state that will identify accreditation/certification throughout the United States health care facilities. For example, The Joint Commission will monitor legislative and regulatory activities in the state. â€Å"The Joint Commission’s various accreditation/certification programs are recognized and relied on by many states in the states’ quality oversight activities. Recognition and reliance refers to the acceptance of, requirement for, or other reference to the use of Joint Commission accreditation, in whole or in part, by one or more governmental agencies in exercising regulatory authority† (The Joint Commission, 2013). For example, in Texas the Routine inspections of the â€Å"The Department of State Health Services (department) may conduct an inspection of each hospital prior to the issuance or renewal of a hospital license. (1) A hospital is not subject to routine inspections subsequent to the issuance of the initial license while the hospital maintains: (A) certification under Title XVIII of the Social Security Act, 42 United States Code (USC),  §Ã‚ § 1395 et seq; or (B) accreditation by a Centers for Medicare and Medicaid Services-approved organization† (The Joint Commission, 2013). Process for Accreditation, Certification, and Authorization The Joint Commission process for accreditation, certification and authorization is â€Å"to earn and maintain accreditation, a hospital must undergo an on-site survey by a Joint Commission survey team. Joint Commission surveys are unannounced and occur 18 to 39 months after the previous unannounced survey. The objective of the survey is not only to evaluate the hospital, but to provide education and guidance that will help staff continue to improve the hospital’s performance. The survey process evaluates actual care processes by tracing patients through the care, treatment and services they received. It also analyzes key operational systems that directly impact the quality and safety of patient care† (The Joint Commission, 2013). In addition, the surveying team can include a health care professionals such as a nurse, physician, hospital administrator who has senior management level experience, and life safety code specialist. â€Å"The Joint Commission has a group of more than 400 surveyors, reviewers and life safety code specialists who are trained and certified, and receive continuing education on advances in quality-related performance evaluation† (The Joint Commission, The Surveyor Process, 2008, para. 5). The Accreditation process is a continuous; data-motivated that focuses on the overall systems operation which is crucial to the quality and safety of patient care. The following are important aspect of the process which includes: Periodic Performance Review (PPR) an annual review where the health care facility will evaluate their compliance with relevant standards and widen an action plan that can help them identify areas where they are not compliance. The tracer methodology is another process used â€Å"On-site evaluation of standards compliance in relation to the care experience of patients using a â€Å"tracer† methodology. Tracer activities permit assessment of operational systems and processes in relation to the actual experiences of selected patients who are under the care of the organization. This activity actively engages all direct caregivers in the accreditation process† (The Joint Commission, 2008). The Priority Focus Process (PFP) is a survey that looks at quality of care of patients and their safety. The Joint Commission will do unannounced survey to apply the credibility of how they do the accreditation process so the surveyors can look at the performance of the organization under a normal day for the health care facility. If the health care facility being surveyed passes the audits then the hospital can get accredited for another three years and this authority comes from The Joint Commission who has high standards on patient safety and quality of care. Conclusion The leadership foundation of a health care industry identifies a governmental or other agency, such as JCAHO, that governs the health care industry or a particular segment of the industry in order to provide patient safety and quality of care through their structure, their effect on health care, their duties, their regulatory authority in relation to health care, and their process for accreditation, certification and authorization. References Feigenbaum, E (2013). Ehow. Jcaho Reciprocal Credentialing Regulations. Retrieved on October 13, 2013 from http://www.ehow.com/info_8761966_jcaho-reciprocal-credentialing-regulations.html The Joint Commision (2008). Facts about The Joint Commission. Retrieved on October 13, 2013 from http://www.jointcommission.org/facts_about_the_joint_commission/ The Joint Commission (2013). Inspiring health care excellence. Retrieved on October 13, 2013 from http://www.jointcommission.org/facts_about_the_joint_commission/ The Joint Commission. Code of Conduct. Retrieved on October 13, 2013 from http://www.jointcommission.org/assets/1/18/TJC_Code_of_Conduct_09.pdf

Saturday, September 14, 2019

Passing of Risk

In all legal system the passing of risk in sold goods is a big problem and an important event in the sale of goods. Once the buyer acquires risk, he become liable for the price even if the goods are lost or damaged. The financial risk of and responsibility for damage or destruction when property is being transferred between a buyer and a seller. The risk includes Peril, danger, the chance of loss or injury. Liability for injury, loss, or damage, by statute placed upon the manufacturer rather than the consumer, should it happen from normal use of a product. The Uniform Commercial Code uses a contractual approach in allocating the risk of loss and assumes that the risk is upon the seller until some event occurs that shifts the risk to the buyer. Where the goods are identified and the contract authorizes the seller to ship the goods by carrier, the event necessary to shift the risk of loss is dependent upon whether the contract is a â€Å"shipment† or â€Å"destination† contract. Where the contract does not require the transfer of the goods by carrier, risk of loss passes to the buyer upon the taking of physical possession if the seller is a merchant, otherwise risk passes on tender of delivery, unless an agreement to the contrary is made. The phrase is also an insurance term denoting the hazards and perils that an insured is protected against, i. e. , the contingencies or unknown events that are contemplated by the insured and that are covered by the insurance policy. Under English law that is the sale of goods, act 1979 the general rule is that risk passes along with property though there are exceptions to this. The U. N. Sale of Goods Convention, 1980, is silent on the role of the parties' intention in the passing of risk; nevertheless, the same rule emerges from the whole tenor of the Convention. The civil law applies the rule that the risk falls on the owner of the goods. The U. C. C. provides that risk of loss passes to the buyer when the goods are delivered to the carrier: sect. 2-509(1)(a). In the case of CIF or FOB (vessel) contract, the seller need only put the goods into the custody of the carrier and at that point the risk of loss during carriage passes to the buyer. The Vienna convention also contains provisions relating to passing of risk. The consequence of the passing of risk from seller to buyer are passing of risk from seller to buyer are no different from those found in English domestic law. Article 66 of Vienna convention is substantively similar as Article 96 of ULIS. The UNCITRAL adopted to provide a uniform law for the international sale of goods. It focuses on the function of the contract between parties. And also addresses the issue of who bears the risk of loss on a simple point-to-point sale. The multiple sales creates problem in transfer goods. A solution is needed for the problem. In the context of risk, the principal aspect of the problem of risk is whether the buyer is bound to pay the price although the goods are lost or damaged. In German jurisprudence this aspect of the risk problem is called preisgefahr. In Art 96 of ULIS where the risk has passed to the buyer, he shall pay the price notwithstanding the loss or deterioration of the goods. The provisions on the passing of the risk in INCOTERMS are said to be founded on the same concept, but do not contain an express reference to the price. The UCC and Comecon conditions refrain from defining the risk as denoting price risk. The true character of the concept of risk is not treated as the meaning price risk. In another cases the reference to risk cannot denote the price risk because the defaulter, if he is the buyer, will rarely have to pay the price; the normal remedies against him are of compensatory character such as damages, compensation or a penalty. It’s something really confusing. The trade terms developed by international usage, such as the Comecon conditions, the ECE conditions, and the UCC, treat the concept of the risk in that general manner. In the ULIS, already observed in Art96 refers to the price risk. This obeisance to antiquated doctrine does not, howevre, imply a real, substantial difference between ULIS and the other international formulations, it only reveals an inelegantia juris in the draftsmanship of ULIS. A number of developing countries objected strenuously to the retroactive passing of risk provisions, and proposed that the risk pass at the conclusion of the contract. CONCLUSION However, the exact moment of the passing of risk under a contract of sale is of prime importance to the parties to a contract of carriage, because, in most cases, it determines who will suffer the consequences should loss or damage ensue. There are some exceptions also for this rule. When the seller fails to deliver the goods within the delay specified, they become at the seller's risk once the buyer gives notice to the seller of the latter's default. Another point is that the parties themselves can agree to detach the passing of risk from the passing of title.

Friday, September 13, 2019

Depressive Disorders in Children and Adolescents Research Paper

Depressive Disorders in Children and Adolescents - Research Paper Example Son & Kirchner (2000) have conducted their research on the same topic and have pointed out the causes and consequences of depression upon children, according to which the family background as well as domestic environment certainly invite sadness among the young innocent individuals at large. The authors are of the view that depression is affecting 2 percent of pre-pubertal children and 5 to 8 percent of adolescents in the United States. While discussing the main reasons for increase in the depression level among the individuals belonging to early years, the authors also blame poor performance at school as one of the most prominent causes behind such gloomy mood of children. The authors have also mentioned the symptoms of depressive attitude, which include lack of mixing in family, disinterest in studies, recreational activities, including both indoor and outdoor, and reluctance to join the peers in sports and games. Greenberg (2009) has also conducted his study while focusing upon th e symptoms of depressive attitude in children and adolescence. The researcher submits to state that it was misconception that only the adults may experience depression; however the same disorder is frequently observed by the young ones.

Thursday, September 12, 2019

Principles of economics Essay Example | Topics and Well Written Essays - 3500 words

Principles of economics - Essay Example Also called the transformation curve, the PPC's concept is used in macroeconomics to show the production possibilities available to a nation or economy and also in microeconomics to show the options open to an individual firm. All points on a production possibilities curve are points of maximum productive efficiency or minimum productive inefficiency: resources are allocated such that it is impossible to increase the output of one commodity without reducing the output of the other. That is, there must be a sacrifice - an opportunity cost - for increasing the production of any good. All resources are used appropriately and as completely as possible-without the situation becoming unsustainable (Wikipedia Website). In economics, countries, firms, and individuals have to make choices as to how to use or allocate their resources. Suppose a farmer has to make a decision on buying feeds. He has two choices BRAND A and BRAND B, which are similar in all aspects and differs only on the label. When the farmer decides to use BRAND A, he cannot use the same resources to buy BRAND B. The choices this farmer face and the opportunity cost of buying one good rather than another can be illustrated using a PPC graph. The graph will be a straight line. In this case, the curve represents efficiency and it sh... Let's change the other product to fertilizer. With the increasing cost of fertilizer, the farmer could not afford to buy the feed at exactly the same ratio as buying the same feed, as illustrated in Fig. 1. In this case, the opportunity cost increases towards the extreme origin as illustrated in Fig. 2. If for instance, the farmer obtained a new technology in decreasing his usual usage of the fertilizer but with the same effect. This would mean that he could now increase the capital to be used in buying feeds. Thus, an outward shift will be seen in the PPC as illustrated in Fig. 3. In the study of the PPC, it is also of essence to elaborate on the determinants of supply which often causes the shifts of the supply curve. These are: Technology Factor Prices, Number of Suppliers, Expectations of the Future and the Environmental Conditions. A CHANGE IN QUANTITY SUPPLIED means that only the price has changed and a new quantity is supplied along a constant supply curve. A CHANGE (DECREASE OR INCREASE) IN SUPPLY or a SHIFT IN SUPPLY means that a change in amount supplied occurs because of a change (shift) in the position of the supply curve. This SHIFT IN SUPPLY means that one of the other determinants of supply (technology, resource prices, taxes or subsidies, expectations, and the price of other goods produced) has changed (Sosin, 2005). In Fig. 4, resource prices went up so that less is supplied at each price. This shift could also be called a DECREASE IN SUPPLY. 2. a. Rise of Prices of Wheat When the price of wheat is increased, it also means that the price of bread will increase proportionately, since wheat is a main ingredient of

Wednesday, September 11, 2019

515 Essay Example | Topics and Well Written Essays - 500 words

515 - Essay Example Considering one success application among all are the intelligent decision support systems. Advanced forms of decision support systems can be fore fronted by a user-friendly layout. Slight intelligent modifications in a set of possible answer values enables smart end results that are in accordance with the output expected by the user interacting with the system. These systems are often self adaptive in nature and learn from every word the user types. Being futuristic machines their evolution involves the embedding of input data from the user’s conversation into their own repository of answers, learning from each interaction they make. It is potentially not possible for human business personnel to remain online twenty four hours a day for the query justification of their customers. The customer may be present in any part of the world. Thus, the best usage of chatbots is in call centers. Chatbots.org quotes as follows: â€Å"It provides information, services and assistance about web pages, and supports a wide range of applications in business, education, government, healthcare, and entertainment. Sometimes the term Virtual Assistant is also used in assistance of employees of an organization instead of external audiences.† (Chatbots.org, n.d.) Chatbox based interactive question answering systems having become an essential part of businesses today. Since voice enabled chatbots (interactive systems that have chat box technology embedded in them) are becoming increasingly common the Economist is quoted to have mentioned the benefits of their installation as follows: "Speech recognition: At long last, speech is becoming an important interface between man and machine. In the process, it is helping to slash costs in business, create new services on the Internet, and make cars a lot safer and easier to drive." Human Realization of interaction with a Virtual Representative automatically reduced any

Tuesday, September 10, 2019

The Development of the Scientific Management Theory Research Paper - 1

The Development of the Scientific Management Theory - Research Paper Example The researcher states that the most of individuals think that the basic motives of employers and employees are essentially opposed. In contrast, scientific management has for its core groundwork the strong belief that the genuine objects of the two are inseparable - that wealth for the employer cannot be sustained in the long run unless it is attended with the wealth for the employee and that it is doable to grant the employee what s/he most desires and the employer what s/he desires for his/her production. Thus, it is unquestionable that the influential and most contentious contribution to the development of management theory was the theory and practice of scientific management by Frederick Winslow Taylor, that was a main focus of the analysis and was presented in the essay. The principles of scientific management remain in vogue in large numbers of companies in the US. However, this is not similar to the scientific management pioneered by Frederick Taylor. Over the years, these man agement principles have been modified and the outdated components have been eliminated. This capacity to adjust has been helpful in the continued existence of the fundamental premises of scientific management, where remain numerous deliberations about its fundamental rules in contemporary management theory. This is due to the fact that these fundamental principles remain vital, present-day managers still applying them. Hence, the issues have numerous spectators. Scientific management survives and will stay alive for a hundred years or so.

Monday, September 9, 2019

Circuit Theory Essay Example | Topics and Well Written Essays - 1000 words - 1

Circuit Theory - Essay Example The paper "Circuit Theory" shows and describes some figures with the two-way crossover's work. At frequencies way above the pass band, the rate of increase in attenuation is 12dB/octave at a 90 degrees phase shift which goes to 180 degrees at very high frequencies. The rate of the attenuation here depends on the filter order, which in turn is determined by the number of reactive components in the ladder. For instance in our case here there are two reactive components, hence the filter order is two and its rate of attenuation is given by nx6dB/octave = 12dB/octave since n=2. Its response at different values of n is as shown below. A two-way crossover has a combination of a high pass and a low pass filter which could be used to drive a tweeter and a loudspeaker at the same time. These two could be fed from the same model of an amplifier if and only if it can accommodate the frequency ranges of both of them. However this is a wide range hence it’s impossible to come up with such an amplifier, hence the two-way crossover is used. With the low pass filter designed as explained earlier its high pass counterpart can be derived from it following the simple fact that their frequency response is reciprocal of one another. This means that attenuation of a low pass filter at say a frequency of w=2 is the same as the equivalent high pass at w=0.5. Deriving from this the high pass filter components are the reciprocal of the normalised low-pass filter, such that where there are capacitors in the low pass model they are replaced by inductors in the high pass model.

Law Essay Example | Topics and Well Written Essays - 2000 words

Law - Essay Example Issues Relevant to The Contract for the Sale of the Van Misrepresentation In negotiating for the purchase of a van from Daly, Winston explained that the putative van must have a storage capability of 200 feet and must be capable of regularly transporting antique furniture up to 1 ton. Based on these requirements, Daly told Winston that he had a van the fit Winston’s requirements and a van was offered for sale and accepted based on Daly’s representations. In fact, Daly also noted that the van in question had hardly been broken in. It is a fundamental rule of contract law that the parties to a contract enter into a contract on the basis of an understanding that they will receive the benefit bargained for and forming the inducement to enter into the contract.1 In addition, should one of the contracting parties fail to perform as mandated pursuant to the contract, the party losing the benefit bargained for and reflected in the contract for sale, is entitled to compensation for that loss.2 When the party loses the entire benefit of his or her bargain, he is entitled to treat the contract as terminated.3 Under the contract for the sale of the van, Winston was promised and expected to receive a van capable of replacing the van lost in the conduct of the antique shop’s business. The truck however, turned out to be inadequate as a replacement vehicle. The question is therefore whether or not the van’s failure to live up to expectations amounts to a breach of the contract on Daly’s part. Daly did make certain representations or as it turned out, misrepresentations that the van in question was fit for purpose. Misrepresentation occurs when false information is communicated and that false information induces the other party to enter a contract to which the false information applies.4 Misrepresentation can be made fraudulently or negligently or innocently.5 It is difficult to discern from the facts of the case for discussion whether or not the false information provided by Daly that the van was fit for its intended purpose was negligent, innocent or fraudulent. However, as a skilled or experienced salesman, it can be assumed that at the very least, Daly ought to have known whether or not the van was fit for purpose. It is therefore reasonable to assume that Daly’s misrepresentation was negligent at the very least. Regardless, it will be for Winston to prove that he relied on the information communicated to him or was induced by that information to enter into the contract.6 It can be assumed from the facts that Winston did in fact rely on Daly’s communication of facts since he was looking for a specific van with specific requirements and communicated those facts to Daly. Fit for Purpose Quite apart from misrepresentation, Winston can consider taking action against Daly under statute. By statutory law, it is an implied term of contracts for the sale of goods that goods purchased for a specific purpose are fit for purpose. By virtue of Section 14 (3) of the Sale of Goods Act 1979, where a purchaser either â€Å"expressly or by implication makes known to the seller† it is implied that the â€Å"goods supplied under the contract are reasonably fit for that purpose† unless the purchaser â€Å"does not rely,† on the â€Å"skill or judgment of the seller†.7 Winston can prove that he rel

Sunday, September 8, 2019

Carminal justice Essay Example | Topics and Well Written Essays - 1250 words

Carminal justice - Essay Example Therefore with the proper implementation and monitoring in place, we can project similar successes. Federal Bureau of Investigation figures on persons under 18 years of age arrested in the United States reflect a marginal (13%) decline from 1998 to 2002. Additionally in the 33 indices which are used to categorize criminal activity, the FBI figures reflect an appreciable decline in 27 indices, an increase in 5 areas and zero change in only one indices. The per capita crime rate for persons under 18 years of age in the United States decreased by 1% from 1998 to 2002.1 Albeit we have not yet turned the corner in ameliorating juvenile crime; these numbers represent light at the end of a long dark tunnel. For instance, on a national level From 1988 to 1992, the number of juveniles involved in aggravated assault increased 80 per cent to 77,900; the number involved in robberies went up 52 percent to 32,900, and the number involved in rapes rose 27 per cent.2 In the FBI figures presented in this proposal covering the period from 1998 – 2002, aggravated assault declined to 61,600 in 2002, or 21% since 1992. Also robberies declined to 24,500 in 2002, or25% from 1992. Although we are witnessing a downturn in the aggregate numbers, now is not the time to become complacent or satisfied with this trend. Of the 2, 261,000 arrests in 2002, 92,160 were violent crimes, of which 1,360 were murders, 4,720 were forcible rapes and 61,600 were aggravated assault.3 Crime has seriously affected teenagers’ lives, especially those who live in neighborhoods seriously hurt by crime, drugs and gangs. The effects are insidious and long-standing. Reports of juvenile crime dropping are of little consequence in light of the coming demographic surge of juveniles in their crime prone years from dysfunctional families. â€Å"How to deal with the Youth Crime Wave,† is an article written by professor dysfunctional families are committing murder,