Thursday, October 31, 2019

Pompeii Essay Example | Topics and Well Written Essays - 3000 words

Pompeii - Essay Example The Greeks defeated the Etruscans in both 524 and 474 BCE and probably proceeded to take control of Pompeii (qtd. from Pompeii before the Romans involvement, 2005).As evidence, the hill near the mouth of the Sarno River or Sarnus River was used as a safe port by Greek and Phoenician sailors (Wikipedia, 2005). This theory is supported by the architecture and art in Pompeii that was influenced by the Greeks, such as the temple to Apollo mentioned earlier. Around 420 BCE the Samnites came to occupy the city of Pompeii (Leppman, 1968). The Samnites seem to have imposed their language, customs, and civic organizations upon Pompeii (qtd. from Pompeii before the Romans involvement, 2005). Rome entered onto the Pompeiian scene following the end of the Second Samnite War (290 BCE). The Romans landed their fleet at the mouth of the Sarno and sacked neighboring Salerno (Leppman, 1968). For almost two hundred years, however, the Roman rule of Pompeii was more a "matter of form than substance" (Leppman, 1968). Pompeii was under Rome's control, however, its inhabitants were practically independent (qtd. from Roman involvement in Pompeii, 2005). Although Pompeii was practically independent, its future was tangled with that of Rome. The Roman success in war over Carthage in the Second Punic War (218-201) and Romes victorious marches into Greece, Asia Minor, and Syria paved the way for an abundant economic enterprise for the Pompeiians (qtd. from Roman involvement in Pompeii, 2005). A colony of Roman veterans was planted in Rome as a punishment for Pompeiis role in the Social War (Carrington, 1994). Scholars have pointed out, however, that the Pompeiians ended up profiting in the whole ordeal, since Pompeii was quick to take advantage of the Roman destruction of neighboring Stabiae. This conflict did, however, mark the end of Pompeii's virtual independence, as Rome became much more active in Pompeii. This shift in power is borne out by the fact that ten years after the Social War, Rome renamed Pompeii Colonia Cornelia Venena Pompeianorum (qtd. from Roman involvement in Pompeii, 2005). Physical description The city of Pompeii has an irregular shape because it was formed by a prehistoric lava flow. Excavations indicate that the southwestern part of the town is the oldest, but scholars do not agree on the stages by which the walls were expanded or on who the builders were. The walls are 2 miles (3 km) in circumference, and they enclose an area of about 163 acres (66 hectares). Seven city gates have been excavated (Description of the remains, 2005).

Tuesday, October 29, 2019

Lexus Rx Essay Example for Free

Lexus Rx Essay In 2008, Toyota was ranked the world’s number one in motor vehicle production volume with more plants opening in Canada, USA and Mexico. Due to the worldwide recession, Toyota sales dropped tremendously, thereafter. Beginning in early 2010 Toyota’s sales, and stock price dropped again due to accelerator and brake problems with a number of their cars. People were afraid to drive and purchase the 2010 Prius as the brake problems occurred mainly in this line of car. Toyota was no longer ranked number one in motor vehicle production due to the problems the company faced in 2010. Currently in 2011, Toyota is concerned about how well the Lexus RX 330/350 has done in the North American market? Due to this matter, the operation management team has produced a report that concerns the Toyota Motor Company’s North American Lexus production decision made a few years ago and the production of Toyota’s strategy for North America. This report includes a critical assessment of the Toyota Production System (TPS), which will be used to demonstrate the basic understanding of the TPS and describe the TPS as a total entity. This report also includes a grid analysis which will be used to help make the North American plant location decision for the Lexus RX 330 Line by listing the key factors as either exogenous or endogenous, stating any relevant assumptions or constraints, and assigning two scores to each factor: one for production of the Lexus RX 330 at the Toyota Motor Manufacturing of Canada (TMMC), and one for production at a Toyota factory in the USA. Lastly, this report will recommend an appropriate production capacity to be built at TMMC, and it will assess Toyota’s current regional production strategy in North America. The operation management team will do a thorough assessment of Toyota production in North America. This report will mention the purposes and advantages of the TPS. It will show the profit earned from the Lexus RX 330 line over the five years period from 2003 – 2007, and how well it is currently doing in 2011. This report will evaluate the current distribution of Toyota production in North America and suggest why Toyota has chosen to produce its cars for the North American market in the current manner.

Saturday, October 26, 2019

Investigation of Subgrade Reaction Coefficient in Sandy Soil

Investigation of Subgrade Reaction Coefficient in Sandy Soil Numerical investigation of subgrade reaction coefficient in sandy soils Adel Asakereh1, Hassan Jamali2*, Masoud mossafa1 1 Civil Department, University of Hormozgan, Bandar Abbas, Iran 2Young Researchers and Elite Club, Sabzevar Branch, Islamic Azad University, Sabzevar, Abstract The soil-foundation interaction is one of the most important issues in geotechnical engineering relating to soil behavior against side loading. Winklers model is the first and simplest method for considering the soil-foundation interaction. Because to determine the coefficient of the subgrade reaction of the soil before designing structure is vitally important, so, experimental, analytical and numerical methods have been proposed. This research chose a ground characteristic that is in Bandar Abbas (Iran). Purpose is to compare the proposed experimental formulae for determining the coefficient of the subgrade reaction with its corresponding values resulting from the behavioral models. Finite element analysis was performed by Plaxis software and important parameters were proposed by the engineers. Results show increasing footing diameter leads to a decrease in the coefficient of the subgrade reaction due to increasing load area which results in increasing settlement. It is found that i ncreasing each of the strength parameters of the soil can be expected to have an effect on increasing the subgrade reaction, although this increase depends on footing diameter. Also in sand soils, the soil cohesion effects on the increase of the subgrade reaction coefficient more than the internal friction angle. Keywords: Elasticity coefficient, Mat foundation, Subgrade reaction coefficient, Bandar Abbas City, Finite element analysis Introduction The application of mat foundations has a long history. This type of foundation has shown a very good performance in transferring construction forces to the ground. Currently in most cases, engineers use a constant value for the subgrade reaction coefficient to analyze the mat flexible foundations. This constant is obtained from geotechnical experiments such as plate loading. Many researchers have studied soil subsidence and the subgrade reaction coefficient using plate loading test [1-9]. Nomenclatures B Diameter of footing (m) Minimum marginal dimension of footing(m) c Cohesion (kPa) d Plate thickness (m) Df Embedment depth of foundation(m) Soil elasticity modulus (kPa) EI Flexural rigidity of footing (kN.m2) EA Axial rigidity of footing (kN.m2) Height of ith layer (m) If , Is, Id Dimensionless coefficients ks Subgrade Reaction Coefficient (kN/m3) m Constant coefficients P Vertical pressure (kPa) Greek Symbols v Poisson ratio Vertical Displacement (m) Angle of friction (Degree) Unit weight (kN/m3) Dry unit weight (kN/m3) The application of a uniform reaction coefficient over all of the foundation means neglecting the conditions of a continuum for the soil and the effects of cut in the soil layers. One of the fundamental issues in designing and calculating the foundations is the problem of soil-foundation interaction. It is very important to study soil behavior against the external loads. Soil behavior depends on many factors such as moisture content, density, particle-forming mineral types, grain size, grain shape, grading curve, current state of the stress, stress history, pore pressure, saturation point, permeability rate, time, and temperature. In order to study the soil-foundation interaction, many researchers have tried to investigate soil behavior against the imposed loadings to find a model for it. The material model is a mathematical relation for describing the stress-strain behaviour of a small element of the environment. As previously mentioned, soil behavior depends on many factors it is extremely difficult to provide a model including the effects of all factors. Thus in solving the problems of soil-foundation interaction, some properties of the soil are usually excluded to provide a simpler model with fewer parameters. Since the soil at a macroscopic scale is considered as a continuum, the simplest possible state we consider the soil as a linear, homogenous and consistent elastic semi-space. In such a case, the soil will have two parameters Poisson coefficient and the elastic modulus. The first and simplest model for investigating the soil and foundation interaction is a model offered by Winkler in 1867 [10]. In this model, the deformation of any point of the soil ground is related to the point stress value and the effect of the stresses and the changes in other points are neglected. In this model, soil is replaced with a set of independent springs with a specific stiffness coefficient. Thus, only one single parameter is considered for the soil, that is, the subgrade reaction coefficient represented by ks. One of the most prominent properties of this model is its discontinuous behavior [9]. The subgrade modulus is not a fundamental soil property and its magnitude depends on many factors including the shape of the foundation, the stiffness of the foundation slab, the shape of the loading on the foundation, the depth of the loaded area below the ground surface, and the time. As such, it is not constant for a given type of soil, making the estimation of a single general value for design a challenging task [11]. Consequently, researchers have suggested several ways to determine this parameter and several formulae have been offered for determining ks. Many researchers have worked on the calculation of subgrade reaction coefficient. Ismail [12] studied the applications of the artificial neural networks (ANN) and the simple-multiple regression analysis to predict the deformation modulus and the coefficient of the subgrade reaction of the compacted soils from the compaction parameters (such as maximum dry density (MDD) optimum moisture content (OMC), field dry density (FDD), and field moisture content (FMC)). Ding [13] compared four typical methods for determining the coefficient of the subgrade reaction including the test method, Lis method, MIDAS method, and finite element method. He showed that the test method is the one preferred by the designers, that the tangential coefficient should be in a range of one to two-third of the normal coefficient. The internal force of subway structures can be obtained by the test method and modified by a correction factor that is 1.05. Barmenkova et al. [14] carried out calculations of plates on a n elastic basis with variable and constant coefficients of subgrade reaction. In this paper, the calculation of plates bending was carried out by the finite element method. The results were compared for different models of plates on an elastic basis. For a two-layer plate on an elastic basis, which had heterogeneity in the plan, the results of calculation took into account the increase of the height of the upper structure. Kobayashi et al. [15] calculated the subgrade reaction coefficient for a foundation soil in an open pier using an extended Kalman filter (EKF) based on measurements taken during in situ horizontal loading tests on a pile. The numerical results would provide useful information for the future design of open piers and their foundations. Liao [16] reviewed the limitations of various simple and complex methods available for estimating the coefficient of subgrade reaction k, and developed a new method using the results of the plane strain finite element analyses of a loaded beam or slab resting on the surface of a homogeneous elastic soil layer. Although many studies have been carried out on determining the subgrade reaction coefficient, the dependence on many parameters leads to further parametric studies. Experimental and theoretical formulas for determining ks are based on available data from limited sites with some assumptions, so it is possible for them not to have sufficient precision in all areas. Therefore, determining the subgrade reaction coefficient in specific areas such as Bandar Abbas city and assessment of the effective parameters on subgrade reaction coefficient is vital. Besides, the Increasing in footing width, increases effective depth. Therefore, determination of ks in footing with more width is more complex especially in layered soil, because ks obtained from plate load test is different from ks under real loading of structure. Thus investigation of the footing width and the strength parameters of the soil on ks is needed. Performing plate load tests with large diameters is expensive and difficult, thus the present study uses finite element software of Plaxis to investigate the effect of the aforementioned parameters. Parametric studies on subgrade reaction coefficient of sand soil in Bandar Abbas city are few, so this paper uses geotechnical data of a site in Bandar Abbas city (Iran) to determine subgrade reaction coefficient by using of theoretical, experimental relations and numerical methods. Besides, the effects of the strength parameters (c,) and B on subgrade reaction coefficient are investigated too. This study is carried out by using and verifying numerical methods and ensuring the accuracy of the software. Numerical analysis has been done by finite element method using Plaxis software [17]. Analytical methods of subgrades reaction coefficient In order to obtain ks, one can generally apply plate loading, consolidation, triaxial, and CBR tests and experimental and theoretic relations provided by researchers [18]. Among them, plate loading testing and the experimental method are considered the most common methods. In this paper, experimental and theoretic methods are considered. There are several relations including Vesic [19], Biot [20], and Bowles [6] as well as relations resulting from elastic theory from elasticity theory to determine subgrade reaction coefficient. Biot [20] solved the problem of an infinite beam on a linear elastic subgrade and provided Eq. (1) for subgrade reaction coefficient. (1) Vesic [19] developed Biots work [20] and suggested Eq. (2) for the relation between ks and elastic characteristic of soil: (2) He also showed the difference between Winkler method and continuum does not exceed 10 percent. Bowles [6] showed the numerical value of in ordinary condition may be approximated by 1, and in most cases subgrade reaction coefficient is obtained by Eq. (3): (3) Using elasticity theory is another way to approximate ks. By reformulating the elastic subsidence in rectangular foundation, we obtain the following [21]: (4) These values are determined based on tables in the elastic subsidence section of basic soil mechanic references. m is the coefficient which is equal to 1, 2 and 4 for corner, edge, and center, respectively. ks is calculated in corners assuming m = 1 from Eq. (4) and it is multiplied by 0.5 to obtain k edges or by 0.25 to obtain ks centers. According to the above discussion, it can be seen that there are several formulae to determine soil subgrade reaction coefficient. General and geotechnical properties of the soil The site of the residential- mercantile building is located to the west part of Bandar Abbas city in Iran (Fig. 1) with seven floors over the ground floor (parking lot). The depth of the foundation settlement is equal to the height of the foundation as 1 meter and no groundwater grade was observed until the end of the excavation depth. In order to identify the underground layers, five boreholes were excavated (three 15-meter boreholes and two 20-meter boreholes) using a rotary drilling machine. During soil boring, some samples were extracted for laboratory experiments. After completion of the field operation, the extracted samples were tested for grading, Atterberg limits, moisture content of the natural soil, and direct shear test. The studies on the layers of the site soil show the soil type in the foundation subgrade is mainly silty sand (SM) from the ground level down to the depth of 8 meters, and the soil type is bad-grained sand (SP) from the depth of 8 meters downwards. Fig. 1. Location of Bandar Abbas city. Considering the field and laboratory experiments in order to determine the scale of soil subsidence and the bearing capacity of the site soil, the required parameters were selected from the five excavated boreholes as shown in Table 1. The data of the samplings is available down to 20 meters deep. The soil type was given down to the depth of the foundation effect (around 30m). Moreover, the soil weight at the 20 to 30 m depth (layer 11) has considered as being constant. Table 1. Soil properties of the site No. of Layers Dep. (m) Soil Type SPT (Ncor.) à Ã¢â‚¬ ° (%) c (kPa) à Ã¢â‚¬   (ËÅ ¡) ÃŽÂ ³ (kN/m3) ÃŽÂ ³d(kN/m3) 1 0-2 SM 21 4.1 0 29 17 16.3 2 2-4 SM 17 16.6 0 29.1 18.6 16.23 3 4-6 SM 24 14.9 0 28.8 18.6 16.18 4 6-8 SM 33 15.2 0 30.4 18.9 16.4 5 8-10 SP 38 23.7 0 32.4 20.1 16.24 6 10-12 SP 39 18.1 0 31.2 19.4 16.42 7 12-14 SP 47 24.2 0 31.2 20.6 16.58 8 14-16 SP 50 19.8 0 30 20 16.69 9 16-18 SP 50 19.2 0 32 20 16.77 10 18-20 SP 50 18.8 0 32 20 16.83 11 20-30 SP 50 18.8 0 32 20 16.83 Equations (5) and (6) were used to determine the elasticity modulus of the soil [6]: (5) For unsaturated sands, and (6) For saturated sands. Thus, the elasticity modulus for each of the soil layers is calculated based on the above formulae and the results are shown in Table 2. Table 2. Elasticity modulus of the soil layers No. of Layers SPT (Ncor.) Es (kPa)-dry 1 21 18000 2 17 16000 3 24 19500 4 33 24000 5 38 26500 6 39 27000 7 47 31000 8 50 32500 9 50 32500 10 50 32500 11 50 32500 Numerical analysis procedure First, the results of Brian Anderson et al. [22] were analyzed with Plaxis to verify the software. Brian Anderson et al. [22] performed in situ testing and numerical investigation for predicting settlement of shallow foundations. Accordingly, a 1.8 m diameter concrete footing was statically load tested. Prior to construction, in situ standard penetration test (SPT), cone penetration testing (CPT), dilatometer (DMT), and pressuremeter (PMT) and laboratory tests were performed to determine engineering properties of the soil. A reinforced circular 1.8 m diameter 0.6 m thick concrete footing was constructed using a corrugated pipe coupler as a form. To overcome a thin hard layer surface crust, the footing was embedded 0.6 m into the ground. The groundwater table was at 1.7 m from the ground surface, as illustrated in Fig. 2. Static load was 222 kPa. Due to the symmetry, half of footing with the width of 0.5 B is modeled asymmetrically. Avoiding boundary effects, a 6.5ÃÆ'-5 m model was s elected. The model depth was taken as 6.5 m, that is approximately equal to 4B=6.8 m and the width of the model was taken as 5 m, that is approximately equal to 3B [23] . Results proved that the displacement did not reach the boundaries in the analysis. To investigate the mesh dependency, a number of trial analyses were conducted through the verification study. The model included 1971 nodes and 235 elements. The boundary lines were defined as the limited deformation in horizontal direction and free deformation in vertical direction, and limited deformations both in horizontal and vertical directions at the lower boundary as showed in Fig. 3. Trial analyses proved that with specified dimension and meshing, errors would be negligible. In order to do the modeling with finite element method, the 15-node triangular element was used according to Fig. 4. Table 3 presents the input parameters used for the FEM analyses. Figure 5 presents applied stress-settlement diagram obtained from Plaxis in this study and reference to a point located under plate. There was a negligible difference between two diagrams, so Plaxis was suitable for analysis. Fig. 2. Geometry and mesh of the verification model.  Ã‚  Ã‚   Fig. 3. Soil-footing profile of verification model [22]. Fig. 4. 15-node triangular element. Table 3. Soil properties used in verification according to [22]. Bottom(m) (kN/m3) (deg) E(Mpa) c(kPa) 1.64 18.9 31.4 14.5 0 2.5 17.3 30.1 12.5 0 3.17 15.7 28.6 10.50 0 6.5 14.2 27.1 8.5 0 Fig. 5. Applied stress-settlement diagram. After software verification, the model was developed for determining the subgrade reaction coefficient of Bandar Abbas city and parametric study. In the created model (which included 2011 nodes and 256 elements), the loading was uniform and, a rigid foundation was considered in all phases of analysis. Model depth should be greater than 4B and model width greater than 3B for different diameters. Since it was intended to study the effect of foundation diameter on determining the value of subgrade reaction coefficient, an asymmetric model was used in the software for soil modeling. The relevant parameters of the general properties (wet and dry specific weight) and the relevant parameters of the soil resistance (c,) for all soil layers were derived from Table 1. Considering the results of the experiments and researches and the reliability of the developed numerical model with the results, and considering the soil type of the site (sand soil), Mohr-Coulomb behavioral model for the soil wa s used in this research. Since in Mohr-Coulomb behavioral model the stress-strain relation is fulfilled directly by the soil elasticity coefficient, thus in entering the data of the soil elasticity coefficient as one of the input parameters, the data of Table 2 were used. The values of the dilation angle in all layers were assumed to be 0. Considering the properties of the building in this project and the scale of the imposed loading (dead and live load), the value of the imposed pressure on the soil was assumed to be 120 kN/m2 where the plate element (with the concrete foundation properties) was used to transfer this load to the modeled soil. Among the most important properties of the element, it could be referred to its flexural hardness (EI) and its axis hardness (EA). These two parameters can be used to obtain the plate thickness that is the representative of the foundation thickness in this case. Considering the constant thickness of the foundation by 1 meter in this research, different values would be obtained for EI and EA in different models according to the Eqs. (7) and (8) [24]. Since the modeling was done with asymmetric method, thus half of the diameter of the real foundation was modeled, and the modeling was done in direction of x-axis, three times more than the foundations diameter (3B), and in the direction of y-axis equal to the number of the layers mentioned in Table 1. Moreover, Table 4 shows the parameters needed for determining the plate input parameters into Plaxis software. d=  ½ deq (7) (8) Fig. 6. Geometry of the model. Table 4. Plate parameters EI (kNm2/m) EA (kN/m) E (kPa) Df(m) Var. Var. 2.5ÃÆ'-107 1 Results and discussion Seven models were developed for different values of foundation diameter (8, 10, 12, 14, 16, 18, and 20 m). Then, they were analyzed by finite element method using Plaxis. Because of axis plain strain in Plaxis, foundation is considered as a strip with B/2 of diameter and 1 m, orthogonal to the plane as shown in Fig. 6. Amount of vertical displacement in center and below of the foundation (sections are in center and 1 meter below the above subgrade of soil model) is obtained according to the load determined by the construction analysis (120 kN/m2). The soil subgrade reaction coefficient is calculated by Eq. (9) for any values of foundation diameter [25]: (9)

Friday, October 25, 2019

The Dangers of Tattoos Essay -- Body Art

Tattoos are becoming a popular phenomenon that is seen everywhere. Today’s youth are getting permanent tattoos to be cool and trendy, but are not considering the long-term effects. Teenagers should be aware of all that body modification may include, it is not just a pretty picture. Adolescences must consider the dangers and conscientious result of attaining diseases, being underage, and having a permanent mark on their body.   Ã‚  Ã‚  Ã‚  Ã‚  The unsanitary conditions of getting a tattoo tend to go unnoticed by teenagers. The increase popularity in body art has also caused an increase in the incidences of Hepatitis, especially Hepatitis C. Hepatitis C is spread by contact with human blood. Since, the government regulation has not enforced hygiene requirements for tattoo parlors, disease such as Hepatitis C thrive in these environments. Another disease that can be acquired is HIV. The government does not force tattoo parlors to use new needles or to sanitize the old ones. Also, tattoos can get easily infected and leave a scar if not properly taken care of. Sometimes, people die from ink poisoning if too much ink gets into the blood stream. I haven’t even touched on how painful it is to get a tattoo and how painful it will be to obtain a disease. Young adults do not consider the dangers of a tattoo until it is too late.   Ã‚  Ã‚  Ã‚  Ã‚  Another problem with getting a tattoo is being underage. Teenagers have to convince their parents that a tattoo isn’t a foolish decision and they really want ...

Wednesday, October 23, 2019

Mankind is nah island Essay

The dynamic concept, belonging, is highly influenced by social marginalisation as individuals develop a sense of displacement amongst the dominant culture. Vangenderon’s, ‘Mankind Is No Island’, utilises film techniques, mise-en-scene and literary devices to explore the intangible concept of belonging. A sense of affiliation is established through the absence of belonging amongst the subjects of homelessness in two iconic cities, New York and Sydney. Representation All representation is subjective and incomplete. It allows us to understand an issue from a range of perspectives. The consideration of a variety of perspectives is necessary to developing a genuine understanding of an issue. Language is used to articulate, our particular perspective on an issue. The productive tension between the texts we have studied demonstrate how conflicting perspectives allow audiences to fully understand the complexity of representations. Appreciating that no single perspective contains the ‘truth’ allows us to value the unique contribution of each perspective. When preparing drafts: – Start with an idea that allows for growth in multiple directions – Choose one of those paths & stick to it – Allow yourself to end an idea then start again with new direction. Drafting strategies – Rewrite sections of your story that seem to be wasted. – Have a list of multiple next ‘moves’ to choose from – When stuck do some research of the topic – Work on the structure of the story. Intro – Answer the question -> INDICATE 2 ISSUES – Elaborate stance – outline issues further. – Clarify stance if you have made an overall assessment i.e. the effectiveness of Australian legal system. – Link back to question, reiterate stance/direction Note: Maximum clarity Body 1* – Issue #1 Legal Response. Body 2 – Issue #1 Non-legal response. Body 3 – Issue #2 Legal Response. Body 4 – Issue #2 Non-legal response. Conclusion * Topic sentence: Introduce focus of paragraph [your point] Prove: – Elaborate, clarify – Discuss example – legislatiom, stas, cases, keywords, key terminolotiy, quotes, related to this topic – Evaluation – reiterate what this evidence proves – Link – > main argument.

Tuesday, October 22, 2019

The Need to Restructure Gender Identies essays

The Need to Restructure Gender Identies essays In her novel To the Lighthouse Virginia Woolf explores love as a construct of gender systems. Being good to someone, a simple, basic definition of love, has a destructive effect on both the giver and receiver of the love. These destructive tendencies of love are shaped by gender identities, which Woolf establishes early in the novel; Mr. Ramsay is fixed as hard and logical and Mrs. Ramsay as soft and emotional. In the novel Mr. and Mrs. Ramsays love is destructive, such that it is wearing each of them individually because of their strict gender identities. Woolf focuses on this damage their love does because of their gender identities, yet also provides a sound basis for promoting loves benefits, for although they are draining each other as individuals, their love produces a functional marriage and happy family. Also many of the summerhouse visitors reap benefits from their love. Woolf emphasizes the need for individuals to not restrict themselves to a single gender identity, b ut blend both male and female traits into their personalities. Although love cannot exist without some harmful consequences, love is more constructive for the individual this way. Mrs. Ramsays version of love, determined by her gender identity, is giving too much sympathy. Mr. Ramsay is worn by her love because by giving him comfort, she weakens his self-esteem or self-assurance. He relies on her for reassurance. As Bankes points out, It was astonishing that a man of his intellect . . . could depend so much as he did upon peoples praise (22-23). During the Last Supper, somebody poses a question, inquiring about the Waverley novels staying power (lasting ability). Because of Mr. Ramsays . . . temperament, which must have praise, which must have encouragement, naturally [he] began to be uneasy; to want someone to say, Oh, but your work will last (107). Even when the topic is not...

Monday, October 21, 2019

Power of Plutonium

Power of Plutonium Free Online Research Papers I believe that we should we begin to manufacture one of the most destructive and powerful elements on the planet again? Nuclear chemists and engineers say yes, but the public says no. The United States stopped making this element with the United Nations ban on manufacturing nuclear weapons. But, with the continuing problem with our thinning energy resources, some want us to begin using more nuclear energy and less energy from natural resources. This paper is going to discuss what plutonium is, the advantages and disadvantages of its use, and why we should think about restarting our production of this useful element. during World War two United States dropped two nuclear bombs, Fat Man and Little Boy on Japan ending the war, the public has had some type of understanding about the power of plutonium and its devastating properties, but that is all anyone heard. After WWII, Americans started to think about what the atomic bomb could do to the people of the United States. When the U.S. started to build more reactors and produce more of the substance but mostly for our nuclear weapons programs. But some times this reaction can get out of hand, this is called a melt down. this can produce harmful effects if it isnt controlled quickly enough. After such instances as the Hanford, Washington reactor meltdown and the accident in the U.S.S.R. at Chernobyl. The United States government banned nuclear testing and also ended the production of plutonium.(Ref. 5) Now we have a problem. We are in need of future sources of energy to power our nation. We are running out of coal and oil to run our power plants.(Ref. 7) We also need it to further our space exploration program. People need to understand the advantages to using plutonium and that the disadvantages are not as catastrophic as they seem. With the turn of the century on its way, the reemergence of plutonium production will need to be a reality for us to continue our way of life. In 1941, a scientist at the University of California, Berkeley, discovered something that would change our planet forever. Glenn T. Seaborg, is credited for the discovery of the element plutonium.(ref. 10) Plutonium, or Pu #94 on the periodic table, is one of the most unstable elements on the earth. Plutonium is made when Uranium 235, absorbs a neutron. Plutonium is a silver metal that has a very high density of 19.816 g/cm3.(ref. 10 ) It is rarely found in the earths crust but the majority of the substance has to be produced by man at the core of nuclear reactors. Plutonium can be found fifteen different forms, or isotopes and their mass number can range from 232-246.(ref. 13) Radionuclide batteries used in pacemakers use Pu-238, while Pu-239 is used in reactors and for Nuclear weapons.(ref. 13) This paper will focus on the isotopes Pu-238 and Pu-239. Plutonium can be very helpful to the United States. there are many reasons for its use. The three major advantages to using this element are for an energy source, power for nuclear propulsion in space exploration and thermo-electric generators in cardiac pacemakers. The first use for plutonium, nuclear power, is obviously the most beneficial use. Plutonium 239 can be used to power nuclear reactors. The average nuclear reactor cont ains about 325 kilograms of plutonium within its uranium fuel.(ref. 7) This complements the uranium fission process. With the continually decreasing supply of coal and oil to power our nation, we need a substitute to complement our energy needs and right now the best replacement is that of nuclear energy.(ref. 7) At the moment there are one hundred and ten nuclear power plants in the United States and they produce one-fifth of the nations electricity. Nuclear energy has been proven to be the cheapest, safest, cleanest and probably the most efficient source of energy.(ref. 7) Nuclear power plants do not use as much fuel as the plants burning coal and oil. One ton of uranium produces more energy than several million tons of coal and plutonium can produce much more energy than uranium.(ref. 12) Also the burning of coal and oil pollute our air and the last thing we need is more pollution to worsen the greenhouse effect. Nuclear power plants cannot contaminate the environment because they do not release any type of pollution.(ref. 2) Plutonium can also be recycled by using a enrichment process. This will produce even more energy. Coal and oil can not be recycled. What is left by their uses is what has been contaminating our atmosphere since the 1800s. You might ask how exactly is plutonium converted into an energy source? Well it is obviously quite complicated to explain. Basically, power comes from the fission process of an atom of the element and produces over ten million times the energy produced by an atom of carbon from coal. One kilogram of plutonium co nsumed for three years in a reactor can produce heat to give ten million kilowatt-hours of electricity. This amount is enough to power over one-thousand Australian households.(ref. 7) Presented with this information, it is only common sense that we should not depend upon fossil fuels to take us into the 21st century. It is obvious that our future lies in the hands of nuclear reactors and the use of plutonium. The second major use for plutonium is for space exploration with its ability to power nuclear propulsion. Nuclear electric propulsion is using energy from plutonium to power space vehicles.(ref. 3) One of the major goals of NASA space program is to, one day, get to Mars, and it looks like the only way it is going to happen in our current fiscal condition, is if we use plutonium, instead of chemical fuel, to power our explorations. Nuclear electric propulsion can be defined as using small plutonium based bricks, to power space vehicles for interplanetary trips. Nuclear electric systems provide very low thrust levels and use only very small amounts of fuel during the voyage.(ref. 3,4) Using electric propulsion also allows the use of less fuel making the spacecrafts launch weight much lower than it would be with chemical fuel.(ref. 3) The last beneficial use for plutonium is for cardiac pacemakers. The thermo-electric generator, which is powered by radionuclide batteries, that powers the pacemaker uses Pu-238. One of the obvious uses of plutonium, whether is an advantage or disadvantage, is for weaponry. It is an advantage if we need to use it against a foe, but it is disadvantageous is our foes use it against the United States. Now that we are at the hands of the Non-proliferation Treaty and the Test Ban Treaty, we no longer can make and/or test nuclear weapons. (Ref. 5) This should help end ideas about nuclear war and other disadvantages to having plutonium in other country’s supplies. Now that we have recognized three important uses for Plutonium and that the threat of nuclear war is no longer as feasible as before, we should recognize the disadvantages of this great energy source. They mostly have to do with excess waste and health effects from the use of nuclear energy. In 1986, a reactor located in Russia at the Chernobyl power plant had a meltdown and radiation escaped from the plant.(ref. 8) Several dozen died from this incident. Nuclear explosions produce radiation. When it comes within human contact, radiation hurts cells, which can sicken people. The cause of the Chernobyl meltdown was mostly because of human error. They tried to perform an experiment at a time when they shouldnt have, and many people paid for their incompetence. There are waste disposal problems that occur with the use of nuclear reactors. Waste also produces radiation, which can be lethal. Since waste ca n hurt and kill people who come in contact with the substance, it cannot be thrown away in a dumpster like other garbage. Waste has to be put in cooling pools or storage tanks at the site of the reactors. Another problem is that the reactors can last for a maximum of fifty years. Even though plutonium is chemically hazardous and produces harmful radiation, it isnt close to being the most toxic substance on the planet. Such substances as caffeine or radiation from smoke detectors, that have the same amount of mass as plutonium, can have a greater toxicity. (Ref. 2) There are basically three ways plutonium can hurt humans. The first is ingestion. Ingestion, though not totally safe, it is not as bad as we think. The fact is, plutonium passes through the stomach and intestines and cannot be absorbed and therefore, is released with other waste we produce.(ref. 1) The second route plutonium can take to be hazardous is through open wounds. This form of contact is very rare and basically cannot happen if the element is handled correctly with protective measures such as correct clothing and health monitor procedures.(ref. 1) The last, main threat to our society comes from inhalation. If inhale d, plutonium is exhaled on the next breath or gotten rid off through the spit flow from the throat and bronchial system and released as with ingestion. But if some could get trapped and put into the blood stream or lymph nodes.(ref. 1) This has the possibility to cause cancer in the future. This might sound frightening, but what we need to realize is that inhaling this type of substance is part of some of our daily lives. The problem of inhaling Pu-239 isnt much different than inhaling such radio nuclides like decaying particles from radon. Radon is a radioactive gas that can cause cancer. (Ref. 6) It comes from the decay of uranium in soil, rock and water. Inhaling this substance can damage your lungs and lead to cancer over a lifetime. The gas can affect everyone, no matter where you live, work or go to school. If you live in a brick house, you could be taking a serious risk if you dont get the radon level tested. A 1990 National Safety Council report showed that radon causes, on the average, approximately 14,000 deaths a year and can go as high as 30,000 deaths a year.(ref. 6) After learning about what radon gas can do to humans, shouldnt we be more concerned about what a naturally occurring substance can do rather than worrying about what plutonium, and its rare contamination might do. Also, how many American citizens will actually have a chance to come in contact with any plutonium isotope in their lifetime? As you can see, if we start to produce plutonium once again, we will benefit greatly from its use. We can use it to help power nuclear reactors, which can power our nation. It can also be recycled and used once again which is one thing fossil fuels cannot do. Nuclear electric propulsion and its use of plutonium will help power space exploration into the next century and maybe even get us to Mars. Pu-238 is also helpful in powering cardiac pacemakers, one of the great biomedical inventions of the1900s. With these constructive and productive uses, we sh ouldnt even debate on the fact that we need plutonium for the future. You may think that by producing plutonium, it will automatically go toward our nuclear weapons program. With non-proliferation and testing banned, this, obviously, is no longer an option. What about nuclear waste and radiation exposure? Well, unless an individual does not use safety precautions and other preventive measures when and if he handles the substance, he or she shouldnt expect anything less of radiation poisoning and contamination. If youre still concerned about exposure to nuclear radiation, youre in for a big surprise when you find out you cant avoid it. There is more of a chance you will die from radon gas than there is from plutonium.(ref. 6) After considering all these factors, whether they are advantages or disadvantages, it is obvious that the use of plutonium is, in fact, feasible and the disadvantages are highly unlikely to affect your health and well being. You probably should be more worried about dying in an automobile accident or a plane crash. Bibliography 1.) http://world-nuclear.org/reference/pdf/uoc-study.pdf 2.) laplace.ee.latrobe.edu.au:8080/~khstatements/perspectives -on-plutonium.html (A Perspective on the Dangers of Plutonium) 3.) letrs.nasa.gov/cgi-bin/LeTRS/browse.pl?1994/E-8242.html (Nuclear Electric Propulsion) 4.) spacelink.msfc.nasa.gov/NASA. Projeicles/Proposes.Sysytems/Nuclear.Propulsion ( NASA fact sheet, Dec. 1991) 5.) tqd.advanced.org/3471.nuclear_politics_body.html (Nuclear Politics) 6.) www.epa.gov/docs?RadonPubs/citquide.txt.html (Citizens Guide to Radon) 7.)www-formal.stanford.edu/jmc/progress/nuclear-faq.html (Questions about Nuclear Energy) 8.) www.ieer.org/ieer/fctsheet/fm_hlth.html (IEER: Fissile Materials Health Environmental Dangers) 9.) www.nucmet.com/CompOver.html (NMI Company Overview) 10.) www.teleport.com/~aaugiee/plu.htm (Background on Pu-238/239) 11.) www.uilondon.org/nfc.html (The Nuclear Fuel Cycle) 12.) www.uilondon.org/ci3_plu.html (Core Issues no.3, The Uranium Institute 1995) 13.) www.uic.com.au/nip18.htm (Plutonium) C/ENS Zack Beecher Bn Public Affairs Officer Capt. Armed Regulation DT Research Papers on Power of PlutoniumThe Effects of Illegal ImmigrationGenetic EngineeringPETSTEL analysis of IndiaBionic Assembly System: A New Concept of SelfOpen Architechture a white paper19 Century Society: A Deeply Divided EraPersonal Experience with Teen PregnancyBook Review on The Autobiography of Malcolm XRiordan Manufacturing Production PlanTwilight of the UAW

Sunday, October 20, 2019

Small Enterprises Women Entrepreneurs in the UAE A Review and Analysis

Small Enterprises Women Entrepreneurs in the UAE A Review and Analysis For a woman, entering the realm of business world is not easy. For the most part, the difficulties concern not the ways in which women prefer to run business, but the way in which women are perceived in the contemporary society, and nowhere is the given issue as obvious as in the UAE.Advertising We will write a custom article sample on Small Enterprises: Women Entrepreneurs in the UAE: A Review and Analysis specifically for you for only $16.05 $11/page Learn More Despite the fact that the problem of female employees and business people facing gender profiling has been addressed several times and a number of measures have been taken, the issue of gender discrimination in business persists, which means that more drastic methods must be designed. In his article Small enterprises: Women entrepreneurs in the UAE, Haan addresses the issues that businesswomen in the UAE face most often. According to what the author says, â€Å"support for UAE women entrepreneurs h as long been confined to limited assistance for women engaged in traditional, home-based activities† [1]. Therefore, it can be assumed that, by creating several organizations that regulate the relationships among entrepreneurs within the UAE market, businesswomen will be accepted into the UAE business system. However, not only Haan, but also a number of other specialists agree that, with the introduction of such organizations as Center of Arab Women for Training and Research (CATWAR), Gender Entrepreneurship Markets (GEM), Dubai Business Women’s Council (DBWC), and many others, few changes actually happened [2]. It should be kept in mind, though, that Haan’s study was conducted quite a while ago. In a retrospective, a number of things have changed over these ten years, yet the issue concerning women in business remains just as deplorable as it used to be, mostly because the basic initiatives still revolve around introducing agencies that will help regulate the is sue within the market. However, certain changes are definitely worth being mentioned. While the issue regarding women in the UAE business still leaves much to be desired, considerable concessions have been made over the past decade. To start with, the formation of the Khalifa Fund can be considered the stepping stone of female empowerment in business in the UAE. In fact, the given organization can be considered by far the most supportive and efficient of all; being one-of-a-kind project, it provides â€Å"venture capital, training, development, data and consulting services, and even marketing support† [3], which is very impressive. However, financial assistance does not have a tangible impact on the Emirati society and its concept of women in business: â€Å"However, unlike other countries, there is a lack of support targeting female entrepreneurs in UAE† [3].Advertising Looking for article on communications media? Let's see if we can help you! Get your first paper with 15% OFF Learn More Another important landmark in the history of women in the UAE business sphere, Masdar Institute has reached considerable results in female empowerment, with â€Å"4 ministers in the current government and 17.5% of the Federal National Council† [4] being women. However, while the organization is striving for the balance of men and women in politics, it seems to omit such an important issue as women in business. At present, it is clear that urgent outside help is needed to set the model for the UAE enterprises to follow. Therefore, comparing the aforementioned establishments with the contemporary initiatives in female entrepreneurship in the UAE, one must admit that the changes that occurred from 2000 to 2013 can hardly be viewed as the Emirati women’s best foot forward. On the one hand, enhancing the basic ideas of business equality is important, yet, as it has been stressed above, more examples from the foreign companies sh ould be introduced. While theoretically, women are free to run business in Emirates, in practice, they face the same blocks that they did several decades ago [5]. Therefore, it is clear that the problems faced by female entrepreneurs in the UAE are not going to disappear in one day. The battle for independence is only starting, and there are a number of prejudices to face. Arguable, the given issue could be solved by dealing with foreign investors, as it has been suggested above, yet for a startup company to attract foreign investors, it is required to have its feet firm on the ground within the UAE market, which, for a company headed by a female leader, is quite problematic. With that being said, it is obvious that the regulations that eliminate the possibility of gender profiling must be provided for the UAE business realm. Khalifa Fund Khalifa Fund was created in 2007 in Abu Dhabi, UAE. The fund was originally intended to help SMEs and encourage the development of small businesse s across the country. Offering to invest in new and promising industrial and service sectors within the Abu Dhabi area, the fun allowed for small business growth. Funded by the government, the organization reflects the attempts of the latter to change the UAE business landscape. In 2012, the organization announced its determination to invest in microbusinesses [6]. However, since recently, the organization has been paying special attention to women in business. In 2013, nearly 30% of $14 m was provided to allow for more options for UAE women in SME. At present, the Khalifa Fund is tackling the issue quite efficiently. However, there is still a long way for the Khalifa Fund to go in order to provide UAE women with the same options as men have in business.Advertising We will write a custom article sample on Small Enterprises: Women Entrepreneurs in the UAE: A Review and Analysis specifically for you for only $16.05 $11/page Learn More Reference List [1] H. C. Haan (2004). Small enterprises: Women entrepreneurs in the UAE Web. Available: zu.ac.ae/infoasis/modules/mod8/Business/documents/SmallEnterpriseReport.pdf [2] The Center of Arab Women for Training and Research (2007). Women business owners in the United Arab Emirates Web. Available: ifc.org/wps/wcm/connect/f8924200488557fcbe94fe6a6515bb18/Women%2BBusiness%2BOwners%2Bin%2BUAE.pdf?MOD=AJPERESCACHEID=f8924200488557fcbe94fe6a6515bb18 [3] C. Hossan, M. Parakandi and H. Saber, â€Å"Entrepreneurial knowledge, preferences and barriers of female business students in the Middle East,† Journal of Business and Policy Research, vol. 8, no. 2, pp. 83–99, 2013. [4] Government of Dubai. Dubai women establishment. Dubai, UAE. Web. Available: dwe.gov.ae/data2/English_third_noon.pdf [5] T. Varghese, â€Å"Women empowerment in Oman: A study based on women empowerment index,† Far East Journal of Psychology and Business, vol. 2, no. 2, pp. 37–53, 2011. Available: fareastjour nals.com/files/V2N2P3.pdf [6] Khalifa Fund for Enterprise Development. News Web. Available: https://www.khalifafund.ae/En/NewsAndPhotos/News/Pages/news40.aspx

Saturday, October 19, 2019

Employment and Society Essay Example | Topics and Well Written Essays - 500 words - 1

Employment and Society - Essay Example It is in best interest of society as well as economy to avoid redundancy as much as it is possible. To have economic growth one needs to avoid the redundancy, cut down on the numbers that need to be redundant and devise some strategies that will keep the society prepared to mitigate the losses caused by redundancies. It is in best advantage of the employer to avoid redundancies in general and gender redundancy in particular as it calls for hate crime and discrimination. An effective way to tackle the redundancy is to collectively address it and on occasional basis consult with the trade and organization unions. The employers must discuss with the worker’s representatives parties and with mutual consent should reach some agreements so that there would be a win-win situation for both parties(Godwin, 2010). Some of the nasty situations that cam give rise to redundancies are increased over-times but with pay freezes. These situations can be avoided by reducing work hours, re-training of employees in case of new and improved business cycle, recruitment cycle freezing in time of recession and finally giving both genders equal chances to get the employment.(Davis, 2010) Employers must give the worker’s representative the number of employees that need to be redundant, the proposals for them in return, the pay scales and time scale that are offering at the certain level of the redundancy. The consultation should reach an agreement and no decisions shall be made before the consultation actually takes place. Retaining employees is far less costly than hiring and developing new employees. Every organization can give it a try though how a particular organization can avoid redundancies is purely dependent up on certain aspects such as the structure of organization, the forecasting that how long it will be down turn for you, the type and nature of work employees are engaged in and impact of profitability on credit crunch. Some of

Friday, October 18, 2019

Argument about SONY organizational charts Essay

Argument about SONY organizational charts - Essay Example Company’s CEO, taking into consideration the financial situation of Sony, the problems with its electronics department ex-profit-generator that appeared to show ‘a lackluster performance’ (Certo & Certo, 245), came to the conclusion to conduct major organizational changes. The company was divided in 4 divisions with a vice-president (VP) responsible for each of them. Now on the top of organizational structure of Sony stand the CEO, who had 4 VP (each responsible for one division) in submission. Despite the fact that this organizational structure has its advantages, some better results might be achieved in case two more executive VPs would be put between CEO and VPs of departments. Although, lots of variations links between divisions, executive VPs and CEO available, in this case we will stick to the idea that these two executive VPs had an authority over VPs of the particular divisions and that CEO had only them two in submission (see illustration in appendix). Less sources of information. Because of this organizational change the CEO now needs to focus only on tracking two people, but not four. By doing this he can spend less time on getting reports, analyzing them and making significant observations to make future decisions, but can delegate his executive VPs to be responsible for analyzing all the data and reporting him only the most valuable information. This will give him more free time to focus on general strategic planning in organization. As now the CEO has executive VPs in submission that might be responsible for filtering and analyzing information, he might make more well-thought decision and an overall performance of the company might go up. More balanced organizational strategy. For this proposed organizational structure, the executive VPs could be in charge of particular divisions grouped, so they might have more well-balanced organizational strategy. For example, VP with a background in marketing and sales can be focused on promotion of

Can Machines Know Essay Example | Topics and Well Written Essays - 1250 words

Can Machines Know - Essay Example There are also several ways of citing what makes up knowledge, some of them are more or less â€Å"internalist† and some are also â€Å"externalist.† I would like to follow the internalist point of view which says that knowledge is a justified belief that requires the believer to be aware of the cognitive process of the given belief. If this is the case, internalism, then, requires consciousness in the justification of a belief. So if we ask whether a machine can achieve consciousness, for me, the answer is no. There are several notions in explaining the criteria of consciousness. For example, functionalism theory states that consciousness comes about when all the parts are put together in the right sort of a whole. However, I would like to believe that personal experience or ability to experience is important in determining consciousness along with the ability to think and interpret. To experience â€Å"experiencing† one needs the skill of perception and intelligence. While one may argue that a computer with sensors could function in this manner, the concept of human independence, feelings and ethics or moral capacity is missing in the whole process.

History Essay Example | Topics and Well Written Essays - 500 words - 97

History - Essay Example ther end focused on the economy while reforms had to do with the state’s financial systems to provide protection from a repeat of such severe depression. This series of programs changed the role of the federal government in American life. Firstly, the new deal fundamentally redefined the relationship between the federal government and the citizens. The government took the responsibility to care for people unlike in the past. Initially, the federal government was detached from the common man and as such their financial security or propensity was not much their concern. After enactment of the new deal, the federal government financed the public service jobs which solved the problem of unemployment. The new deal created programs that targeted to keep the citizens secure like the FDIC and social security. The federal government became peoples’ prosperity and economic security provider when things would go bad coming to their rescue (Taylor, n.d). Secondly, the role of government towards its citizens was redefined. The new deal made the government take the roles of recovery, relief as well as reform. Roosevelt’s ideologies made the government’s role more expansive unlike was the ordinary. Thus, governments took to intervene on issues that affected the public. The federal government became the source for solution of Americans problems. The reforms that targeted the banking sector and stock market brought about recovery. The federal government protected home mortgages and thus made it recover from the depression (Taylor, n.d). These efforts pioneered by Roosevelt in under the new deal programs set a precedence that was to become the role of the federal government in the lives of the American people. Further, Reliefs initially were provided by charity organizations and local governments. This was redefined by Roosevelt under the new deal programs. The new deal brought federal reliefs to millions of Americans during the recession. Thousands of men were able to be

Thursday, October 17, 2019

Vobes Company Research Paper Example | Topics and Well Written Essays - 5000 words

Vobes Company - Research Paper Example at low process and also expects to capture a large market share by attracting the target customers mostly in the age group of 25 to 45 who prefer to use cabs for traveling. Vobes Company aims at serving the customers with the transport services 24 hours a day. It also aims at providing discounts to the customers so that they are attracted to their services and develop brand loyalty. The market research suggests that there are around thousands of local customers who prefer to avail taxi services during the peak hours. Further the company also aims at providing online booking services to the customers and plan to launch an application for the smart phone users in the markets of Dammam. The break even analysis of the Vobes Company states that the company would earn a profit in the first year and the profit is expected to rise in the later years. The breakeven point is located in the fifth month when there is a no profit and no loss situation and then after that the company starts earning profit. The total profit in the first year is around $15580 that increases in the later years as depicted in the three years income statement. The company plans to purchase 15 cars of $24,700 each and rent them at $30 per day. Madawi Alsulaim and Sara Alghamdi are the two business associates who plan to invest $25000 each for establishing the business. Fund are to be raised by borrowing loans from the banks as well that is around $40000 is to be borrowed for establishment as well as the promotional activities to conduct the business efficiently. The idea of setting up the Vobes Company is to provide transportation services in Dammam, Saudi Arabia for the convenience of the local people to travel to places according to their needs. The business is expected to attract a wide range of customers towards availing these services. As the population of Saudi Arabia increases there is an increasing demand for the transport and communication facilities (Alhussein, 2011). Thus the company

Discuss the rationale behind letters of credit with emphasis on the Essay

Discuss the rationale behind letters of credit with emphasis on the fundamental principles underlying these instruments. Critica - Essay Example Credit letters are used in cross border business transactions to make sure that payment will be received. The adoption of letters of credit has become extremely essential in cross border trade due to the nature of international dealings such as varying laws and difficulty in knowing each trade party personally. Additionally, the bank acts on buyer’s behalf by making sure that a seller will not receive payment pending the bank’s verification that goods have been dispatched. The parties to a letter of credit comprise of three or more persons. These are; the account party (importer/ applicant/ buyer), the issuing bank (the applicant bank) and the beneficiary (exporter/seller) (Gilles & Moens, 1998, p 395; DiMatteo, 2009, p 100). There exist contractual associations while using letters of credit in global business among the most essential parties, that is the issuing bank (one making payment of the applicant’s behalf), to the beneficiary, and the paying bank (in situ ations where there is a correspondent), the advising bank, as well as the confirming bank. Ideally, they are same bank but given different terms. As such, several contractual relationships are distinguishable. One is the contract between the applicant and the beneficiary. Two is the relationship between the applicant and the issuing bank. ... This is usually a letter drafted and signed by bank acting on the applicant’s behalf, addressed to the beneficiary. The applicant bank will agree to drafts under credit simply if the beneficially adheres to conditions set forth in the credit letter. The beneficiary is also requested to hand in certain deeds like commercial invoices and insurance papers in addition to the draft and other documents that may be specifically needed. The issuing banks acts on behalf of the buyer (applicant) in paying the beneficiary provided that all terms stipulated in the letter are adhered to (Ramlogan & Persadie, 2004, p 14). Source: Michigan law review, p 406 Documentary credit letters can be classified into: Transferable or non-transferable A beneficiary in the credit letter often maintains on an express term in the contract clarifying that the credit is â€Å"transferable†. The main upshot of a transferable letter of credit is that the seller (beneficiary) may request the designated b ank to transfer credit to the beneficiary’s supplier. However, the designated bank is under no legal obligation to transfer credit. The UCP affirms that a credit letter is transferable only if the contacts states so, the absence of which the beneficiary cannot insist that the designated bank to transfer credit (Moens & Jones, 2008, p 39). Revocable and irrevocable A revocable letter can be rescinded by the bank responsible for issuing at any time without preceding notice to the seller. The contract has to specifically state that a credit letter is revocable; otherwise it will be considered unalterable. A beneficiary seller in cross border transaction needs payment security, apparently not prepared to accept revocable letter of credit, since this would result

Wednesday, October 16, 2019

History Essay Example | Topics and Well Written Essays - 500 words - 97

History - Essay Example ther end focused on the economy while reforms had to do with the state’s financial systems to provide protection from a repeat of such severe depression. This series of programs changed the role of the federal government in American life. Firstly, the new deal fundamentally redefined the relationship between the federal government and the citizens. The government took the responsibility to care for people unlike in the past. Initially, the federal government was detached from the common man and as such their financial security or propensity was not much their concern. After enactment of the new deal, the federal government financed the public service jobs which solved the problem of unemployment. The new deal created programs that targeted to keep the citizens secure like the FDIC and social security. The federal government became peoples’ prosperity and economic security provider when things would go bad coming to their rescue (Taylor, n.d). Secondly, the role of government towards its citizens was redefined. The new deal made the government take the roles of recovery, relief as well as reform. Roosevelt’s ideologies made the government’s role more expansive unlike was the ordinary. Thus, governments took to intervene on issues that affected the public. The federal government became the source for solution of Americans problems. The reforms that targeted the banking sector and stock market brought about recovery. The federal government protected home mortgages and thus made it recover from the depression (Taylor, n.d). These efforts pioneered by Roosevelt in under the new deal programs set a precedence that was to become the role of the federal government in the lives of the American people. Further, Reliefs initially were provided by charity organizations and local governments. This was redefined by Roosevelt under the new deal programs. The new deal brought federal reliefs to millions of Americans during the recession. Thousands of men were able to be

Tuesday, October 15, 2019

Discuss the rationale behind letters of credit with emphasis on the Essay

Discuss the rationale behind letters of credit with emphasis on the fundamental principles underlying these instruments. Critica - Essay Example Credit letters are used in cross border business transactions to make sure that payment will be received. The adoption of letters of credit has become extremely essential in cross border trade due to the nature of international dealings such as varying laws and difficulty in knowing each trade party personally. Additionally, the bank acts on buyer’s behalf by making sure that a seller will not receive payment pending the bank’s verification that goods have been dispatched. The parties to a letter of credit comprise of three or more persons. These are; the account party (importer/ applicant/ buyer), the issuing bank (the applicant bank) and the beneficiary (exporter/seller) (Gilles & Moens, 1998, p 395; DiMatteo, 2009, p 100). There exist contractual associations while using letters of credit in global business among the most essential parties, that is the issuing bank (one making payment of the applicant’s behalf), to the beneficiary, and the paying bank (in situ ations where there is a correspondent), the advising bank, as well as the confirming bank. Ideally, they are same bank but given different terms. As such, several contractual relationships are distinguishable. One is the contract between the applicant and the beneficiary. Two is the relationship between the applicant and the issuing bank. ... This is usually a letter drafted and signed by bank acting on the applicant’s behalf, addressed to the beneficiary. The applicant bank will agree to drafts under credit simply if the beneficially adheres to conditions set forth in the credit letter. The beneficiary is also requested to hand in certain deeds like commercial invoices and insurance papers in addition to the draft and other documents that may be specifically needed. The issuing banks acts on behalf of the buyer (applicant) in paying the beneficiary provided that all terms stipulated in the letter are adhered to (Ramlogan & Persadie, 2004, p 14). Source: Michigan law review, p 406 Documentary credit letters can be classified into: Transferable or non-transferable A beneficiary in the credit letter often maintains on an express term in the contract clarifying that the credit is â€Å"transferable†. The main upshot of a transferable letter of credit is that the seller (beneficiary) may request the designated b ank to transfer credit to the beneficiary’s supplier. However, the designated bank is under no legal obligation to transfer credit. The UCP affirms that a credit letter is transferable only if the contacts states so, the absence of which the beneficiary cannot insist that the designated bank to transfer credit (Moens & Jones, 2008, p 39). Revocable and irrevocable A revocable letter can be rescinded by the bank responsible for issuing at any time without preceding notice to the seller. The contract has to specifically state that a credit letter is revocable; otherwise it will be considered unalterable. A beneficiary seller in cross border transaction needs payment security, apparently not prepared to accept revocable letter of credit, since this would result

A New Realism-Crafting a US Foreign Policy for a New Century Essay Example for Free

A New Realism-Crafting a US Foreign Policy for a New Century Essay The political turmoil that the United States had yet to face in the 21st century was manifested in one brutal fell swoop on September 11, 2001, when thousands of innocent Americans were slaughtered on their native soil at the hands of vicious and brutal foreign operatives whose goal was to strike terror into the heart of the United States. Moreover, a clear message was sent- the rules of the international game of power were changed forever. Threats, it was clearly seen on that horrible day, could just as easily come from a group of motivated individuals as it could from an organized and recognized international government. With this in mind, foreign policy that heeds the changes in the international political landscape is a matter of life or death for not only the US, but every other nation on the face of the earth as well. In this research, a discussion of the construction of US foreign policy in the midst of sweeping changes in international affairs will be discussed from many points of view in an effort to ultimately better understand not only what has happened to effect change, but also what must occur for a brighter tomorrow to result. Jihad and International Politics As this research began, the point was made that 9/11 served as an abrupt wakeup call to not only America, but the entire world that there were forces afoot that could, seemingly at will, bring even the most powerful of nations to their collective knees through the use of terrorist actions that could be inflicted by a dozen people as bad as any army could possibly inflict. For all of this harsh reality, however, there is another stark reality in the years after 9/11- there has not been a sufficient level of improvement in the coordination of international intelligence levels and the law enforcement needed to effectively battle terrorism on a unified front (Richardson, 2007). Moreover, almost no effort has been made to understand why Jihadism exists, even though radical groups such as Al Qaeda have been shown to be making efforts to acquire nuclear weapons. With all of this happening, the obvious assumption would be that the US, as a superpower, would certainly lead the charge and do everything possible to understand the nature of the new enemy, what the enemy can inflict, and prevent access to nuclear materials that terrorist groups need in order to fabricate weapons of mass destruction. However, the reality is, from a President who has seemingly waged war against an innocent state in Iraq to intelligence organizations that have leaks of classified information on a regular basis, the US is setting a poor example in terms of antiterrorism. Illegal Weapons-Foreign and Domestic It has been said that guns do not kill people, but people do kill other people. In a world where thousands of people can be slaughtered without so much as a single shot fired, one still needs to realize that the traffic in illegal weapons- both in the US and globally, poses a national and international threat (Richardson, 2007). Weapons are readily available in towns large and small, for very little money. Legislation aimed at gun control does very little to prevent the problem to any measurable extent, and lawmakers are hard pressed for valid solutions to the dilemma in the US (Richardson, 2007). Of course, on an international scale, terrorists and other fringe groups are stockpiling huge amounts of weapons that are ready to be used at any time to inflict death without restriction. Beyond the issue of guns, the use of nuclear materials for the construction of weapons is a huge problem given the efforts of nations such as India, Pakistan and others now having the capability of manufacturing nuclear material and very little regulation in terms of how and where that material would in fact be distributed and used. The US has in fact been quite lacking in the securing of nuclear materials, and the required bans on the testing of nuclear weapons by other nations are either not in place or are not enforced adequately in the cases where they do exist (Richardson, 2007). This is yet another problem for the US to contend with- something bust be done to hold back the nuclear tidal wave before it is too late for everyone. Asia Rising Beginning with the recovery from the death and destruction of World War II, up to and through the Vietnam War and beyond, the nations of Asia have quite literally gone from hell and back many times. Rather than grinding those nations into a helpless submission, these challenges have seemingly motivated the billions of people of Asia to a new level of economic, military and educational ambition. In generations past, the goods of Asia were merely dismissed as useless and tawdry trinkets. However, with the increase in the level of education, implementation of technology, and old fashioned determination of Asians, the other nations of the world have been left with little choice but to take seriously the multi-faceted threats that Asia poses to the US and others (Richardson, 2007). To begin, one must come to terms with the highly dangerous economic threat of Asia; because of the huge influx of capital from American and European firms foremost, the business and industry of Asia has grown extremely strong. The resulting profits from these operations have given Asia the monetary muscle to conversely invest in businesses, real estate and industry, ironically enough, in the US and Europe. Therefore, what is seen in this instance is the full circle fulfillment of a sad destiny- Asia is slowly owning ever-increasing pieces of the rest of the world- a world that not too long ago dismissed Asia as a laughable excuse for a continent. Economic gains for Asia have likewise enabled the nations of Asia to be able to flex a bit of economic and military muscle. Take, for instance, China, a long-time Communist stronghold and now a stockpile for cash and weapons. In this case, the classic idea of â€Å"guns and butter† is seen in horrific reality. China not only holds a huge amount of the debt of the US and other nations, but also has been very likely putting together a massive army, complete with the latest weapons, including those of the nuclear variety. This, combined with the fact that China holds a radically different political mindset than many of the other nations of the world, makes for a potentially explosive situation. If, in fact, China chooses to recall the foreign debts that it holds, decides to invade other nations, or pose a more serious and tangible nuclear threat, there will be epic problems with which to contend, which brings back the recurrent theme of the US foreign policy in such situations. How can the US develop a realistic and effective foreign policy when dealing with a giant continent like Asia, populated with radical nations like China? Surely, a match of aggression with additional aggression is far from acceptable. Therefore, the challenge that lies ahead for the US is to maintain a strong position in the world and still avoid additional conflict. Russia Reborn A deadly myth exists in the world today- that which holds that Russia is all but dead and buried in the political landscape. In reality, Russia is coming back to life in a political and economic sense. While, admittedly, the economy of Russia has never been as economically viable as it could be in a freer economy, the military muscle which Russia is currently in the midst of rebuilding can once again pose a massive threat to the US. This, combined with the other enemies in the present day, can spell disaster. What Russia means for US foreign policy going forward is significant- if the US makes the fatal mistake of discounting the possibility of Russian aggression becoming a lethal situation, yet another bit of fuel will have been thrown on the political fire that has the potential to consume the US from abroad. Economic Imbalances Poverty is one of the evils which has been cited as a key culprit in the proliferation of global terror, bloodshed, and dispute (Richardson, 2007). Classically, the view of the human condition has always been that people who are hungry, sick, and lack the basic necessities of life are typically much more hostile and harder to negotiate with than one would find in the person of those who had a suitable standard of living. Another possibility is that nations which hate the US may hate in large part because of the resentment for the excesses which exist in the US and the apparent overindulgence of Americans in all forms of enjoyments and material goods. Meanwhile, religious extremists in the Middle East and elsewhere are watching the people of the US in the midst of excessive revelry and have come to the conclusion that people in America, who take so much for granted and do not seem to care very much about the plight of others in the world. As such, the prevailing viewpoint seems to be that Americans need to be shown that all is not well in all parts of the world and in a sense; the party is over in the US. Global Problems-American Solutions In the article which was utilized as the basis for this research, the author ultimately came to an interesting conclusion. Simply put, the author’s thesis is that the US first must stop using the granting of diplomatic relations with rogue nations as a reward for good behavior (Richardson, 2007). The reason for this is quite simple- these nations, which of course most likely have at their heart the goal of overcoming and defeating the US, will conduct themselves in an acceptable way only when they are being evaluated for the granting of diplomatic relations and once that is complete, and the US has let down its guard, the nations will once again resort to evil behavior, and the consequences could be drastic. The answer to this problem, as the author asserts, is the resurrection of a sort of Marshall Plan, especially in the case of Middle Eastern nation and North Africa as well. With this plan as the cornerstone, it is possible for the US to use its massive resources to provide educational, economic, and political aid to these hostile areas, with the hope of deflating the widespread efforts of Jihad and ultimately change the minds of those who hate the US- not with bullets, but with food and books and other help. Overall, the other enemy that the US should be seeking to eradicate, per the author, is poverty. The seemingly underlying cause of most of the violence that is taking place in the world is motivated by the lack of a suitable standard of living for some groups, and indeed, entire nations of people (Richardson, 2007). Therefore, if the element of deprivation were in fact taken away from the argument, what one would see would be a clearer way to look at the other fundamental differences between the West and other parts of the globe, and perhaps, some progress could be made to bring about a stronger, more reliable peace. Overall, what the US needs to do it would seem, is to look at problems on a global scale and consider the viewpoint of the enemy, and take steps in order to be able to be more of a friend and less of a foe. Conclusion In a world where the rules are constantly changing, the environment is becoming more deadly day by day, and the threat of terrorism and rogue nations spreads like a plague, the US stands as a stronghold of liberty and virtue in a sea of death and lawlessness. However, as has been seen, the US is seriously lacking in many areas where responsibility and action are desperately needed. Foreign policy is a key part of this action plan- without an aggressively enforced program of protecting American interests, maintaining a global peace, and fighting terrorism where it resides, it is very likely that chaos, evil and disaster will become the norm in the world instead of freedom, peace and safety. The writing is quite clearly on the wall- for America, action has to happen soon and continue to happen if the world is to be saved for those who wish to live in harmony and safety. The evil that turned the world upside down on a sunny morning in September, 2001 must not be allowed to prevail, and indeed, hollow policy without enforcement will be just as bad as no policy at all. Therefore, in closing, the issue is clear- foreign policy must change and grow with the times if the future is to exist at all. Bibliography Richardson, B. (2007). A New Realism: Crafting a US Foreign Policy for a New Century. Harvard International Review, Summer 2007, 26+.

Monday, October 14, 2019

John Lockes Theory of Property

John Lockes Theory of Property John Locke was born at the time when England was rising against monarchism and the rights of the ordinary people were being revised to envisage the possibilities of sharing power with the ruler. His father was a republican and his views were indifferently influenced by his father to be concerned about the rights of the working people. This was very much reflected in his political theory which cannot be snapped of all ties with this economic and in particular his views regarding property ownership. With his liberal thinking John Locke viewed the ordinary views of rights to property, especially in relation to land as the primary entitlement beyond the prevalent system. His influence in the growth of property laws and later land laws is immense. Property rights and other philosophies in that area have been widely grown and developed much from John Lockes theory in relation to property. This right to property is not to be confused with personal rights as the rights to a property by an in dividual is to be celebrated at rem or against all third parties which John Locke divided into: Common Private Properties John Lockes theory in relation to property can be outlined into: Divinely ordained nature of property and the labourer; Self-ownership emanating from such rights to property by application of labour; Limits on the property and related statues; Need to protect property and the ultimate necessity of governance. The above theory is based on his major political essay, the Second Treatise of Government. This essay will endeavour to critically examine the practicality of his views and whether the theory ultimately delivers any clear message to the development of the property rights. This critical analysis will reflect on the theorists and scholars who wish to remain supportive of Lockes views and also to set a contrast by discussing the views of those scholars who oppose him. Chapter V of his Treatise would be receiving especial attention in this essay as that is where Locke discussed individuals rights  [1]  to property. Section 25, 26, 27, 28 and 31  [2]  will be the pivotal discussions to reflect on the central views of his theory. The essay has based on the criticisms of all theories from the points of modern day scholars, lawyers and judicial decisions by the courts in England and Wales primarily. An endeavour will be made at the end to circumnavigate the relevance of his theory in modern times. Examination of The Theory John Lockes writing were in refute of Robert Filmer. Robert Filmer was a defender of the divine right of Kings and he also said it was wrong to kill yourself because the king owned your life. But Locke argued that God had given the world to man in common. John Locke did not give any emphasis on the natural value of the property rather emphasized on the labour of people to add value to the property. He wrote in his Second Treatise on the issue of property and the value of labour with a economical and philosophical acumen. The main features of Lockes theory on property are as follows: Properties do not have much value as of a divine ordainment rather he is of the view that labour adds the deserving value to the property which is regarded as the principle of first appropriation; The ownership to a property is created by the related labour That Government proceeds property as Government also protects individual ownerships or rights to the property; The Government cannot act arbitrarily to remove individuals from estates and this confirms rights of people to the property and it also establishes that the Government must value individual rights and labours; Properties can be private and common properties; Property has narrow and wider definitions. In the broad sense in includes rights and interests to the property whereas the narrow sense includes the material goods only; Property and rights thereof are natural by application of labour as with labour goods and benefits thereof are created gving entitlement to the producer;  [3]   Human beings have to take from nature to eat and drink and to produce to live as a natural right to preserve themselves and with this they have an obligation to God. Human beings produce and have rights to his produce as a means to preserve themselves as he opines in section 25; God has given this world in common along with the abilities to use this resources therein to live as explained in section 26; there are things which people own in nature including their person and labour; Labour is the means which confirms which is privately owned and commonly owned as discussed in section 28; When a person works his labour enters object and that object becomes property and a right is created in that property in the process. Man should be taking only what he can use or utilise before it spoils as discussed in section 31 creating a limitation to the property rights; Locke says, As much as any one can make use of to any advantage of life before it spoils.  [4]  The right to a property is only clear and exclusive as long as it doesnt jeopardize anyone elses ability to create equivalent types of property for himself and the purpose and justification for this limit is that Nothing was made by God for Man to spoil or destroy.  [5]   Someone is entitled to take up to the point where there is some left and he is also of the opinion that there should be enough land for everyone as mentioned in section 33; Where there is not enough land left then non-owners should labour on owned lands to sustain or preserve themselves as discussed in section 34; What property ownership brings happiness and in his capitalist view where everything is owned then that brings greater joy which he discusses in section 37 and he goes to compare unhappiness of unowned lands and people therein in America to happier people in Britain where everything is owned; Labour enhances the quality of a land and makes it more productive than it was ever before as a natural waste land; That private property attainable by money as he mentions in section 46 and as an exception to his spoilage principle above he explains that money helps people produce more than he can use before getting spoilt as he can sell that property as well and money is not perishable; That money is the means to barter and exchange possession of the properties as mentioned in section 50; That money allows more industrious and rational  [6]  to accumulate wealth and the increased accumulation would jeopardise the possibilities of all to own without the spoilage limitation which also concern personal safety for which civic society is needed to have enforcement authority and men would find it advantageous to form the civic government.  [7]   Government ensures safety to life, liberty and estate.  [8]  Therefore, ownership of private properties is one of the main reasons for the existence of a state. But for tension amongst people, Locke is of the view that not only scarcity of property by ownerships but also by dint of increasing population. Critical Thinking From the chronological discussion of the main issues of Lockes theory on property it appears that his provisos to his own theory as for example, the spoilage theory or natural rights theory to leave for all to have are defeated with the money clause as a means to barter. The theory seems to fail in the claim for Gods nature to be preserved for all. He is of the view that in order to preserve such rights to property humans forms civic societies and governments are established to secure rights to such properties in a guaranteeing manner with authority to enforce the rights to the property. His theory seems to be based on selfishness which also seems to be unfair. Lockes theory seems to be puzzling, contradictory and without any precise solution. Lockes theory leaves generations of owners which seem to be unfair as only people who can work are allowed to own property. This defeats the democratic norm. During Lockes time only property owners could vote then the question arises about the justifications of those without owning property willing to be part of the society where they have nothing to protect as personal property. Locke does refer to divinely ordained natural rights to property but his theory goes against the very basic ethos of Christianity. He himself mentioned commonly owned property rights to have come before capitalism, and the selfish ownership of property by a group at the cost of poverty of the other group seems to be against the very basics of Christian beliefs. It does not seem to shake hands with Gods love for all. Locke gives priority to common good over common ownership but common good seems to be elusive in practical world with ownership of properties being controlled by a certain group of the mass. In L ockes theory, a certain number of people are born to be owners and certain others are born not to have at inception which creates a class structural problem which unjustifiably plunges a group of people in endless toiling whereas the other group does not work or hardly works. This seems to be unnatural at the core when nature did not create such inequalities. Scholastic Appraisal Leading scholars have viewed Lockes theory variably. Some are supportive and many are critical of his theory. Those that are critical have mention inconsistencies and contradictions. I will attempt to highlight some of these points Hume confronts Locke and acts opposite about property being natural rights. According to Hume private property is constructed by man, not of nature but of convention. Therefore there is no inherent relationship between a thing a being. Our property is nothing but those goods, whose constant possession is establishd by the laws of society; that is, by the laws of justice.  [9]   This means that if there is nothing natural then property rights are always open to disruption. Ramon comments on the second limit placed by John Locke of accumulating property in relation to money. Lockes assertion that one can accumulate any amount of money is suggested to be incompatible with the first limit as to how much property one can own. The fact natural products differs from money by that natural products will rot and money will not. They are both useful and therefore essentially the same. Ramon also considers three objections to Lockes theory i) it does not explicitly account for the development of an employer-employee relationship ii) his theory fails to provide a means of determining what share of the product which is produced rightly belongs to the employer and what share rightly belongs to employees. iii) theory fails to provide a means of determining what share of the product produced as a result of a division of labour rightly belongs to each person involved in its production. Leo Strauss was of the opinion that Locke in fact believed there is no genuine natural law rather only conventional law.  [10]   Richard Cox in his Locke on War and Peace argues that Lockes Two Treatises are of two levels with opposing views. The first one uses classical orthodox view of God and men and divine relationship and feeling for fellow men whereas the second one views men as Hobbesian creature ruled by passions. But his view seems to be an exaggeration. Mac Person believes that Locke rather had a hidden assumption of possessive individualism and according to Locke society and individual interactions were nothing more than relationship of exchange of properties.  [11]  This seems to make Lockes theory to be harsh and selfish. MacPherson explains that though Locke is of the opinion that through private ownership entire wealth of the community to increase, yet, there was no guarantee that the wealth would be equally distributed. He is also of the opinion that Locke contradicts himself when he assumes that overall life of all will be bettered regardless of who owns the property,  [12]  yet, he expects people who dont own property to work for those who own for the sake of subsistence which in fact helps the owners accumulate wealth through unfair advantage. But the above scholars have also been subjected to serious criticisms as well in their assessment of Lockes theory. For example, Peter Laslett brands MacPhersons criticism as thoroughly unrealistic and occasionally unhistoric.  [13]   One of the supporters of Lockes theory, Martin Seliger in his The Liberal Politics of John Locke believes that most of the apparent confusions raised about Lockes theory of property emanate from misinterpreting Lockes approach about equality. He is of the view that though Locke posited political equality in nature, yet he never opined that there would be equality of possessions.  [14]   Karl Marx in his Communist Manifesto  [15]  believed the abolition of private property as he was of the opinion that the bourgeoisie has always oppressed the working class with private ownership by means of labour where the working class would work and the owners would not work and exploit that working class. He was also of the opinion that the state formulated laws to rule for oppression in support of the ruling or owner class. This seems to be radically different from the views of John Locke. But Marxism has been criticised as intolerant and unable to survive. Marxism wishes to abolish something when no one is in charge to abolish it or enforce the abolition. This seems to be an absurdity. Influence John Locke influenced many epoch making future philosophers with his liberalism. It has been widely argued that though the definition of freedom as per Locke and Marx are very different, yet, even Marx was influenced by Lockes liberalism. Hence, it seems that with his theory Locke had been able to bring the relationship between men and property to an intellectual level of research. Conclusion John Lockes theory seems to be still influencing the capitalist societies around the world in seeking justifications by the name of freedom to trade and own. His theory also supported in celebrating rights to property and protection of those rights being recognized as part of human rights. But this view has also turned societies selfish to a certain extent by formulating means and trading systems whereby consumerism has grown by manifold. Karl Marxs view seems to be more scientific in endeavouring to eradicate social class structural problems. But Marxs theory also seem to go against individuals rights to celebrate creativity by celebrating its produces. John Lockes theory has its practical appeal as it is the concept behind which the people work the hardest through competitions. Locke predicted such situations where a group of people with poverty would come to exist but he failed in offering a solution for the problem as well. Nevertheless, there is no doubt that with its faults Lockes theory on property and ownerships thereof is still influencing justifications in conjunction with many other fundamental rights. The global leading capitalist nations seem to be practical proponents of this theory in practice. This concept is also connected with our democratic values which have become inalienable. The scholars are divided in their opinions about Lockes theory but it is also true that beyond the contradictions within the theory, the theory exposes the truth by which the modern world is functioning as whole where we work every day to own property either tangible or intangible.

Sunday, October 13, 2019

Androgyny in the Characters of Macbeth and Lady Macbeth Essay -- GCSE

Androgyny in the Characters of Macbeth and Lady Macbeth  Ã‚  Ã‚     Ã‚  Ã‚   In her book, Woman and Gender in Renaissance Tragedy, Dympna Callaghan addresses the presentation of women in Elizabethan England, stating that "women were clearly socially subordinate, and the preponderance of discourse on the gender hierarchy was misogynistic" (Callaghan 12). According to Marianne L. Novy in Love's Argument: Gender Relations in Shakespeare: "'Woman' seems to be associated with qualities - emotions, fears, - one has against one's will, and 'man' with a preferable mode of existence. Men are exhorted to be men, and women, playfully or seriously, often attempt to imitate men" (Novy 198). While men and women were born different, it was society's treatment of their distinguishing sexual traits that defined them either as masculine, and thus in a position of power, or as feminine and unable to challenge male authority. Much of the literature composed in Elizabethan England reflects, whether deliberately or inadvertently, the gender inequities cited by Callaghan, Novy, and others. In William Shakespeare's Macbeth, the dynamics of the marriage between Macbeth and Lady Macbeth involve a mutual striving towards manhood as a result of misplaced gender traits in each. Shakespeare develops the androgyny of Macbeth and Lady Macbeth, and this becomes the basis for the offenses they commit in the play. Both characters achieve a position of power and authority through the use of their masculine characteristics, but their feminine characteristics make their gains tenuous and ultimataly cause their downfall. Throughout the play Shakespeare presents the feminine traits within Macbeth as the characteristics that mark him as a flawed man. When Macbeth says... ...speare. Chapel Hill: The University of North Carolina Press, 1984 5. Ussher, Jane. Women's Madness: Misogyny or Mental Illness?. Amherst: University of Massachusetts Press, 1991 6. Williams, Juanita. Psychology of Women. New York: W.W. Norton & Company, 1987    WORKS REFERENCED 1. Belsey, Catherine. The Subject of Tragedy. London: Methuen, 1985 2. Biggins, Dennis. "Sexuality, Witchcraft, and Violence in Macbeth." Shakespeare Studies VII (1975) 3. Gilligan, Carol. In a Different Voice: Psychological Theory and Women's Development. Cambridge: Harvard University Press, 1982 4. Hogrefe, Pearl. Tudor Women: Commoners and Queens. Ames: Iowa State University Press, 1975 5. Howells, John, ed. World History of Psychiatry. New York: Brunner/Mazel, 1975 6. Millett, Kate. Sexual Politics. New York: Ballantine Books, 1987 Â