Friday, December 27, 2019

Questionable Popularity Of Euthanasia And Assisted Suicide

Questionable Popularity of Euthanasia/Assisted Suicide A survey of U.S. oncologists suggests that support for euthanasia and assisted suicide in this profession has declined dramatically in recent years. The survey polled 3299 members of the American Society of Clinical Oncology in 1998. It found 22.5% support for physician-assisted suicide for a terminally ill patient with prostate cancer in unremitting pain, compared to 45.5% support in 1994. Euthanasia in this situation was supported by 6.5%, compared to 22.7% in 1994. Surgical oncologists were more likely to support these practices; Catholics, those who view themselves as religious, and those who say they have sufficient time to talk to dying patients about end-of-life care were less likely to do so. Those who oppose euthanasia and assisted suicide are also less willing to increase the dose of morphine for a patient who has unremitting pain despite previous pain relief efforts. This reticence, they note, probably reflects fear that increasing opioid dose increases the risks for respiratory depression and death and might be construed as a form of euthanasia. This view may be encouraged by proponents of euthanasia who have argued that there is no difference between increasing morphine for pain relief and euthanasia. The authors urge increased efforts to educate physicians on the ethical and legal acceptability of increasing narcotics for pain control, even at the risk of respiratory depression andShow MoreRelatedLgbt19540 Words   |  79 PagesHeteronormativity * LGBT stereotypes * Queer * Religion and homosexuality * Religion and transgender | Prejudice / Violence | * AIDS stigma * Biphobia * Genderism * Heterosexism * Homophobia * Lesbophobia * Binarism * Sexualism * Suicide among LGBT youth * Transphobia * Violence against LGBT people * LGBT trafficking | Academic fields and discourse | * LGBT/Queer studies * Lesbian feminism * Queer theory * Transfeminism * Lavender linguistics | LGBT portal

Thursday, December 19, 2019

Financial Ratio Analysis - 11306 Words

------------------------------------------------- FINANCIAL RATIO ANALYSIS PROCTER amp; GAMBLE | PFIZER INC JANIE PRINCE FINANCE 405 | FALL 2012 ------------------------------------------------- Company Backgrounds Procter amp; Gamble William Procter and James Gamble, immigrants from England and Ireland respectively, met when they married into the Norris family. Their father-in-law suggested they build their own company since both men had useful trades- Procter was a candle maker, Gamble a soap maker. The two officially became business partners in 1837 with the founding of Procter amp; Gamble. 2012 celebrates â€Å"175 years of innovation† and seven generations of providing the some of the most well known products†¦show more content†¦The surge in revenues and development of product lines resulted in Pfizer moving to Manhatten in 1868 to support its rapid growth; the headquarters remained there for nearly a century. In 1880 Pfizer created citric acid and quickly becomes the leading product as Coca-Cola and Pepsi-Cola gain popularity and demand more of it. This marks another turning point in growth for Pfizer as citric acid launches this company into another market. 1899 marks the 50th anniversary of Pfizer Inc producing high-quality products in an efficient manner while consistently striving to produce greater products. A leader in the chemical business, Pfizer is anchored by the industrial and pharmacological industries. In 1919, research in citric acid allows Pfizer to develop it without having to depend on European citrus growers; this invention spurs chemist Jasper Kane to begin the process for unlocking the key for large-scale production of penicillin. 1939 marks the year that Pfizer is recognized for being the leading company in fermentation technology. 1941 to 1944 are pivotal years for Pfizer as they invest millions of dollars to produce over five times more penicillin than originally anticipated- a feat that earns Pfizer the Army-Navy â€Å"E† Award for being the world’s largest producer of the â€Å"miracle drug†. Pfizer went global in 1951 in countries including Belgium, Canada, England, and Mexico, becoming instantly successful through direct immersion of its employees inShow MoreRelatedFinancial Ratio Analysis : Financial Ratios Analysis1634 Words   |  7 Pages UNIVERSITY OF HOUSTON CLEAR-LAKE HADM 5233: FINANCIAL MANAGEMENT II ASSIGNMENT: FINANCIAL RATIO ANALYSIS UHCL Honesty Code â€Å"I will be honest in all my academic activities and will not tolerate dishonesty.† Uday Sekhar Reddy Mareddy Read MoreFinancial Ratios And Financial Ratio Analysis1797 Words   |  8 Pages Abstract The paper concentrates on the basic types of financial ratios and the importance of the financial ratio analysis. It discusses about the significance of these ratios and how these ratios are helpful in drawing conclusions and monitoring the firm’s performance over period to period and to compare the performance to that of the competitors. Financial ratios of PepsiCo is discussed over a period of three years from 2012 to 2014 from the respective year’s incomeRead MoreFinancial Ratio Analysis1498 Words   |  6 PagesGriffith University, Gold Coast | Group Assignment for 2204AFE Financial Institutions Management | Comparative Analysis of ANZ and Westpac | | s2758329, s2762895, s2773847, s2784238Diamond, E., Dong, G., Huang, Y. amp; Lin, B.Due: 5th April 2012Tutor: Sonja Kobinger | | | The following report is a brief comparative analysis of two of Australia’s largest deposit-taking financial institutions (FI), Australia and New Zealand Banking Group Ltd. (ANZ) and Westpac Banking CorporationRead MoreFinancial Ratio Analysis3810 Words   |  16 PagesHome FINANCIAL RATIO ANALYSIS Financial Ratio Analysis William F. Slater, III ACC 529 Ââ€" Accounting for Managerial Decision Making University of Phoenix Week 5 Assignment for ePortfolio Michael Greenen, C.P.A, C.F.P. - Instructor July 1, 2003 Table of Contents Table of Contents 3 Abstract 4 Introduction 4 Memorandum 4 Profitability of Sample Company 5 Sample Company ROI for 2000 5 Sample Company ROI for 2001 5 Stock Performance 6 Read MoreFinancial Analysis and Ratio Analysis1713 Words   |  7 PagesSection III: Financial Analysis—Ratio Analysis Profitability Ratios When evaluating the company’s profitability, we pay attention to the following ratios which are commonly analyzed: Net Profit Margin, Accounts Receivables Turnover, Return on Assets and Return on Equity. From the tables and figures, all the ratios have increased over the past five years except for 2012. This means UPS is overall a healthy company and does a good job at generating profits. Net Profit Margin Ratio It measuresRead MoreJournal on Financial Ratio Analysis1157 Words   |  5 PagesSession 15: Limitation of Ratio Analysis Learning Objective Explain to the participants on the limitation of ratio analysis. Important Termss Creative accounting. Accounting Policies. Limitations of Ratios Accounting Information Different Accounting Policies The choices of accounting policies may distort inter company comparisons. Example IAS 16 allows valuation of assets to be based on either revalued amount or at depreciated historical cost. The business may opt not to revalueRead MoreThe Value Of Financial Ratio Analysis1616 Words   |  7 Pagesdetermining the state of the economy. In this paper, I will describe the methods used to assess the macroeconomic environment, discuss the value of financial ratio analysis in the context of common stock investing and compare intrinsic value and market price. Macroeconomic environment Unlike their counterparts during the great depression, financial policymakers today have enormous statistics at their disposal that slightly makes decision making easier. Significantly, the lack of data during theRead More Financial Ratio Analysis Essay1420 Words   |  6 PagesBefore beginning an analysis of a company it is necessary to have a complete set of financial statements, preferably for the pas few years so that historical trends can be obtained. Ratios are a way for anyone to get an idea of the financial performance of a company by using the information contained in the financial statements. Ratios are grouped into four basic categories, liquidity, activity, profitability, and financial leverage. This document will use a variety of these ratios to analyze the firmRead MoreFinancial Ratio Analysis Report1667 Words   |  7 PagesFINANCIAL RATIO ANALYSIS REPORT The fiscal year 2004 was a relatively soft year for Barnes Noble, Incorporated (BN). Blockbuster nonfiction books that came out during the year may not have come from the company, but business remained strong. This is due to the million of books already in the market, including phenomenal fiction hits The Da Vinci Code, The Five People You Meet in Heaven, and The Rule of Four, and thousands of new releases during the year. This claim was supported by theRead MoreAnalysis And Use Of Financial Ratios903 Words   |  4 PagesRatios are measurements.   The reason ratios are used, as opposed to absolute values, is a mathematical one, and is basically in order to facilitate comparison by adjusting for size (Barnes, 1987).   Ã‚  Similarly, knowledge of the behavior of turnover ratios might be useful in assessing the effects of changes in any of the underlying economic characteristics (Gupta and Hgefner, 1972). Article One In article â€Å"The Analysis and Use of Financial Ratios:   A Review Article† by Barnes (1987), financial ratios

Tuesday, December 10, 2019

Finance Principle-Free-Samples for Students-Myassignmenthelp.com

Question: You decide to begin Saving for your retirement. Assume that you determine that you will need $ 300,000 when you retire in 30 years. If you can invest at 8% Compounded Quarterly and will begin Saving in 3 months (one quarter), how much will you need to deposit each quarter to have the required retirement fund? Answer: You decide to begin saving for your retirement. Assume that you determine that you will need $ 300,000 when you retire in 30 years. If you can invest at 8% compounded quarterly and will begin saving in 3 months (one quarter), how much will you need to deposit each quarter to have the required retirement fund? Particulars Value Future value $300,000 Rate 8% = 8%/4 = 2.0% Time 30 = 30*4 = 120 -1 = 119 FV C * (((1+r)t 1) / r) C FV / (((1+r)t 1) / r) C $300,000 / (((1+2%)119 1) / 2%) C $300,000 / 477.70 C $628 The present value of deposits, which needs to be conducted by for the retirement purposes, is $628. Thus, for gathering $300,000 value after the retirement in 30 years $628 will mainly be deposited each quarter for the retirement fund. The time is calculated at 119 quarters, one quarter is deducted for the time taken for conducting savings.

Tuesday, December 3, 2019

Pablo piccaso Essay Example

Pablo piccaso Essay Pablo Picasso what a name! Living proof that little people can grow to a colossus Picasso Full of energy, fun and play I think he would like this pun, He was rather short when he was alive and shrunk considerably after he died. We laugh at death in order not to cry. Very funny, yet undeniably serious, Picasso left us to ponder the worlds of comedy and tragedy in his work. A phenomenon, a genius, Picasso, leaving the world thousands upon thousands of original testimonials, recording his human experience: paintings, drawings, etchings, sculpture, design, ceramics, tapestries and prints. His production will exert its influence upon artists for thousands of years to come. Has there ever been another artist more controversial? Cant think of one. Like an atomic bomb, Picasso exploded upon the world he once said that art had more power than an atomic bomb, and he was right. The after shock of art goes on for a long time 500 years is nothing for a good work of art Leonardo da Vinci pr oved that, and he didnt come close to the production of Picasso. Â   The year 1900 was a turning point in the social history of mankind and Picasso slotted into that period very well. As a young man he was in the right place at the right time Paris. When you think of all the changes that have taken place over the past one-hundred years, you soon realize what an enormous metamorphous that has taken place in human thinking. Directly or indirectly, Picasso had one of those creative minds responsible for changing the way millions of people think about this world. Â   His work was part of the necessary preparation needed to change our frame of mind, making the transition from Twentieth Century Man to Twenty First Century Man possible. That cant happen without gradual preparation requiring the common mindset between many individuals which eventually effects the whole. We grudgingly know that things change, but few are conscious enough to kno

Wednesday, November 27, 2019

The Neurosis Of Nathaniel Hawthorne Essays - Freudian Psychology

The Neurosis Of Nathaniel Hawthorne The Neurosis of Nathaniel Hawthorne The influence of Freuds theory of the dynamics of human personality extends far beyond the discipline of behavioral science, reaching into areas such as humanities, philosophy, and literature. Freud believed that a work of literature is the external expression of the authors unconscious mind. Therefore, we must treat the work of literature as a dream, then reveal hidden motivations and repressed desires by applying psychoanalytic techniques. In the story Young Goodman Brown, by Nathaniel Hawthorne, I will explore the use of symbols and repressed images by the author that are conveyed throughout the story. To understand better the approach of psychoanalytic criticism, we must first define a general concept of the theory behind it. Psychoanalytic theory finds its roots in psychoanalysis, the medical technique developed by Sigmund Freud in 1900. Freud published a book entitled The Interpretation of Dreams that outlined a complete theory of dreams and focused on unconscious mechanisms and their relation to consciousness. Psychoanalysis was born. Although not originally intended to be a school of literary criticism, Freud later began to develop a connection between literature and psychoanalysis. This created a new understanding of the artwork (the literary piece itself), the artist (writers including their writing process), and the audience (readers and their responses). Psychoanalysis is said to have several different meanings. For literary purposes the best definition as described by Robert Mollinger would be a theory of the mind that can serve as an explanatory model for literature(31). Central to Psychoanalysis is the tripartite model. The tripartite model is best described by our textbook Literary Criticism: This model developed by Freud separates the human psyche into three parts, the id, ego, and superego. The id is the source for all psychosexual desires and psychic energy. The id operates on the pleasure principal, demanding immediate satisfaction. The ego is the rational and logical part of the mind. It operates as a balance or regulator to the id. The final part is the superego, an internal censor that allows people to make moral judgments in light of social pressures. (150-151) Between the id, ego, and superego, exists an ever-changing balance is created. When the ego cannot meet the needs of the id and superego, a neurosis is created: It is these unresolved conflicts (i.e. neurosis) that Freud seeks to resolve so the patient can return to normalcy. (Bressler 153) Using this tripartite model is an important element for dream interpretation, which is the basis for my criticism of Young Goodman Brown A psychoanalytic criticism of Young Goodman Brown will view the entire story as a single dream of Nathaniel Hawthornes. Freud believed that dreams stored hidden repressed sexual desires, anger, rage, guilt, and emotions from the unconscious. Therefore, our psyche recreates these repressed feeling and emotions through our dreams. When the critic analyzes the literature as a dream, he then unlocks the hidden messages, repressed desires, and underlying motivations of the author. Central to the story of Goodman Brown is his curious journey with the stranger. Although the reader is never directly told why Brown meets with the stranger, a psychoanalytic criticism lends a different and unique perspective to his travels. On the surface of the story, the meeting of the two men may be simply seen as chance encounter; however, their characters and actions represent far more. Hawthornes writing is very closely related to his conflicts with religion during his life. Central to his struggle in Young Goodman Brown is the conflict with gay and lesbian relationships versus the Puritan church. Hawthorne uses his characters as symbolic images to represent his feeling and thoughts about the religious culture at work during the late 1800s. No different, the stranger Goodman Brown meets in the woods is a projection of Hawthornes conscience through Brown. I hope to demonstrate that Hawthornes conscience has created the character of the stranger through a neurosis produced by his unresolved conflict with gay relationships versus his puritan society beliefs. The stranger represents Hawthornes struggle with sin, his ids primary pleasures, and the close relation between sin and the devil. Within the first few paragraphs of the story, Brown states, what a wretch I am to leave her on such an errand.but no

Saturday, November 23, 2019

ESOPs Essays

ESOPs Essays ESOPs Essay ESOPs Essay There are numerous studies being conducted the world over to determine the interaction of several factors. Most of the research has the objective of evaluating the performance after the implementation of some programs. The business community from time to time institutes some programs that are thought to expand the business in one way or another. Various methodologies are available in literature and researchers are always presented with the difficulty of choosing one methodology over another. The varying methodologies are appropriate for different types of research and a clearer understanding of the advantages of one methodology over the other should be well known. This will lead to valid conclusions and enable researchers to make generalizations about the whole population.In 1974, the United States Congress enacted an Act aimed at encouraging employee own stock in the firms in which they worked. This was to be attained by introducing tax measures to encourage employee stock ownership plans (ESOPs). These measures have seen the numbers of employee owned companies increase to close to ten thousand from just above 1500 such companies. The numbers of employees owning stock also have increase to over eight million (Rosen Quarrey, 1987). A recent study was aimed at finding how the ESOPs had affected the governance of the companies. The research intended to find if the plan had worked to improve profitability and performance at the companies. The study sought to cool of the debate on whether the enactment of these laws was advantageous.The objective of the study was to identify the whether the ESOP companies had recorded faster growth than the other companies. Another objective was to determine whether the employees vigorously contributed ideas that shaped the company to attain any successes. The study took a sample of 45 ESOP companies and data was collected for five years prior and after implementation of the plan. This study design could be compared to the classical experimental design in which subjects under study are divided into two groups: the experimental or treatment group and the control group. In this case, the treatment group was the companies that had implemented the plan while the control group was the other companies that did not implemented the plan.This classical design setup is the best placed design since it controls against other factors that could affect the results of the study. Due to the long duration under which the study was being conducted, there were many factors that could contribute to the success or failure of the companies. The design used in this study was therefore appropriate sine it incorporated the control group. The design also allowed for the pretest and posttest to be performed on the companies. The data collected was for the duration prior to the implementation of the plan and after. This amounts to applying a treatment to some companies and then observing the results after some t ime. The results are than compared with those of the control group. Chances of other factors being involved are therefore minimized. Internal validity test was thus fulfilled. The study controlled against external factors by comparing with industry growth.The data is the most important part of any research. The data to be collected should be relevant and in line with the set objectives. The data collected for this study was data on sales and employment rates. These were the variables to be tested and they were in line with the study objectives. The analysis of the data showed that the implementation of the plan caused a significant positive effect on the performance of the company. The growth of the companies were traced over the duration before the implementation of the plan and compared with the growth over the five years after the implementation. This comparison showed that the growth rates after the plan implementation was much higher. This was rightly concluded to mean that the plan was responsible for the growth.In the analysis of the data also, the study concluded that there were no other factors that could have contributed to the growth. This was based on the tests carried out on other factors and they did not show significant interactions. On whether the implementation of the plan improved corporate performance, the study showed positive change. The ESOP companies that implemented employee participation plans were found to grow up to four times faster than the other ESOPs that did not have such a plan. This again rightly means that encouraging employee participation cultivates better work attitude leading to success of the company overall.The analysis on the non-ESOP companies indicated mixed results when the employee participation plan was implemented. This led to the conclusion that the participation plan works best when the company has converted to an ESOP. The conclusion is valid. If the participation plan was the contributing factor alone to the success of a company, the non-ESOP companies should have equally shown similar results with those of the ESOP companies. The results should have been uniform. The conclusion that the employees participate more in the company’s decision making is therefore justifiable. The explanation that involving the employee’s decisions in the company’s management creates an enthusiasm that motivates them to work harder also holds true.The researchers identified that the companies that allow their employees to own shares with them have better chances of performing well. The companies that intend to change the attitudes of their employees to motivate them to work harder should therefore consider going the ESOP way. The research also concluded that the employees were more likely to be comfortable with their pay since they know the profits belong to them.The above study was well planned and the objectives were well defined at the onset. The variables to be measured had also been clearly defined. The data that was collected was appropriate in meeting the set objectives. The design used in this study allowed the researchers to control the effects from other factors making the results valid. The interpretations give are also based on the data and are correct.

Thursday, November 21, 2019

Why is media studies an important academic discipline Essay

Why is media studies an important academic discipline - Essay Example The basic field of media studies or media sciences as one might inter relate the two terms is to make sure that there is complete harmony of understanding the different media related regimes when it comes to getting the message to the right people at the right time and in the right capacity. The media contributes to public opinion and provides understanding of the news. The media entertains us, watches government and social institutions, and gives the public information for debate and discussion about local and international affairs. The role of media in the world of today is unparalleled, so much so that it literally overshadows the extent of impact any other field of life or work can have. Media manipulations thus also are quite rampant and would remain in the thick of things until a sense of responsibility and fair play is brought into this scenario. Thus this issue brings to light the task played by the spin doctors with the passage of time. These people are basically biased towards a cause, an event or have a set objective to start with. Media has a huge role to play in any country’s day to day activities and the mannerisms in which it usually deals with the people living in a region or country for that matter. (Curran, 2000) Its role cannot be denied its du e right especially since it can literally make or break the cultural values and traditions of any country. When we speak of media studies, we must remember that it is composed of a number of subsets namely advertising, film, television, print, animation and so on and so forth. Media communications demands a lot of word of mouth approach that essentially takes into consideration the fact that the more people are happy and satisfied with the brand and its related associations, the more they will buy it again and again as well as encourage their near and dear ones to take that step of having the eventual purchase on

Wednesday, November 20, 2019

Crime And Behavioral Genetics Research Paper Example | Topics and Well Written Essays - 1250 words

Crime And Behavioral Genetics - Research Paper Example To gain an in depth insight of this hypothesis, this paper will outline an annotated bibliography of three journals: Gou, G. Roettger, M. Cai, T. (2008). The Integration of Genetic Propensities into Socio- Control Models of Delinquency and Violence among Male Youths, American Sociological Review, 73 (4); 543-568; Ferguson, C. J. (2010). Genetic contributions to antisocial personality and behavior: A meta-analytic review from an evolutionary perspective, The Journal of Social Psychology, 150(2), 160-80, and Stone, R. D. (2003). The cloudy crystal ball: Genetics, child abuse, and the perils of predicting behavior. Vanderbilt Law Review, 56(5), 1557-1590 that have delineated the relationship between genes and crime. The annotated bibliography will be aimed at addressing the specific title of how genetics play a role in crime. Gou, G. Roettger, M. Cai, T. (2008). The Integration of Genetic Propensities into Socio- Control Models of Delinquency and Violence among Male Youths. American Soc iological Review, 73 (4), 543-568 As pertains to the author’s background, this journal is work of four authors. Guang Guo was a professor at the University of North Carolina- Chapel Hill and teaches sociology. He was also a member of the faculty at Carolina Population Center and Carolina Center for Genomic Sciences at the same University. Michel E. Roettger was a PHD candidate at the same University and his thesis statement sought to examine social inequality in relationship to the US criminal justice system. Tianji Cai a PHD holder at the same university was interested in sociological research methods that aimed at addressing how biology interplayed with the society. Intended audience of this journal article was the delinquent civil societies, the parents, the genetics departments and the criminal society. The objective of the study was to examine the effects of genes on violent delinquency by examining three genetic polymorphisms: 40-bp VNTR in the DATI gene, the 30-bp prom oter- region VNTR in the MAOA gene, and the Taq1 polymorphism in the DRD2 gene. Data used was collected from DNA subsample obtained from the National Longitudinal Study of Adolescent Health. The study was based on a population size of 1,100 males whose DNA and measures to control their social behavior was available for incorporation in the study. The results of the study illustrated that there was a positive interaction between DATI, MAOA, and DRD2 and the deliquescent behavior reported among the males involved in the study. An interaction was reported between MAOA gene and DRD2 gene in association with having a family meal. The results illustrated that a weaker socio cultural involvement of the family and the school processes flared up the gene expression in deliquescent individuals. Social issues play a paramount role in the gene expression of the individuals who engaged in deliquescent behavior. Individuals who possessed a 2R allele as evidenced in the MAOA*2 genotype, upon repea t of a grade, they exhibited serous delinquency compared to individuals who did not express the 2R allele gene in their genotype. Repeating a grade and its influence in expression of MAOA*2 was attributed to the interference in the individuals social relationship with his peers, ridicule by his peer. They were also predisposed to feelings of shame, inadequacy, humiliation, and confusion weakening their bonds to social support structures

Sunday, November 17, 2019

Life of Rabindra Nath Tagore Essay Example for Free

Life of Rabindra Nath Tagore Essay Tagores international travels also sharpened his opinion that human divisions were shallow. During a May 1932 visit to a Bedouin encampment in the Iraqi desert, the tribal chief told him that Our prophet has said that a true Muslim is he by whose words and deeds not the least of his brother-men may ever come to any harm Tagore noted in his diary: I was startled into recognizing in his words the voice of essential humanity. [1] In his last decade, Tagore compiled fifteen volumes of writings, including works of prose-poems such as Punashcha (1932), Shes Saptak (1935), and Patraput (1936). He also continued his experimentations by developing prose-songs and dance-dramas, including Chitrangada (1936), Shyama (1939), and Chandalika (1938). He also wrote the novels Dui Bon (1933), Malancha (1934), and Char Adhyay (1934). Tagore also took an interest in science in his last years, writing Visva-Parichay (a collection of essays) in 1937. He wrote on topics ranging from biology to physics, and astronomy; meanwhile, his poetry — containing extensive naturalism — underscored his respect for scientific laws. He also wove the process of science (including narratives of scientists) into many stories contained in such volumes as Se (1937), Tin Sangi (1940), and Galpasalpa (1941). [2] [edit]Illness of 1937-1941 Tagores last four years (1937–1941) were marked by chronic pain and two long periods of illness. These began when Tagore lost consciousness in late 1937; he remained comatose and near death for an extended period. This was followed three years later in late 1940 by a similar spell, from which he never recovered. The poetry Tagore wrote in these twilight years are distinctive for their preoccupation with death; these more profound and mystical experimentations allowed Tagore to be branded a modern poet. 3] After extended suffering,[4] Tagore died on August 7, 1941 (22 Shravan 1348) in an upstairs room of the Jorasanko mansion in which he was raised. [5] This date is still mourned in public functions held across the Bangla-speaking world. The last person to see Tagore alive was Amiya Kumar Sen (brother of Sukumar Sen, the first chief election commissioner); Tagore dictated his last poem to Sen, who wrote it down. Sen later donated the resulting draft to a museum in Kolkata.

Friday, November 15, 2019

Consider Two Theories Of Child Development Psychology Essay

Consider Two Theories Of Child Development Psychology Essay There are many theories taken from the disciplines of sociology, biology and psychology that explain human development from the each disciplines perspective. Baltes (1987) cited in Crawford and Walker (2010), states that human development is multidimensional. Human development is approached from several theoretical perspectives which may be classified as psychoanalytic, learning, cognitive, sociological, biological or ecological theories. Broadly, theories of human life course development can be categorised into three disciplines namely; sociological, biological and psychological. Sociological theories emphasise social and environmental factors as having an impact or influence in human development. Biological theories focus on the physical development, genetic influence, human growth stages and instinct. Biological theorists would argue that human behaviour for example, is genetically determined. On the other hand psychological theories focuses on what goes on in the mind, emotional development, personality development and related behaviours. This school of thought describe human development as stages or phases that individuals go through. According to Crawford and Walker (2010), human development theories can contribute our understanding of people and their situations. Different theoretical approaches lead to different approaches to social work practices. It is important that social workers access apply and critically evaluate these theories when working with children and their families. As a social worker, one should understand the origins, underlying assumptions, strengths and limitations of these theories in practice. The following is a discussion of two theories of child development and their usefulness in safeguarding the welfare of children. Bronfenbrenners theory of bioecological development This is a bioecological theory as defined by Boyd and Bee (2009). It explains human development in terms of relationship between people and their environments as illustrated in the diagram below. ` Adapted from http://edwinchartfellow.wordpress.com/research-project-2/ Case Study: John is 14 years of age and lives is a large deprived housing estate with a reputation for anti-social behavior. He does not attend school and spend most of his time with a gang of older teenagers. He has a history of theft and he misuse substances. He has lived most of his life in the care of relatives. His father Paul and grandfather have criminal records. His father is currently in prison. His mother Eve gave birth to John when she was 16 years and she uses drugs and alcohol. Johns aunt and her husband lives a few miles away and have offered to look after John. They are committed Christians and wish to support John and would like to support him to change his behaviour. According to Bronfenbrenner, human development is influenced by biological, socio-economic-political and cultural environment one grows in. Bronfenbrenner. (1979) bioecological theory states that there are four domains that influence child development and these are biological factors within the child, the family, the immediate surrounding such as school and the community, and the socio-economic environment in the wider world. The contexts of development are like circles within circles. It is therefore imperative that social workers understand the environment that the child grows in to be able to safeguard the welfare of children. The inner circle is the biological context which caters for the childs genetic makeup and development. Such factors may include genetic inheritance, sex/gender and healthy all contributing to an extent in the childs development. The next levels encompass the role of nurture. This viewpoint argues the environment, experiences and the way a child is brought up influences the childs development. Social workers have to take this into account in safeguarding the welfare of children. According to Boyd and Bee (2009), the microsystem relates to variables which children are exposed directly, such as their families, schools, churches, and neighbourhoods. The culture in which the child in born and grows is influenced by the immediate environment. The family values which may include religious upbringing and influences, classroom peers, and neighbourhood has a strong impact on the character and values of an individual. In Johns microsystem, we need to consider the influences of his parents and immediate family members. Parents involvement with the school and the response of the school to their involvement are part of the mesosystem. Shaffer and Kipp (2010), refers to mesostystem as the connections and interrelationships among microsystems such as home, school and peer groups. The childs development is likely to be optimized by strong supportive links between microsystems. For example, the childs ability to learn at school depends on the quality of instructions that his teachers provide and also on the extent in which the parents value, support and co-operate with teachers. On the other hand none supportive links between microsystems can spell disaster (Steinberg, Dornbusch and Brown, 1992 cited by Shaffer and Kipp (2010)). The next level is the exosystem (the socioeconomic). This consists of institutions of culture that indirectly affect the development of children. These include the community, school, parents work place, extended family, neighbourhood, and mass media. The exploration of Johns exosystem leads us to look at the local deprived community associated with anti-social behaviours in which John lives. The macrosystem represents the wider cultural context within which all the other systems are located. This includes the economic, social, cultural, history and laws in which a child grows. This wider context may refer to a country or state a child is brought up. For example, education funding exists in the socioeconomic context. A specific country may strongly believe that children should be educated (cultural context), but the ability to provide universal education can be limited by the countrys wealth (socioeconomic context). The macrosystem in which John lives, include social factors such as the economic and political factors in the country that may impact upon John and his family. Social workers must understand and appreciate that the development of the child encompasses biological, the role of the immediate environment like, parents, siblings, classroom peers and in the wider context involves the extended family, neighbours, and also the socio-economic condition in which the child lives. For example, the development of the unborn child may be affected by the impact of drug use of the mother. Crawford and Walker (2010), states that the Bronfenbrenner approach is based on the principle that the development and behaviours of individuals can be fully understood in the context of the environment in which they live. Attachment theory: Bowlby (1969) defines attachment as; A deep and enduring emotional bond that connects one person to another across time and space It does not have to be reciprocal. Furthermore, Bowlby (1969), states that attachment in children is characterised by specific behaviours like seeking to be in touch or proximity with the attachment figure whenever one is threatened or upset. Attachment behaviour in adults is displayed with how they respond to the childs needs. Attachment theory provides understanding to how parent-child relationship emerges and has a bearing in subsequent years. Children need to feel secure in their relationship with adults or care giver. Early relationships are important as they are viewed as having critical role in the childs emotional well-being throughout their life development. Regarding this later life, Payne, 2005 p81 cited by Crawford and Walker (2010), p43 states that; How we are depends on how we experience early relationships. Warmth, mutuality, support, and security are qualities of relationships that tend to produce coherent and well organized later selves. Bowlby believes that child development personality lay in the early years of childhood and that any failure in the early relationships would permanently influence the development of the childs personality. Bowlby (1969) believes that attachment develops through four attachment phases as briefly described below. Pre-attachment phase (birth to 3 months): This is often referred to as indiscriminate attachment phase. A baby can be attached to any care giver. An infant forms attachment to whoever feeds it. Focus on one or more figures (3 to 6 months): Infants learn to distinguish between primary and secondary care givers and would accept care from anyone. Secure based attachment phase (6 to 24 months): True attachment develops in this phase. Infants look to certain care givers for security, protection and comfort. Fears of strangers and unhappiness when separated from attached care giver known as separation anxiety, is a characteristic of this phase. The reciprocal relationship phase (24 months and beyond): In this phase a child becomes increasingly more independent and forms several attachments. These several attachments can include attachments to siblings, grandparents, neighbours and friends. The attachment phases leads to the following types of attachments and social workers need to understand these if they are to effectively work with children and families. Attachment can be described as secure. As long as the care giver is present a securely attached child will play comfortably and react positively to strangers and will become visibly upset when their mothers leave. Attachment can also be described as avoidant. This is for example; a child avoids contact with the mother at reunion after an absence. The child does not show any preference to mother over a stranger. The insecure/ambivalent attachment type is where the child shows little exploration and is wary of strangers. The child gets very upset when separated from the mother. The child may show anger at reunion and resist comfort from the mother and stranger. The last type is the insecure/disorganised attachment which is characterised by confusion, disoriented behaviour. Boyd and Bee (2009), states that social workers should understand that early emotional relationships shape late ones in life. Securely attached children in infancy are later more sociable, positive in their behaviour towards friends and siblings, less dependent on teachers, less aggressive and disruptive, more empathetic and emotionally mature in their interactions in school and outside the home. If attachment is not made between 0-3 years from birth, the child may never form an attachment with anyone. A securely attached child is able to develop resilience, independence, compliance, empathy, control over their feelings, and health self-esteem. Taylor, (2010) argues that for healthy and secure attachment to develop, a child needs to experience both proximity and separation. On the other hand, insecurely attached children tend to have difficulties in establishing relationships, appear indiscriminately friendly to whoever is around, extremely withdrawn and little or no interest in othe r people. Social workers can use attachment theory in assessment of children and families. For example, the social worker can use attachment theory to understand how past experiences relate to present difficulties. Gambie et al (1992) cited by Daniel et al (2010) assumes that a traditional nuclear family provides a superior child rearing environment. The majority emphasis is on a western model of the nuclear family which may not be experienced by children who may be cared for by extended family members who are part of their attachment network. Social workers need to be respectful and sensitive towards varied patterns of care giving and attachments within different communities. The key consideration should be the assessment of whether or not basic needs are being met. The majority of children encountered by social workers working with child safeguarding have difficulties which can be attributed to attachment issues. Attachment theory can therefore offer insight to guide intervention. For childr en in care, attachment theory can help to understand both the impact of separation from important people and the process involved in making new attachments. Conclusion: Dworetzky et al (1989), states that our understanding and knowledge of human development are limited by the fact that no two human beings are ever exactly the same. Because of this, theories of human development will never be 100 per cent or even close to it. Furthermore, Lightfoot et al (2009) states that there is no single theory that can fully explain human development. Social workers work with vulnerable people. Of the two theories described above, each has its own strengths, weaknesses and context in which it is useful. According to Shaffer and Kipp (2010), families are complex social systems that are dynamic. Every family member is constantly developing and their relationships change with time. The complexity nature of family life and its influence on human development can best be described by Bronfenbrenners bioecological theory. Boushel 1994, p.179 cited by Daniel et al (2010) states the following regarding Bronfenbrenners bioecological theory and what social workers need to take into account when safeguarding the welfare of children and families; The framework for assessment of a childs protective environment will need to acknowledge the part played by the state and society in general, the part played by the community within which the child live and the part played by the individual family. The African proverb it takes the whole village to raise a child is true for this theory. This approach recognises that children do not grow up in a vacuum. In the case study above, Johns behaviour has been influenced by the microsystem (family) and also the exosystem (neighbourhood). In assessing Johns needs, the social worker will need to use these aspects of Bronfenbrenners bioecological theory. This approach requires that the child never be assessed in isolation. Daniel et al (2010) argues that the bioecological approach to child development suggests that detailed assessment of all aspects of the childs situation include considerations of all levels that are immediate and of wider impact and is essential to the planning of intervention with children and families by social workers. This theory provides understanding that each lifespan is unique as each individual in influenced by their unique environments. This theory helps in influencing government policies and programs that can b enefit a given community. In the case of Johns environment, resources can be channelled in developing the estate and proving facilities for young people to get busy and occupied. On the other hand, Shaffer and Kipp (2010), argues that bioecological theories are inadequate in giving account of human development. The inner individual level encompasses the role of nature in child development. This viewpoint argues that our genes predetermine who we are and our characteristics are inherited. We have in born biological characteristics that are hereditary from our birth parents at a point of conception. This position suggests that change is not possible and we are what we are and we cannot do anything about it. This argument has the potential to stereotype people which leads to support prejudice and oppressive behaviour and social workers should be aware of this in safeguarding the welfare of children. Despite it being a bioecological theory, it has little to say about specific biological contributions to human development. The emphasis is on the developing person and the constant changing environment. Attachment theory may be important for work with children but its application to adults is less evidenced. Konstantinos and Georgios (2006)s research supports Bowlbys conclusion that cross culturally; attachment has an influence on ones socio-emotional development as well as emotional well-being through life course. There are many limitations that have been cited on attachment theory. Attachment theory does not account for some people who had insecure attachment relationships with their mother but however went on to form secure romantic relationships with their partners in adulthood. Attachment can still occur in adulthood. The attachment approach ignores the temperaments and personalities of individuals. Harris (1998), argues that parents do not shape the personalities and characters of their children. He believes that their peers have more influence in personality and character building than the parents. Take for example, a child whose parents are immigrants. The child can continue to speak the parents native language at home, but at the same time learn new language and speak it without a foreign accent. Harris (1998) argues that children learn these from their peers so as to fit in. Following from above, social workers should understand that parents are not totally responsible for the way the children develop. They can be held responsible to a certain degree, because after all they did give them their genes and therefore do have some influence. However, children rely more on their parents. Another limitation of attachment theory stated by Field (1996) is that the mother is viewed as the primary attachment figure and fails to include the father and siblings who can also be attached to the child at the same time. Another limitation is that attachment is confined to infancy and early childhood as defined by Bowlby. This does not account for attachment that occur in adolescence (first love), adulthood (spouse) and later life. In conclusion, there is no single theory that can fully explain human development. Attachment theory is more suitable for explaining infancy development despite its limitations. On the other hand, Bronfenbrenners bioecological theory is more suitable for explaining child development in their adolescence for they do interact more with the microsystem, exosystem and macrosystem than the infancy do.

Tuesday, November 12, 2019

Management Process and Organizational Behavior Essay

Q.1 â€Å"Today managers need to perform various functions†: Elaborate the statement Managers create and maintain an internal environment, commonly called the organization, sothat others can work efficiently in it. A manager’s job consists of planning, organizing, directing,and controlling the resources of the organization. These resources include people, jobs or positions, technology, facilities and equipment, materials and supplies, information, and money.Managers work in a dynamic environment and must anticipate and adapt to challenges.The manager looks after more than one function. Therefore, managerial practices usedsuccessfully in big firms cannot be blindly used in small-scale units. Basic managerial functionsin large and small business are the same. But the manner in which these functions should becarried out can be different.Managing starts with planning. A manager with a definite and well defined plan has morechances of success than another who tries to start an enterprise without planning. According toKillen† planning is the process of deciding in advance what is to be done‚who is to do it‚how it isto be done and when it is to be done’’. Planning involves thinking and decision and is, therefore,called a logical process. Planning is a continuous process as changes in plans have to be madefrom time to time to take care of changing environment. Many a times, a vague approach isadapted to planning in a small firm. There is a false impression that small firms areuncomplicated and do not require planning. The small-scale manager does not want to engagehis employees in the planning process due to the desire to keep the secrets with him. Personalaccountability for results, lack of expert staff and not having planning skills are other major obstacles to planning in small firms. The owner or manager of a small enterprise is too involvedin day-to-day operation to try planning before commencing actual operation. But they need pre-planning most because small firms have limited resources to conquer their upcoming problemand cannot afford to finance losses that can take place while adjusting to unanticipatedhappenings/changes.An manager needs an enterprise which can achieve the business objectives. During thefunction of organizing he leads human resources to successful completion of the project,arranging the functions and activities into different levels in the organization structure, thusfacilitating the assignments of personnel according to their capabilities, skills and motivation.According to Peter F. Drucker the process of organizing consists of three steps – activitiesanalysis, decisions analysis and relation analysis.(i). Activities Analysis: It consists of the following:a) Determining the main functions for achieving the objectives of the firm.b) Various sub-functions in each major function.c) Amount of work in each major function and its sub-function.d) The position required to perform the activities.(ii) Decisions Analysis: It consists of the following:a) Choosing the basis of departmentalization so that functions could be grouped intospecialized units. Generally, functional departmentation is appropriate for small-scaleunits. Customers, Products and territorie s are other important base of departmentalization.b) Choosing the type of organization structure so that departments are incorporated into aformal structure. MBA Sem-IManagement Process and Organizational Behavior Subject code MB0022 (iii) Relations Analysis: The authority, responsibility and accountability of every position and itsrelationship with other positions are clearly defined. Various positions are manned with personshaving the necessary education, training, experience and other qualifications.To obtain best possible benefit from each employee it is necessary to delegate functions as far-down in the organization as possible. Owners of small firms are often reluctant to delegatingauthority to their employees even though they expect them to do all functions allocated to themthat require authority. For effective completion of tasks, it is necessary that responsibilityaccompanies the necessary authority. In directing a manager has to supervise, guide, lead and motivate people so that they canachieve set targets of performance. In the process of directing his subordinates, a manager ensures that the employees fulfill their tasks according to the set plans. Directing is theexecutive function of management because it is concerned with the execution of plan andpolicies. Directing commences organized action and sets the whole organizational machineryinto action. It is, therefore, the life giving function of an organization. This is the area where themastery of the art and science of management is put to test. An manager’s leadership styledetermines the work atmosphere and culture of the organization. Above all, he must motivateemployees by setting a good example, setting practical targets of performance and providingsatisfactory monetary and non- monetary benefits.In directing a manager has to perform the following tasks:(a) Issuing orders and instructions(b) Supervising workers(c) Motivating i.e. inspiring to work efficiently for set objectives(d) Communicating with employees regarding plans and their implementation.(e) Leadership or influencing the actions or employees. Controlling is the process of ensuring that the organization is moving in the desired directionand that progress is being made to wards the achievement of goals.The answer to a profitable organization is the skill of the owner or manager to controloperations. He has to establish standards of performance, procedures, goals and budgets. Withthese guides, he supervises job progress, workers performance and the financial condition of the business. The controlling function of the owner manager includes:Setting of standards: – Control presumes the existence of standards against which actual resultsare to be evaluated. Standards can not control on their own but they are the targets againstwhich actual performance can be measured. Therefore they should be set clearly andaccurately. They should be precise, adequate, and feasible.Measurement of actual performance: – The actual performance is measured and evaluated incomparison with the set standards. Preferably measurement should be such that variation maybe identified in advance of occurrence and prevented by suitable action. Where work involved isof quantitative nature measurement of performance is not difficult. But when the work is notquantifiable measurement becomes difficult. Periodical reports test checks and audits arehelpful in precise measurement of performance. MBA Sem-IManagement Process and Organizational Behavior Subject code MB0022 Analysis of variances: – Comparison of actual performance with standards will reveal variation.Variations are analysed to identify their cause and their impact on the organization. Correctiveaction can be possible only where the causes of the problem spots have been identified.Clarification may be called for sudden variation.Taking corrective action: – Control means action on the basis of measurement and evaluation of results. Wherever possible self- determining device should be used for bringing back actualresults in line with the standards. Standards should be revised wherever necessary. Other stepsto prevent deviations can be re-organization, improvements in staffing and directions etc. Thereal meaning of control lies in the commencement and follow-up of remedial action. At thisstages control unites with planning.

Sunday, November 10, 2019

Ww1 Causes of

Who or what was to blame for World War One: Did two bullets lead to twenty million deaths When one talks about the World Wars Germany often springs to mind and is was supposedly the root cause for the First World War and even The Second World War, but was it the sole force of Germany alone or was some larger being behind this whole â€Å"setup† in which at least 20 million deaths. Let me set the scene for you and let us embark on a journey that will reach into the realm of horrific torture, an accidental assassination and the source o number of deaths equal to almost a third of the population living in the UK currently. But before I show you these plans of evil. A new country is formed in 1871; it is a day to remember, as this country will be the fundamental reason for over 10 million deaths for the years to come. Germany is formed; Britain has built up an empire stretching from America to the edge of India. Germany, being born quite late is immensely jealous of Britain and builds up an army of 2 million foot soldiers. Now it aspires to have the greatest war-fleet in the whole of Europe. But it still will be no match for the British navy. So Germany forms an alliance. Whilst the forming of alliances is materializing Germany and Britain are having a massive arms race triggered by the German’s building naval giants in factories around the whole country, many of these battleships include Dreadnoughts. Britain senses this as an immediate threat to her lands and starts building even more naval vessels. By 1914 Britain had 29 Dreadnoughts and Germany had 14. Meanwhile France has been fighting with Prussia (German state) and lost Alsace-Lorraine, a wealthy town with a varied range of abundant resources, and wants revenge. France is also in league with Britain and later is thinking about using the sheer size of the British Navy to it’s own advantage. Austria-Hungary snatched lands in Bosnia and Herzegovina in 1908 as a part of expanding their empire and becoming great again. However in Russia the Tsar of Russia is becoming less and less popular with most of the population and was facing food cuts and terrible poverty. This forced Russia to think about taking lands in The Mediterranean and near the Black Sea, which was basically a large chunk out of the Ottoman Empire. When in 1908 Austria-Hungary took control over Bosnia Herzegovina, which was a huge mistake. The population in Bosnia-Herzegovina were composed of Slavs and they wanted to be reunited with Serbia (another Slavic country) to get revenge on Austria-Hungary. This situation is exacerbated by Russia having, not only, a huge army; but also having a large influence in the Slavic countries. This connection with an unknown enemy would influence the war effort greatly and raise morale. In 1908, Austria-Hungary took over the former Turkish province of Bosnia. This angered Serbians who felt the province should be theirs. Serbia threatened Austria-Hungary with war, Russia, allied to Serbia, mobilised its forces. Germany, allied to Austria-Hungary mobilised its forces and prepared to threaten Russia. War was avoided when Russia backed down. There was, however, war in the Balkans between 1911 and 1912 when the Balkan states drove Turkey out of the area. The states then fought each other over which area should belong to which state. Austria-Hungary then intervened and forced Serbia to give up some of its acquisitions. Tension between Serbia and Austria-Hungary was high. The only method of beating a country in a war that is bigger and greater than you was to make an alliance with another country. This meant you could lead a joint attack with the combined number of legions of both countries. The two countries are united against the one. Such was the power of an alliance. The alliances formed in the World War One were the Triple Alliance (also known as The Central Powers) and the Triple Entente (Britain, France and Russia). The idea was that the two sides would cancel each other out and Europe would be at peace. These alliances created more tension between the major powers. Germany, Austria-Hungary and Italy felt threatened and surrounded by the Triple Entente. Russia was worried about Austria’s intentions towards the Balkans. A massive arms race began between Germany and Britain, with each country competing to have the biggest army and navy in Europe. In addition to this there were two crisis’ over Morocco, at the Algeciras Conference in 1906 Germany was outnumbered and had to withdraw, because of: British, Italian, Russian and Spanish support for France taking control of Morocco’s police and banks. The still fuming Germany sent a Dreadnought called â€Å"The Panther† to try and force France in stopping their invasion. Britain disagreed and sent a whole squad of warships. In this situation Germany was forced to back-down to the sheer force of the British navy. The German’s hatred for the British grew and grew. This evidence proves that the alliances formed were not for peace and prosperity, but War and destruction. Britain and Germany were forced to build ships on the account of invasion or protection. But mainly security. This didn’t do Germany any good when Italy switched sides and became part of the Entente. Militarism means that the army and military forces are given a high profile by the government. The growing European divide had led to an arms race between the main countries. The armies of both France and Germany had more than doubled between 1870 and 1914 and there was fierce competition between Britain and Germany for mastery of the seas. The British had introduced the ‘Dreadnought', an effective battleship, in 1906. The Germans soon followed suit introducing their own battleships. The German, Von Schlieffen also drew up a plan of action that involved attacking France through Belgium if Russia made an attack on Germany. The map below shows how the plan was to work. Germany would attack Belgium and defeat them within six weeks; this would gain them an access in France. Germany would then attack France from the Franco-German border and then send over 100,000 troops to outflank them, therefore occupying France. After this complicated manoeuvre was completed Germany would be free to attack Russia on its own. As you can see in this plan, Britain plays no part in this war. That was the main reason everything went wrong Russia mobilized its armies within six days and led an assault on Germany. Belgium put up fierce resistance and everything was in shambles. But after all this tension was rising when did the war break out? Or more importantly how did war break out. If we look at the dates and figures (seen below) we will easily see that in over eight days a mass war breaks out between Europe and nearly every other continent. For a country to go to war it would have to consider many things, for example: the cost of war, the casualties and suspected death rates. Communications weren’t easy. There were no long distance calls and no e-mails. Not enough technology to start a ar in no less than ten days. No, it must have been planned. A breakthrough for all the tension arrived, the pin in the balloon breezed in. A murder. Of royalty. June 28 The Assassination in Sarajevo: of Archduke Franz Ferdinand, heir presumptive to the Austro-Hungarian throne, who is killed along with his wife, Archduchess Sophie. Details July 23 Austria-Hungary sends an ultimatum to Serbia. Serbian r esponse is seen as unsatisfactory. Details July 28 Austria-Hungary declares war on Serbia. Russia mobilizes. The Great War begins. July 31 Germany enjoins Russia to stop mobilizing. Russia says mobilization is against Austria-Hungary only. August 1 Germany declares war on Russia and mobilizes. Italy declares its neutrality. Germany and the Ottoman Empire sign a secret alliance treaty. August 2 Germany invades Luxembourg. Details August 3 Belgium refuses German ultimatum. Germany declares war on France. German troops enter Russia. August 4 Germany invades Belgium to outflank the French army. Britain protests the violation of Belgian neutrality, guaranteed by a treaty; German Chancellor replies that the treaty is just a chiffon de papier (a scrap of paper). The United Kingdom declares war on Germany. August 5 Montenegro declares war on Austria-Hungary. The Ottoman Empire closes the Dardanelles. August 5–August 16 The Germans besiege and then capture the fortresses of Liege, Belgium. Details August 6 Austria-Hungary declares war on Russia. Serbia declares war on Germany. Colonel Dragutin Dimitrijevic a respected leader of the Austro-Hungarian Military Intelligence masterminded a plan to get rid of the Archduke (heir to the Austrian throne) Franz Ferdinand. The colonel (CODENAME: Apis) wanted a militaristic Austria, so he formed a terrorist group of low-lying peasants and trained them to be assassins. The assassination of Archduke Franz Ferdinand, heir to the Austro-Hungarian throne, on 28 June 1914, set in train a series of diplomatic events that led inexorably to the outbreak of war in Europe at the end of July 1914. Ferdinand – and his wife Sophie – were killed by Serb nationalist Gavrilo Princip while on a formal visit to Sarajevo. Princip shot Ferdinand at point blank range while the latter was travelling in his car from a town hall reception; having earlier that day already survived one assassination attempt. The leaders of the world leapt for a chance to vie which each other, to gain power, land and money. World War One, unlike World War Two had a variety of reasons for bloodshed and massacre. Mainly the rising of tension and the exclusion of Germany in treaties and the colonization of Morocco and the Algeciras conference. Ultimately all the tension funnelled out into a World War.

Friday, November 8, 2019

Habits and Traits of Bess Beetles

Habits and Traits of Bess Beetles Bess beetles live together in family groups, with males and females sharing parenting duties. They go by quite a few common names: bessbugs, patent leather beetles, horn beetles, Betsy beetles, and peg beetles. Bess beetles belong to the family Passalidae and share certain habits and traits. Physical Characteristics Bess beetles can be quite large, measuring up to 70 or 80 mm in length. Theyre shiny and black, which is why some people refer to them as patent leather beetles. Youll notice a pronounced gap between the deeply grooved elytra and the pronotum. A single groove divides the pronotum in two. To distinguish bess beetles from other similar beetle families, youll also need to examine the head, mouthparts, and antennae. The bess beetles head will be narrower than the pronotum, and the mouthparts project forward. The antennae have 10 segments, and are not elbowed. They terminate in a 3-segmented club. Classification Kingdom: AnimaliaPhylum:Â  ArthropodaClass:Â  InsectaOrder:Â  ColeopteraFamily:Â  Passalidae Diet Both adults and larvae feed on decaying wood. Both male and female bess beetles prepare the food by chewing it before feeding it to their young. Adults and larvae also feed on adult feces, which is predigested by microorganisms that break down cellulose. Life Cycle Bess beetles undergo complete metamorphosis. Adults mate within the tunnel system they excavate in a rotting log. The female lays her eggs in a nest made of masticated wood. Bess beetle larvae prepare to pupate about two months after eclosure from the egg. With the help of adults, the larvae constructs a pupal case made from frass. The larva works from the inside, and the adults from the outside. Adult bess beetles may live for over two years. Special Adaptations and Defenses Kids often like bess beetles because they squeak when you disturb them. Adult bess beetles stridulate by rubbing the undersides of their wings across their abdomens. Larvae can talk, too. Bess beetles have a remarkably complex language, making 14 distinct sounds. Home Range Entomologists list over 500 species of bess beetles worldwide, most living in the tropics. Just two species inhabit the U.S.

Wednesday, November 6, 2019

What You Need to Know About Susan B. Anthony

What You Need to Know About Susan B. Anthony Working closely with Elizabeth Cady Stanton, Susan B. Anthony was a primary organizer, speaker, and writer for the 19th century womens rights movement in the United States, especially the first phases of the long struggle for womens vote, the womens suffrage movement or woman suffrage movement. Susan B. Anthony Biography To learn more about the life of Susan B. Anthony, consult the biography of Anthony on this site: Susan B. Anthony Fun Facts 13 Surprising Facts About Susan B. Anthony Susan B. Anthony Pictures In this gallery are pictures of Susan B. Anthony and several related to her life. Susan B. Anthony Pictures Susan B. Anthonys Contributions to History Susan B. Anthonys work with the womens suffrage movement is an integral part of that movements history, as she and Stanton were central to that work. General accounts of the suffrage movement for the last half of the 19th century and first few years of the 20th century thus are excellent resources about Susan B. Anthonys contributions to history: The Long Road to Suffrage - a description of the woman suffrage movement from Seneca Falls to 1920 Womens Suffrage Events - a timeline of events in the history of the womens suffrage movement in America, starting with Susan B. Anthonys stand in 1837 for equal pay for women teachers. One particular incident which featured Susan B. Anthony was her attempt to vote and subsequent trial for that offense.   The trial is considered a landmark in American womens history: United States v. Susan B. Anthony National Woman Suffrage Association: Susan B. Anthony (with Elizabeth Cady Stanton) headed up this wing of the split womens suffrage movement, 1869 - 1890. Susan B. Anthony Quotes This collection of Susan B. Anthony quotes will give a flavor of her speeches and writings: Susan B. Anthony Quotes About Susan B. Anthony - Contemporary Accounts Contemporary sources writings from the time someone was alive may not include some of the analysis which historians later developed about particular individuals, but they do provide us with personal details about a persons life, and a perspective on how that individual was perceived while she was alive.   This site includes several contemporary sources about Susan B. Anthony: In these excerpts from The History of Woman Suffrage Volume 1, Elizabeth Cady Stanton describes Susan B. Anthonys entrance into the new movement for womens rights, the beginning of a lifelong friendship between the two women:Reminiscences by Elizabeth Cady StantonIn Reminiscences of Famous Women, Harriet Townsend described her own memory of Susan B. Anthony:Susan B. Anthony by Harriet A. TownsendWhen Susan B. Anthony died in 1906, she was well-known for her work in the womens suffrage movement.   This contemporary obituary says a lot about how she was known and how the media and general public thought of her at the time of her death:Susan B. Anthony Obituary - 1906 Susan B. Anthony in Context To understand Susan B. Anthonys contribution to the womens suffrage movement, these additional resources may be helpful: Timelines: Womens Suffrage Events - a timeline of events in the history of the womens suffrage movement in America, starting with Susan B. Anthonys stand in 1837 for equal pay for women teachers. American Woman Suffrage Timeline - Winning the Vote - a timeline of the state-by-state legal changes on the long road to the vote for American womenOverviews: The Long Road to Suffrage - a description of the woman suffrage movement from Seneca Falls to 1920Key Events in the Womens Suffrage Movement Seneca Falls Womens Rights Convention - 1848 - Though Susan B. Anthony did not attend this event, it was key in initiating the active movement for the vote that Anthony participated in for the rest of her life. Womens Rights and the Fourteenth Amendment: this amendment to the constitution split the womens suffrage movement, and later served as a basis for winning womens rights Suffrage Turning Points 1913 - 1917: the March on Washington in 1913 through the reintroduction of the Susan B. Anthony am endment August 26, 1920 - after Susan B. Anthonys death, the womens suffrage amendment to the U.S. Constitution finally was ratified, including women as full voting citizens Related Individuals Elizabeth Cady Stanton - Stanton and Anthony were friends and cooperated closely in their work in the womens suffrage movement.   Womens Suffrage Biographies - find biographies and other resources of other key activists in the womens suffrage movementMore articles and other resources about the womens suffrage movement: Womens Suffrage - what you need to know about the womens suffrage movement Test Your Knowledge Check out how much you know about the womens suffrage movement with this online quiz: Womens Suffrage Quiz Susan B. Anthony - in Print, in Films The following list includes books by Susan B. Anthony (some with recent analysis and commentary by editors), books about Susan B. Anthony, and books for children and young adults about Susan B. Anthony: Susan B. Anthony Books In 1999, a documentary on Susan B. Anthony and Elizabeth Cady Stanton and their suffrage work premiered. Not for Ourselves Alone

Sunday, November 3, 2019

Business and Project Management Coursework Example | Topics and Well Written Essays - 2000 words

Business and Project Management - Coursework Example In alignment to the intention of the brand, the statistical report regarding the market share of motorcycle manufacturers in the UK also appear in favour [4]. A close evaluation of the brands’ performance reports revealed about its positive growth figures in the present market scenario. If seen from the statistical perspective, one can say that this brand has successfully attained a growth figure of 12 per cent in terms of product and service sale by the end of 2012. Justification regarding this aspect can be provided depending on the fact that each of these growth reports was released by the ‘Society of Motor Manufacturers and Traders’. In an associate manner the sales figure attained by Vauxhall Motors during the period of 2013, hiked the previous year sales figure by 1.93 per cent. The financial year (2013) of this brand was accompanied with the release of multiple new models of commercial cars and passenger vans [6]. However, despite the slight drop in the sales figures of 2014 (11.14%), still Vauxhall Motors succeeded in turning the UK as its fourth largest profitable market. In addition, implementation of innovation within the provision of financial and comprehensive customer services have further helped in terms of boosting up the sales figures of 2014. Taking reference of all these aspects, one can easily say that Vauxhall Motors will have a profitable business opportunity in context to plunging its feet in the heavy two wheeler segment [6]. However, within the forwarding initiative Vauxhall Motors will have to make significant amount of investments to determine its potential and expertise of penetrating the over flooded two wheeler manufacturing and distribution segment within the UK. Likewise, the brand will also have to strategise and formulate effective marketing and customer convincement techniques in order to turn its heavy motorcycle manufacturing initiative into a success [6]. In addition, one

Friday, November 1, 2019

Postmodernism in Preciousness, Endgame, and The Simpsons Essay

Postmodernism in Preciousness, Endgame, and The Simpsons - Essay Example Lispector allowed the reader to be a part of the text in stating in the beginning of the chapter that: â€Å"And within the mist there was something precious. Which do not extend itself, did not compromise itself nor contaminate itself. Which was intense like a jewel. Herself† (102). Another textual example in the chapter is when Lispector described the reality after the character passed through her imaginative scenes. She described it as: â€Å"When suddenly everything became unimportant and more rapid and light, where her face revealed freckles, her hair fell over her eyes, and where she was treated like a boy† (105). The character disappeared, and the reader became a part of the text as the character’s environment became real again. Lastly, the presence of the reader appeared as she â€Å"dressed hastily and downed her coffee in one gulp. She opened the front door. And then she no longer hurried† (107). This is a manifestation of the duality of silence in Lispector’s work, which is a character of a postmodernist literary artist. This dual structure is a character of her fiction that adds tension to the texts while creating the contextual silence on her works (Fitz 421). In relation to playwrights, postmodernism can be defined as the manner of standing out from the current rules. In this manner, the playwright, along with the artist, works without following the rules because they create the rules while creating the piece per se (Counsell and Wolf 55). It deviates from the usual realism and is considered as an important part of the pre-World War II plays that manifest metaplays. With this on hand, one of the best examples of postmodernist play is the Endgame written by Samuel Beckett. According to Keshavarz, as a postmodernist play, the characters in the Endgame represent a natural form of sadness (140). He presents a modern status of a person who fears and leans on a goddess with bitterness, doubt and indifference. On the ot her hand, it represents the modernity of a selfless person who lacks the stability of his identity but still manifests social awareness. On the part of the audience, Beckett deviates the ideas and views of the audience from the formal work of dram and injecting postmodernism by bringing the audience in the middle of reality and real-play. He believes in the notion of metatheater that the world is a stage. In this manner, the audiences become characters of the play while experiencing the experience of the characters that they have chosen to be. It can be inferred that postmodernism, in the light of the Endgame, tries to eliminate the potential characters of modernism that alienates reality from theater, or vice versa. Therefore, the Endgame eliminates the rules of basic drama and theater and allows rebuilds it in a manner that the play can be grasp juxtaposition with life itself. The postmodernism manner in the Endgame can also be considered as a literary strategy by Beckett by destr oying the irony of a parody (Keshavaraz 140-142; Rahimipoor and Edoyan 102). In the light of television shows, one of the most popular and long-running postmodern shows is The Simpsons. One of the most explicit characteristics of

Wednesday, October 30, 2019

Why is it important to differentiate your product Would a cost Essay

Why is it important to differentiate your product Would a cost leadership strategy be more effective Why or Why not - Essay Example The use of internet and cell phones made the purchasers to shift from 'marketplace'1 to the 'marketspace'2. The companies are to appeal both to the cognitive as well as to the emotional aspect of the buyers to sell their products in this fast changing consumer preferences. The task of diversifying the product or value addition to it to get more consumer acceptability is becoming more and more complex in this era. The marketing stalwarts are to devise different strategies to achieve success in making their product moving. Sometimes they differentiate their product and justify the demand of a premium price for the same while in other cases they reduce the manufacturing cost of the produce thereby making it cost effective. In this paper discussions are made regarding pros and cons of two such strategies such as 'Product Differentiation' and 'Cost Leadership' strategies and an analysis has been made regarding their applicability in different situations. Before the globalization process started the national firms were catering to the local needs thus making the choices for the customers restricted. But with globalization new companies with a varied range of products entered the market giving customers ample scope to choose the best among them. This gives rise to hyper competition for the companies to sell a similar kind of product. As choosing among the multiple products mainly based on differences between various attributes of the same, addition of value to the product as per the requirement of the customer became one of the important marketing strategies. "Product Differentiation is the modification of a product to make it more attractive to the target market" (http://en.wikipedia.org/wiki/Product_differentiation). It can be used as a complement or means of implementing market segmentation. This differentiation is being made to create a perception of uniqueness in the mind of a customer(Irene, Handouts). It gives a brand reputatio n thus catching the emotions of the customers to buy the particular product even if by giving a premium price. With product differentiation the changing needs of the buyer is duly addressed. The techno savvy buyer gets the goods with latest technology with a high price he has to pay for the same. For example "General Motors offers the OnStar system on selected vehicles. It includes GPS(Global Positioning System)for locating the car's exact position. The Driver can locate te nearest ATM, Hospital, convenience store, gas station and even book a room. The driver can a press a button in case of emergency to get immediate aid."(Kotler 318). Thus differentiation of the product always preceeds market research and study of various market segments. Some products are capable of high degree of differentiation (e.g. automobiles, furniture, cell pones etc.) while the scope for differentiating some other are very very less( e.g. steel). This differentiation can be made to various product attributes such as its form, features, performance, durability, style etc. Also we can differentiate a service by modifying its mode of delivery, installation, training etc. The primary task in this process is determing that "which features are worth adding. For each potential feature the company sould calcualte the customer value

Monday, October 28, 2019

Tensions in Colonial Society Essay Example for Free

Tensions in Colonial Society Essay Both the Bacon Rebellion and the Pueblo revolt were ignited by the mounting apprehension of preserving safety and a way of life as white settlers and Native Americans come together on the same land. Because European settlers were trying to settle on land already occupied by Indians, many conflicts arose. For many white settlers, as was the case in the Bacon Rebellion, the clash of the two races caused an uneasy apprehension. The white settlers felt threatened by the Native Americans, and, as a result, resorted to unnecessary violence. In the Bacon Rebellion, this ongoing tension caused farmers to kill many Indians, even friendly ones. For many Native Americans the clash of the two races resulted in tension as the white settlers tried to change the Indian way of life. This was true of the Pueblo Indians in present day New Mexico who felt threatened by the Spanish because they were trying to impose an unfamiliar, Christian life on the Indians. With both groups we see a common tension: people are feeling threatened as a result of Native Americans and hite settler interaction. As with these uprisings, tension created by Indian/colonist interaction in colonial America often erupted into violence and rebellions. While the Pueblo revolt was mainly the result of Indian/Colonist conflict, the Bacon rebellion had many more aspects to it. The Bacon rebellion was inpart fueled by the strain between the most elite Americans and everyone else. For Bacon and his friends, who were upper-class Englishmen who came to America, the tension came rom resentment toward the Virginia elite for not including them. For the farmers, it was the belief that the elite government did not understand or sympathize with the danger Indians posed to farmers. When the two groups teamed up to fight out the tension against the elite, many Indians and innocent colonists were killed and injured. The deaths occurred when colonists vented their frustrations by taking matters into their own hands against the Indians and, later, fighting against the litists. The Bacon rebellion started because of uneasiness about the Indian situation, but it ended as a full on war with the elites. It was this end that reflects the growing tension between the elite and the common people of American colonial society. Colonial society in America was a new frontier for those that settled there. As with anything new, problems and tensions arose and these growing tensions were reflected in uprisings, such as Bacons Rebellion and the Pueblo Revolt. One of the ain tensions of colonial America was the result of two very different cultures, the Indians and the Colonists, wing for survival in this new situation. Other tensions arose when tight knit elitist groups excluded and disregarded the well being of others. Tensions between races and different social classes werent new to history. Nevertheless, their ubiquitous quality does not make them any less significant, nor did it help the colonists when the tensions exploded into Bacons Rebellion and the Pueblo revolt.

Saturday, October 26, 2019

Hepatitis C Essay -- essays research papers

Hepatitis C has been referred to as a "Silent Epidemic," since it usually progresses slowly over many years. Most people who are infected with hepatitis C are not aware of any noticeable symptoms for as long as one to two decades after they are infected. In fact, by the time symptoms appear, the virus has probably already begun to damage the liver. If the liver is injured and stops functioning, death will always be the outcome (Lieber). Liver failure from chronic hepatitis C is one of the most common causes of liver transplants in the United States. Hepatitis C is an inflammation of the liver’s cells and tissues caused by the hepatitis C virus (HCV). Hepatitis C virus is blood-borne, which means it is spread through blood and blood products (Grady). After the discovery of hepatitis A virus in 1973 and hepatitis B in 1963, any cases of acute or chronic hepatitis or cirrhosis without identifiable causes were placed into the category of non-A non-B (NANB) hepatitis(Palmer108) . In 1989, a major breakthrough regarding this mysterious and intriguing disease occurred, the hepatitis C virus was identified. Now, most hepatitis C viruses are believed to be the viruses responsible for about 90 percent of all cases of NANB. According to the U.S. Centers for Disease Control and Prevention, approximately 1.8% of the U.S. population, or 3.9 million Americans, have been infected with this chronic blood-borne virus. About 50,000 new cases of hepatitis C are estimated to occur in the United States each year. Without proper and effective treatment the death rate is expected to triple in the next fifteen years (Turkington 9). Seventy-five percent of those infected with the virus will develop chronic hepatitis and half of those people will develop cirrhosis of the liver Due to the fact that Hepatitis C is blood-borne there are many ways a person can contract HCV, and many types of people who are more prone to it than others. The most effective mode of transmission is when an infected persons blood gets into the bloodstream of another person. HCV can only enter the bloodstream by first getting through the protective covering skin, this is called percutaneous route. Common routes of infection include needle stick accidents among healthcare workers, shared needles that are used during body piercing, injecting illegal drugs, and tattooing (Turkington 19). Another common ... ...eek so many people ignore them and go back to their normal lives. Once most people become infected with acute hepatitis C and are untreated, patient will develop chronic hepatitis. In fact 85 percent of infected people develop chronic hepatitis C (Palmer 118). Chronic hepatitis can lead to cirrhosis of the liver, liver failure, and liver cancer (Hoofnagle). If Chronic hepatitis does not reverse itself, and a liver transplant is not done the liver will shrink, the kidneys will fail, and the patient will lapse into a coma (Bushie). The main symptom for chronic hepatitis in jaundice. The result is the yellowish appearance of the skin and eyes and the urine will become a brownish color (Leiber). Many patients have complained of red itchy rash on their bodies and pain in their lung and abdominal areas (Bushie). The limbs often swell, and many experience brain fogs, where they forget what is happening around them. There are many symptoms that hepatitis C shares with other viruses, this is what makes it difficult to diagnose. After the diagnosis is made from the necessary blood tests, the doctor will perform a liver biopsy to determine the extent of inflammation and damage in the liver.

Thursday, October 24, 2019

Motivation Techniques Essay

This essay will explain how groups are formed and will discuss how motivation techniques promote effective group work and a well motivated workforce. A group can be defined as â€Å"two or more freely interacting people with shared norms and goals and a common identity† (Kreitner, Kinicki and Buelens 1999). However there is no specific definition to the term ‘group’. Cartwright and Zander (1968) identified eight different definitions of the word all which represent a particular perspective on the most important characteristics of a group. Mullins (2005) states that â€Å"groups are deliberately planned and created by the management as part of the formal organisation structure.† Managers create formal groups to accomplish goals and serve the needs of the organisation. The main purpose of formal groups is to perform specific tasks and achieve specific objectives defined by the organisation. However informal groups are not formed or planned by the management. These develop naturally among employees through communication and interaction within the workplace. Informal groups tends to satisfy employees social needs, for example developing meaningful relationships with other people and obtaining and sharing important information. Tuckman’s (1965) suggests that a group normally has to pass through a five stages before it functions in an effective way. His theory focuses on the way which a team tackles a task from initial formation if the team through to the completion of the task. The five stages of Tuckman’s theory are forming, storming, and norming, performing and adjourning. At first stage the group get together and initially gets to know each other. Next stage the members become more aware of each other, they become more willing to bring their views into the open. There will be disagreements within the group about the task and the arrangements, which may lead to conflict. Norming is a stage where employees cooperate with each other and they tend to get their work done. In the next stage the group works well and gets on with their job to the required standard and achieves its objectives. The last stage of the Tuckman’s theory is adjouring, groups members usually disperse at this stage and they tend to reflect on the task that has been carried out. According to Cole (2004) â€Å"motivation is the term used to describe those processes, both instinctive and rational, by which people seek to satisfy the basic drivers, perceived needs and personal goals, which trigger human behaviour†. However Cook et al. (1997) stated another interpretation of motivation whereby it is â€Å"A conscious decision to perform one or more activities with greater effort then other competing activities.† Nowadays managers use motivation techniques in a number of ways, one that every manager commits themselves and set company goals for their employees to aim for. By doing this it identifies the purpose of their job. Motivation techniques that are likely to be used in the industries are, employee of the month schemes, where workers are recognised for their hard work. To increase motivation and group work within the childcare industry one should consider Herzberg’s Two Factor, which is hygiene and motivating factors. His theory hinges on the idea that people are motivated by the things that make them feel good about work. In childcare it is important to ensure hygiene factors such as the conditions the employees work in are satisfactory and comfortable along with security of having an acceptable amount of wage and benefits such as pension. Another way to motivate employees is by reinforcing them. Skinner’s theory simply states that the employee’s behaviour that leads to positive outcomes will be repeated (skinner 1953). Managers should positively reinforce employee behaviour that will lead them to positive outcomes. For example if the teacher has a plan for an activity, the manager should encourage the teacher to the activity or the play. By this he/she will feel valued and would like to make further contribution in other tasks. Some employees are quiet and some are loud. Despite people’s personality, everyone should have a say in discussion or at least be given the chance. Managers should be able to build up self esteem in their employees and for their employees to build up to their work colleagues. This effectively motivates the whole workforce. If there are new employees in the nursery and one is quicker in adapting things whereas the other one might take time to get used t new things and the environment. Managers should recognise this as not everyone is same in any workplace. It is important for a manager to recognise this and treat them same. Abraham Maslow is an early theorist who realised that people have more than just social and physical needs. He studied human motivation from which he then invented a theory of needs of hierarchy, with basic needs at the bottom and higher needs at the top. Maslow’s theory relates to the motivation techniques of today’s industry as it displays how managers to this day follow the same method of systematic movement up the hierarchy. Schools and community or day nurseries needs a stable environment in order to maintain a suitable place for employees to work in. To motivate staff into working, the surroundings are needs to have adequate lighting, warmth and shelter and free from threats as much as possible. For example people do not want to enter a working zone and feel threatened each day that they are going to be physically got hurt or even catch a cold when there is no heating in the workplace. This is manager’s job to ensure that every angle is covered so that their employees enjoy coming to work. Schools should have right teaching resources to motivate their staff. For example in the classroom a teacher should have a computer and all the equipments that he/she need for their lesson. These are the basic needs of any employee working in the early years that need to be met so they can work to their fullest potential. Another motivational technique to promote effective group work and a well-motivated workforce is communicating with employees. As suggested by the expectancy theory, workers expect some sort of reward as an outcome of the effort that they put in. It is vital that communication is a two-way action as not all people have the same incentives as mentioned before, one working in the childcare vocation may get to an advance whereas another may prefer the option to work in another group, such as a different year group or subject. So it is essential that one projects their desired needs in order for them to be met. However, a lack of communication can de-motivate employees and one should be careful to not send out misleading information. Managers who do not meet their demands as promised, causes a break-down in communication and trust, which will therefore lead on to cause motivational problems, but if managed to maintain this trust then they will be more valued, as will their decisions, upholding the employees will to co-operate. In conclusion this essay shows different ways how groups are formed and different types of groups such as formal and informal groups. There are many ways of motivating employees but employers should know that there are different ways of rewarding. Different theorists have different ways of explaining their techniques on motivating workforces.   

Wednesday, October 23, 2019

Jamie Oliver’s language Essay

In this essay I am going to be talking about the different aspects of Jamie Oliver’s language and how he adapts and uses these language features in his TED speech.Jamie Oliver successfully uses many language devices in order to help him communicate with his audience. I will be looking at Oliver’s and examining how effective it is and also some features of spontaneous speech, which are shown in the speech.Firstly, I am going to look at Jamie Oliver’s planned and prepared language that he uses. Oliver has obviously taken time to adapt his lexis to suit his American audience.Phrases such as â€Å"health care bills† and â€Å"dollars† are some examples of this. Using these Americanisms would ensure that his audience understands the full message that he is trying to put across to them. If he used phrases such as â€Å"pounds† it would weaken the emphasis he is making he could not have full communication with his audience, as they would struggle to understand the extent of his message. Next, there is a strong display of socialect and idiolect in Jamie Oliver’s spontaneous speech. This shows that even though he has adapted some of his lexis and thought about what he is going to say, he often switches to spontaneous speech and his socialect and idiolect come through. An example of this is â€Å" ain’t†. As this is a very-English word, it shows that this would be part of Oliver’s spontaneous speech. However it may also have been planned as it shows that even though he is trying to adapt to suit his audience he may have used â€Å"ain’t† to keep his identity and also make his speech more engaging.Pauses are a common prosodic feature in Jamie Oliver’s speech. Often used subconsciously, they are slight breaks in speech that can be used in spontaneous speech for the speaker to think about what they are going to say next, but also can be planned in order to add effect. An example of are long pause is â€Å"let’s be honest guys,(0.5) you ain’t got that cash.† This is a clear example of using pauses to add effect. Its hows that Oliver is passionate about the subject he is talking about and adding as light humourous edge to his talk.All these are features that Jamie Oliver uses in his speech, whether it be spontaneous or planned. Each one has a specific effect and adds to his speech. Altogether I have found that these features are integral to the success of his speech and enhance the message he is bringing to his audience.