Monday, September 30, 2019

Miranda V. Arizona

Court Brief Miranda v. Arizona Citation: Miranda? v. State of Arizona; Westover v. United States; Vignera v. State of New York; State of California v. Stewart, Supreme Court of the United States, 1966. Issue: Whether the government is required to notify the arrested defendants of their Fifth Amendment constitutional rights against self-incrimination before they interrogate the defendants. Relief Sought: Miranda was violated the 5th Amendments right to remain silent and his 6th Amendment right to legal counsel.Arizona ignored both the Escobedo rule that states all evidence obtained from an illegally obtained confession is inadmissible in court and the? Gideon? rule that states that all felony defendants have the right to an attorney while prosecuting Miranda. His confession was illegally obtained and should be thrown out. His conviction was false, and he deserved a new trial. Facts: In March 1963 Ernesto Miranda, 23, was arrested in his home, taken to the police station for being accu sed in a sexual assult case.Once identified by the victim he was taken into an interrogation room where he was to give his confession but Miranda was not told of his rights to counsel prior to questioning. He did though, sign a typed disclaimer that stated he had â€Å"full knowledge of my legal rights, understanding any statement I make may be used against me,† and that he had knowingly waived those rights. Two weeks later at a preliminary hearing, Miranda again was denied counsel. At his trial he did have a lawyer, whose objections to the use of Miranda's signed confession as evidence were overruled.Finding (Holding) of the Court: ? This case held that government authorities need to inform individuals of their Fifth Amendment constitutional rights prior to an interrogation following an arrest. Reasoning: The Court held that prosecutors could not use statements from secure interrogation of defendants unless they demonstrated the use of routine defenses. The Court noted that â€Å"the modern practice of in-custody interrogation is psychologically rather than physically oriented† and that â€Å"the blood of the accused is not the only hallmark of an unconstitutional inquisition. The Court specifically outlined the importance of police warnings to suspects, including warnings of the right to remain silent and the right to have an attorney present during interrogations. Dissenting Opinions: Justice Tom Clark argued that the Due Process Clauses of the Fifth and Fourteenth Amendments of the Constitution would apply to interrogations. There is not enough evidence to demonstrate a need to apply a new rule as the majority finds here. The second dissent written by Justice John Harlan also argues that the Due Process Clauses should apply. J.Harlan further argues that the Fifth Amendment rule against self-incrimination was never intended to forbid any and all pressures against self-incrimination. Justice Byron White argued that there is no historical suppo rt for broadening the Fifth Amendment of the Constitution to include the rights that the majority extends in their decision. The majority is making new law with their holding. Legal Terms: self- incrimination-the? act? of? incriminating? oneself? or? exposing? oneself? to? prosecution, especially? by? giving? evidence? or? testimony Interrogation- to? ask? questions? of? (a? erson),? sometimes? to? seek? answersor? information? that? the? person? questioned? considers? personalor? secret. Implications: Miranda v. Arizona established the importance of informing defendants of their legal rights before they are arrested in order to ensure due process.? The? Miranda vs. Arizona? case was significant because it established that many Americans did/do not know their rights granted to them by the Bill of Rights, especially those pertaining to police investigation and trial, and that when arrested people have the right to be informed of these very significant rights.?The Court decided a conf ession is? involuntary? unless the person is clearly informed of his or her right to remain silent, to have an attorney present during questioning, and have an attorney provided free if he can’t afford one. Miranda didn't have a lawyer present when questioned and wasn't aware this was an option; therefore, his confession was excluded from evidence and the conviction was overturned.?

Sunday, September 29, 2019

The Word “Ghetto”

A word’s meaning can usually be traced back for hundreds of years. Over such long periods of time, words become manipulated, many times to the point where the meaning changes entirely. This is the case with the word â€Å"ghetto. † The word ghetto can be traced all the way back into the 1500’s. This word has infiltrated itself into today’s society and culture seamlessly. However the current definition of the word is far from what the original definition was. Perhaps due to the connection that the word ghetto has with urban culture, the word has evolved over time to have a more positive, less intolerant meaning.The word ghetto, which would come to be used throughout Europe to describe communities of isolated minority groups, originated in Venice in the 1500’s. According to the Oxford English Dictionary a ghetto was â€Å"The quarter in a city, chiefly in Italy, to which the Jews were restricted† (OED). In 16th century Italy, Pope Paul IV estab lished ghettos in Venice as a place of confinement for Jews. His main goal was to gain maximum economic advantage from the Jews’ presence while ensuring minimal social contact with Jewish people.In 1516, seven hundred Jews were forced to move to one small part of Venice, then an abandoned site of a 14th-century foundry that produced cannons. This area known as the â€Å"Geto† was an old Venetian dialect for â€Å"foundry† from the Italian verb gettare which means to pour or to cast, while the island across from it on which waste products had been dumped became known as â€Å"Il terrneo del Ghetto. † The word ghetto in its new usage did not remain long confined to the city of Venice. Generalization of the term helped the word to include all enclosed quarters of Jews in Europe.By the Pope’s edict, Jews remained enclosed in ghettos for two centuries until 1797, when Napoleon and the French army invaded Italy. At that time the ghettos were disbanded an d the Jewish people who lived in them were allowed to go wherever they pleased (holocaustresearchproject). Having immigrated to new countries, Jews tended to congregate in particular areas of a town or a city even when no longer forced to do so as did many minority groups living in a foreign country. This was a matter of choice. The Nazi’s eliminated the choice. â€Å"Ghettoisation† appeared in the countries occupied by Germany during World War II.After their 1939 invasion of Poland, Germans tried to control the sizable Jewish population by forcing Jews, and also Gypsies, to reside in marked-off sections of towns and cities the Nazis called â€Å"ghettos. † Altogether the Germans created at least 1000 ghettos. The largest was in Warsaw, Poland, which was the location from where the Nazis transported more than 300,000 prisoners to death camps. The Warsaw Ghetto was also the site of the largest and most significant Jewish uprising, and the first urban uprising in German occupied Europe (holocaustresearchproject).The Germans usually marked off the oldest and most run down areas of a city for a ghetto site. Thus the word â€Å"Ghetto† came to be associated with cramped dilapidated housing, appalling sanitary conditions, inadequate and poor food quality, absence of medical supplies and facilities that were all common aspects of ghetto living. Inhabitants often died of starvation, disease and exhaustion within the ghetto. These connotations remained attached to the word ghetto even up until modern times. In America, the word changed and evolved.Today, the term ghetto applies primarily to blacks in Northern U. S. cities. While all major immigrant groups coming into the U. S. establish their own residential areas, blacks ended up more segregated then most. Scholars have argued over whether or not poverty created ghettos in America or whether the ghettos created poverty. In any event, the connotation of the word ghetto in America became asso ciated with large-scale housing projects and inner city neighborhoods inhabited by black people who suffer from harsh living conditions.Because of such harsh living conditions, these areas have become notorious for crime, drugs, and violence. Thus the connotation of the word ghetto in America has stayed true to its original usage. It is used to this day to describe places of racial segregation (bos. frb. org). While the word ghetto still is associated with impoverished living environments, perhaps because of gentrification the word ghetto has come to have positive slang connotations as well.For example, the Oxford English Dictionary (OED) defines the expression â€Å"ghetto fabulous† or â€Å"ghetto fab† as â€Å"an ostentatious or flamboyant lifestyle or manner of dress, associated with the hip-hop subculture and characterized as a marker of status in economically disadvantaged urban neighborhoods. † This is a perfect example of how the way we use the word ghet to has changed dramatically over time. The word became part of hip-hop culture in the 1990’s. It was used in a good way for the first time.To describe someone who wanted to be part of that way of life as â€Å"ghetto† or â€Å"ghetto fab† was a complement. It was something that the world had never seen before. The creation of slang words and expressions is one of the ways that language changes over time. A group will use a certain word and after time, it may become widely used. Then it can become a part of most people’s vocabulary. Instead of being a noun with the most negative connotations of poverty disease and even death, the word ghetto is currently used as an adjective to label certain clothing, style, and even attitudes.There are certain brands of clothes that in many cases are described as ghetto. This could be because of the way they look (baggy, brightly colored) or because of the fact that the people who wear them frequently live in urban areas. The word ghetto is used for many reasons. Due to our culture and our society many times the word gains negative meaning. Generalizations may cause people to believe that people from the ghetto have less moral values than someone from out of the ghetto. However, the true definition of the word says nothing about morality.Although the word has a myriad of meanings, it is still understood in a variety of conversations (123helpme). Did the word ghetto really go from being such a negative term to such a positive one while somehow still maintaining part of its original meaning? That’s exactly what the word has done. The bridge between the two polar opposite meanings can probably be attributed to the fact that each has something to do with the city or urban areas. This is just about the most ameliorated a word could ever get.After a few centuries of word evolution, the word ghetto has become part of our culture in a positive way, rather than a negative one. The word has been throug h an incredible amount of semantic change. Through the process of broadening, the word has gained many new meanings. It no longer describes a quarter of an Italian city in which Jews were forced to stay in. It no longer has to describe a run down, over populated city such as Brooklyn, New York. The word ghetto can be used as an adjective now. It can be used to positively describe someone or something.Semantic changes such as broadening and generalization have brought about countless new usages and meanings to what was once a very specialized word (COHA) The word has been altered over time to become much more of a slang term. Many would argue that this term has become slang because of the way it is used by the younger generations. While it shouldn’t be considered a totally different word, the word ghetto represents entirely different meaning then it used to. The word has been used in and seen in such a wide variety of ways that it rarely gets used to describe what it was nitia lly meant to. The real meaning of the word ghetto does not mean much anymore because there is no longer a place where Jews are forced to live or for that matter a place where any group or minority is forced to live. The word now depicts a disadvantaged section of a city or town. The word ghetto was used in America most frequently in the 1970’s. Before that it was probably used a lot more internationally due to the fact that most ghettos in America did not exist until around the 1950’s. In the 1970’s the word is used with certain words very frequently.For example the words â€Å"black,† â€Å"boxed-in,† and â€Å"community. † However over time and into the 21st century the word is used less and less. While the usage decreases, the meaning changes. Today, we see the word ghetto used with words and phrases such as â€Å"fabulous,† â€Å"pimp,† â€Å"track-suit,† and â€Å"gangsta† (COHA). Its evident that as time goe s on, the meaning of the word ghetto is being altered tremendously. The word ghetto is a word that has an important place in not only today’s world, but also in the past. The word contains tremendous meaning for certain groups of people throughout history.For most of these people the word isn’t something they consider a noble word or a cheerful word at all. The people who know best what this word means are the people who experienced the Ghetto, the people who were confined, and people who were restricted. These people couldn’t experience the outside world. They were stuck in what is now defined by the OED as â€Å"the part of the city, especially a slum area, occupied by a minority group or groups. † The term was originally used in Venice, Italy to describe the place where the Jews were meant to live.Eventually the term became widespread. Now used not just for areas where minorities live, but also for poorer areas in general. The word went through the sem antic change of broadening. Ultimately, more than just Europeans in the old world used the word. In later years, the Venetian origin of the word â€Å"ghetto† came to be forgotten, as it was used exclusively in its secondary meaning as referring to compulsory, segregated and enclosed Jewish quarters, and then in a looser sense, to refer to any area densely populated by Jews.Eventually â€Å"ghetto became the general designation for areas densely inhabited by minority groups, almost always for socioeconomic reasons, rather than legal ones as had been the case with the initial Jewish ghetto. Interestingly enough, the word â€Å"ghetto† can be described as a colloquialism, but can just as easily be used as slang. The fact is no one changed the meaning of the word on purpose. This is what happens to words over time. They change meaning time and time again. The word ghetto is no different. The word is a perfect example of language and how it is ever changing.

Saturday, September 28, 2019

Visual Rhetoric Paper Assignment Example | Topics and Well Written Essays - 500 words

Visual Rhetoric Paper - Assignment Example It features a young woman who is clad in a yellow outfit and a white hijab. The black background creates a huge contrast which is a notable aspect about the photograph. The woman’s face is covered with scars from the acid attack. The photographer has effectively conveyed his message on the plight of the acid survivors in Bangladesh and is calling on his audience to empathize with the victims and do something about it. The photograph is about a story of how women are disfigured following the inhumane and violent acid attacks. Victims of these attacks live in perpetual fear and agony. Beauty means a lot to a woman and when her face is scarred she is left in despair and experiences low self-esteem. The notable photograph shown below highlights the resilience and bravery of a mutilated victim of an acid attack. Her dreams and hopes were fragmented in seconds (World Photography Organization). Reconstructive surgeries and medical treatment to the victims of acid attacks are just but a dream. This is owing to the fact that these services are hard to come by and are highly expensive. This means that the victims of similar attacks live with the scars for a lifetime. They are faced with a high level of stigmatization in society. They also face the task of establishing a new life and facing life with hope in spite of the challenges that they could be facing. The photograph depicts that majority of acid vict ims are women who are under thirty five years old. The photographer is trying to get his audience to feel the plight of the woman based on features on the photograph. The scars on her face are clearly defined showing her pain and struggle (World Photography Organization). There is no smile on her face which indicates that she was emotionally scarred by the acid attack. The look on her face is blank depicting the emptiness that she could be feeling following the acid attack. The photograph is one of the most

Friday, September 27, 2019

Business environment Essay Example | Topics and Well Written Essays - 1500 words - 2

Business environment - Essay Example (HOLDEN, MATTHEWS & THOMPSON. 1995) In UK there are many businesses which export and import product internationally. There are big names in UK like Unilever, Barclays, HSBC, Tesco, Marks and Spencer etc who are involved in trading internationally. To emphasize on Marks and Spencer it is been one of the oldest British retailer selling clothes and luxury food products. It operates in 40 countries of the world and is a well known brand world wide. Due to its vast operations world wide M&S is a global competitor for many international clothing brands. This global coverage through international trade has led to expansion in manufacturing activities of M&S worldwide which have made it profitable by outsourcing its manufacturing activities easily in cheaper countries which have made it possible for the company to compete in international market on low cost and maintain its margins. Due to its international trade, M&S has also altered their products in accordance with the demand of internati onal market which have make the company deal with many types of commodities serving many markets worldwide. (COADE. 1997; BRUCE, MOORE & BIRTWISTLE. 2004) On the other hand Tesco is one of the largest retail chains in Britain which has grown steadily over time and has internationalized its operations throughout the world. The international trade pursued by Tesco has also benefited it in the similar ways; Tesco being a very strong player in the local market is able to use its brand successfully around the world and has gained next level recognition throughout the world. Due to internationalization its operations has expanded in many countries of the world like Malaysia, Czech Republic, Poland, USA etc. where it has achieved economies of scales resulting in lower operating costs and a better ability to compete internationally with lower prices. On the other hand international trading is extremely beneficial to Tesco’s financials that has become very significant in the group res ults of Tesco. Overseas trading accounts for 60% of Tesco’s total results and its makes up 20% of current trading profits, while most of the operations worldwide are either profitable or on breakeven and in many countries it is a market leader. Another advantage the international retailing of Tesco is that due to its operations in many markets, it overcomes or reduces its risks of failure. For e.g. Tesco has recently started operating in US and its still a loss making region. However this loss is compensated by the profits generated by the others regions which make Tesco a profitable group. International trade not only can result in cost saving but it also leads to international recognition, higher revenues and profits, dispersed risk which are all beneficial for the business as well as the UK economy. (FERNIE. 2005; SETH, & RANDALL. 2000) b) Analyse the impact of two global factors on two or more UK business organisations. Organisation operating worldwide and trading interna tionally faces much more difficulties as locally operated businesses. Due to the globalization Barclays faces different environmental conditions in geographic regions. Banking sector works closely with the laws and regulations. Like political factors legal factors mostly depend on local legislation and regulation. Risk management policies of Barclays will be in accordance to legislation. Legislative compliance should be incorporated in the over all strategy,

Thursday, September 26, 2019

Limited Companies (Tesco and Sainsbury) Case Study

Limited Companies (Tesco and Sainsbury) - Case Study Example The stance of both the companies is illustrated with the help of financial ratios, to read between the lines of the companies’ financial statements and to completely understand the financial data presented by the companies in their annual reports. The structure of the report comprises the companies’ financial performance analysis for the year ended 2005 from management, investors and lenders’ outlook because all these three groups are interested in the companies’ position and performance with different perspectives. Therefore, the comparison presented in this report would be helpful for the company’s management, investors and lenders altogether to form a base for their future decisions.Tesco and Sainsbury have been in the retail business for a long time. These companies operate on the international level, but have most number of their stores in UK, which is the major market of these companies. Tesco is the largest and most profitable superstore chai n in Britain. It is the fourth largest supermarket in the world. Tesco operates 2,318 stores in 12 countries around the world and employs 326,000 people, 237,000 of them in Britain where it is the largest private employer (TESCO: A Corporate Profile, accessed 29.11.2005). The principal activity of the Group is the operation of food stores and associated activities in the UK, Republic of Ireland, Hungary, Poland, Czech Republic, Slovakia, Turkey, Thailand, South Korea, Taiwan, Malaysia and Japan (Tesco Annual Report, accessed 28.11.2005). Sainsbury is the UK's third-largest grocery retailer (after Tesco and ASDA) operates the long-struggling Sainsbury's Supermarkets chain -- some 464 supermarkets in the UK (accounting for nearly 85% of sales). The supermarkets get about 40% of their sales from private-label products. In addition to supermarkets, the company operates 260 convenience stores under the Sainsbury's Local, Bells and Jacksons banners. Sainsbury also owns 55% of Sainsbury's Bank (in a joint venture with Scottish bank HBOS) and a property development company (J Sainsbury plc overview, accessed 28.11.2005). PART B: ANALYSIS & COMPARISON OF FINANCIAL PERFORMANCE Tesco and Sainsbury are two popular companies in the United Kingdom. But the latest annual reports issued by these two companies reveal diverse results in the companies' financial performance for the year ended 2005. A deeper analysis of the differences between these companies' financial results is presented below with the help of some ratios peculiar to the analysis in terms of company's management, lenders and investors: FROM MANAGEMENT'S OUTLOOK The following analysis and comparison is done to help the companies' management to assess their performance and capabilities in the light of the companies' recent financial results: Gross Profit Margin Tesco Plc 7.3% Sainsbury Plc 4.12% The Gross Profit ratio analyses the company's profit margin before accounting for various operating costs. The gross profit margin of Tesco is higher than Sainsbury, which indicates that Tesco's management has efficiently managed to obtain more profit out of its sales after accounting for cost of sales incurred during the process of making the goods and services available to customers than Sainsbury. Net Profit Margin Tesco Plc 5.7% Sainsbury Plc 0.65% The net profit ratio analyses a company's profitability after taking into account all the operating costs. The above ratio calculation shows that Tesco has had significantly higher net profit margin than Sainsbury whose profit margin after the operating cost

Wednesday, September 25, 2019

Online Assingment Article Example | Topics and Well Written Essays - 500 words

Online Assingment - Article Example The New York Presbyterian hospital is the first hospital to test surgery that is designed only for type 2 diabetes. This study is designed to test if diabetes is better handled by surgery as opposed to the other medical treatment options that there are today. This is the first study available to those who are overweight or mildly obese and may open doors to new studies. Under guidelines that currently exist, bariatric surgery is used for the treatment of severe obesity or morbid obesity for people who have a body mass index of 35 or greater. Treatment is now available for patients with a body mass index as low as 26. The body mass index of a healthy person is 19 to 25 while those who are overweight have a body mass index of 26 to 29. Those who are obese have a body mass index that is above 30. Patients with a body mass index below 26 and above 35 are not permitted in the study because the health risks are too dangerous. Previous research has shown that gastric bypass surgery for thos e people with a body mass index of 35 or greater will benefit from the results to treat their type 2 diabetes.

Tuesday, September 24, 2019

The song of Umass Boston-arifact that exemplifies the culture of UMass Assignment

The song of Umass Boston-arifact that exemplifies the culture of UMass Boston - Assignment Example This idea is strengthened in the third line wherein the speakers say they follow the torch wherever it leads them to. The phrase â€Å"saw a crown on your brow† perhaps talks about the vision of the school. Crowns are often placed on the head but the song says that there is a crown on UMass brow. This could mean nothing else but the vision of the school to produce graduates who will be able to reign in their own chosen careers. This vision can be attained by following the teachings of the school as she trains imparts knowledge and wisdom to the students and train them to become more passionate to fight for what is just and right. As the years went by, the passion of UMass never dimmed. Rather, her light remained its brightness, guiding many people in their lives. As people witnessed more and more graduates of UMass being led into the world where they succeeded, many have dreamed to become one of them and this made them more confident that the school can indeed guide them as she envisioned it. Moreover, the people’s hope that they can be a part of UMass and become successful lessened their fears of what life may have for them. People witnessed how the university remained steadfast in her dreams for her children despite the adversaries and doubts of the people watching her. Her passion never diminished but rather maintained the desire of those who trusted her and walked with her. As a result, many have placed their trust in her as well, considering the university as good and just. On the last stanza, the speakers wish the school the best, mentioning that they desire for her torch to remain steadfastly burning as ever. They hope that even if they are not here on earth anymore to witness how the school will continue with her vision and mission, may she never grow tired nor put her torch down nor let her passions die. Instead, they desire

Monday, September 23, 2019

Determinism, free will and moral responsibility Essay

Determinism, free will and moral responsibility - Essay Example There are many views and arguments reflecting different philosophers' positions on determinism, free will and moral responsibility, and it is not easy to find correct solution of such problems. Maybe this solution will never be found, as in case of many other philosophic problems. The purpose of this paper is not to find it, but to analyse the views of such philosophers as Blatchford, Schlick, Hospers, Campbell and Taylor on determinism, free will and moral responsibility. The views of these philosophers will be given in connection with my own ideas and views on these philosophic problems. In this paper I will argue that libertarian approach (Campbell and Taylor) reflects reality in more objective view than that of hard determinists (Blatchford, Schlick and Hospers). 2. Blatchford asserts that free will is determined by our nature. Heredity and environment determine our will; he says that "the free will is really controlled by heredity and environment" (Blatchford, p. 104). He also writes that "The free will party seem to think of the will as something independent of the man, as something outside of him. They seem to think that the will decides without the control of the man's reason" (Blatchford, p. 34-35). Of course, heredity and environment play great role in our actions, but I think that free will can depend on personal moral responsibility. Blatchford asserts that our actions can be predictable. Our nature and heredity determine our acts; this statement fits for famous persons too (Napoleon, Lincoln). In addition to that he claims that his work The Delusion of Free Will "disposes of the claim that man is responsible be cause his will is free" (Blatchford, p. 107).So, we can say that Blatchford is a representative of hard determinism. But th ere is a question. What about twins who live together and therefore have the same heredity and environment Are their free will and moral responsibility expressions equal No. I suppose that their decisions and actions depend on their free will which is not originated from heredity and environment. Their free will is determined by their personal development and the features of personality which can be developed in the process of education and self-development. 3. Moritz Schlick is a representative of logical positivism doctrine. His definition of free will, determinism and moral responsibility derives from the definition of punishment. He supposes that "Punishment is an educative measure, and as such is a means to the formation of motives, which are in part to prevent the wrongdoer from repeating the act (reformation) and in part to prevent others from committing a similar act (intimidation). Analogously, in the case of reward we are concerned with an incentive." (Schlick, p. 152). So, Schlick's view of free will and responsibility is connected with punishment. He supposes that a person in responsible if the punishment for his action is able to change his behavior in the future. So, his determinism differs a little from that of Blatchford. In his point of view,

Sunday, September 22, 2019

Financial Performance Analysis Essay Example for Free

Financial Performance Analysis Essay This project work has not formed the basis for the award of any degree/ diploma by Bangalore University or any other university. Name of the Guide: Mr. Jagdish Designation: Place: Bangalore Date: Guide’s Signature. This is to certify that this project work title â€Å"A study on the financial performance of the Aamp;S Inc. † is based on an original project study conducted by Monisha Tirkey (07JJC08051) of BBM under the guidance of Mr. Jagadish K. K. This project work is based on original and has not formed the basis for the award of any degree / diploma by Bangalore University or any other university. Monisha Tirkey hereby declare that this project work titled â€Å"A study on the financial performance of the Aamp;S Inc. † is based on the original project conducted by me under the guidance of Mr. Jagadish K. K. This has not been submitted earlier for the award of the award of any other degree / diploma from Bangalore University or any other university. Student Name: Monisha Tirkey Registration Number: 07JJC08051 Place: Bangalore Date: The successful completion of this project would not have been possible without the guidance, help and timely assistance from a number of people. I should at the very outset express my gratitude to the almighty God for his wonderful plan that brought me into this institution for my studies and for helping me throughout the project. I also thank HOD, Mr. Surendranath Reddy, who encouraged me to undertake this project. I express my sincere thanks to Mr. Jagdish, my guide, for the valuable help he extended in carrying out this project.

Saturday, September 21, 2019

NTCM standards Essay Example for Free

NTCM standards Essay NTCM standards are widely used standards for mathematics in US and many websites are now offering different services which can familiarize a student to the standards and help student to learn the elementary mathematics while having fun also. This paper will present an analysis of the four websites that contain math activities which confirm to the NTCM standards. First Website http://illuminations. nctm. org This website offers different activities such as numbers and operations, geometry, Algebra, Measurement and problem solving etc. The methodology used by this site is really simple and comply with the standards by providing an easy to learn approach which is basically targeted at improving the number sense of the children. Since this website offers lessons for different classes and as such as the standard improves, the complexity of the mathematical operation increase too. For initial classes like Pre K-2 etc the operations are really simple such as computing, addition, subtraction however, as the level of difficult increases, the complexity of these operations improve too. This website is appropriate for the students from Pre- K-2 to the age groups of 9-12 years. These activities are important for the students because they assist them in improving their understanding of the mathematics and basic operations. These activities can lead to the achievement of students because they are presented in a very unique and different way and can keep the interests of the students intact. These activities support differentiation of the instruction because they provide a very easy to use tool which is not only simple but also very easy to understand. Students can easily learn them and teachers have the option to make them more fun to learn.

Friday, September 20, 2019

The public sector and tourism

The public sector and tourism But are governments important to tourism, and how do they become involved with tourism management? What are the effects on tourism-has it led to success or failure? Governments and tourism-Tourism needs favourable conditions to thrive-these are stability and security,a sound legal structure with provision of vital services and necessary infrastructure(the roads,water supplies,a favourable environment.)All these the State is able to provide.It is the government who has the influence and political clout for decisions and course direction.The degree of involvement and commitment are most important here.These two factors exist with varying degrees of effect within each country on the globe.PSM or public sector management involves action implementation and policy direction through the government.The principles of accountability on behalf of the public having the necessary support of the legal framework and political system prevailing. Why governments intervene in the tourism sector-First and foremost if there is no monitoring of tourism activity there could occur sudden deterioration of the environment with consequences to the local population.Both facilities and infrastructure as supplied by government contribute as enabling factors with positive benefits of the populations well-being and provision of increased tax revenue.Jobs, also a very important issue are thereby able to be created.See Guide for Local Authorities on Developing Sustainable Tourism WTO(1998:29).Much of the developing world has embraced the immediate benefits to its economy by the pursuit of such investment.Critics would point out the potential for damage by alteration of the localitys social and cultural fabric.There are also leakages whereby the revenue generated is not experienced by the locality it gets diverted elsewhere to overseas investors with a stream of cheap labour coming in to fill potential seasonal employment occupancies for the locals. Politics tend to deal in wider frameworks and this is not alwaysin the best interests of the people.The Franco regime of the 60s utilised tourism for political acceptability.France has always sought to the position of the welfare state on behalf of the poorer members of its society.It is similar to recreational tourism most evident in the Soviet era where cultivation of a workers climate is applicable to the spas,resorts and holiday camps.The government of the UK expounded the potential of the tourism industry for being able to accommodate to large numbers of unemployed during the 1980s when unemployment was at a high level.A transnational body such as the EU has consistently supported financial aid for the creation of infrastructure in the outlying regions of the world.Aid is rendered by the more wealthy nations to those who are impoverished to generate immediate recovery and wealth the Pacific Islands being a case in point. Government intervention and tourism performance-The tourism industry is a very complex category and requires proper coordination   encouraged to achieve positive results.It is pointed out that with extensive government involvement there is inevitable bureaucratic regulation and stiflement this deterring would-be investment from the private sector.Government intervention is necessary where there is present seasonal dependency and the local economy cannot be kept running all year round. The political complexion of local councils is very variable interest in tourism is likely to wax and wane.Government is concerned with obtaining as much quality statistical data as it is able so as to understand how these local economies function and so be able to assist more effectively but still is a very fragmented process.Resolve of conflict directly concerns government intervention;and similar to politics is concerns a balancing strategy between the tourism industry and disenchanted opposition more often than not the local residents themselves. Strategic objectives are more likely to be pursued by government Jeffries(2001) has pinpointed two viewpoints.Firstly redeployment of tourist visitors taking into account the seasonal variation patterns and secondly geographical redeployment in steering tourism flows elsewhere.It is argued for the first strategm that extension of the tourist season with an improved range of visitor and domestic attractions offered during the low season there will automatically occur increased business interest and therefore activity.Employment growth might well occur rather than sustaining a low seasonal level.The second strategm concerns direct intervention and an example of this would be the Languedoc-Rousillon coastal region to the south of Montpellier.A certain number of bespaces were guaranteed for the resort area and improved throughout the 70s and 80s.In this case regional development has occurred to assist an undeveloped region. Locally in the UK the saturation effects experienced from an influx of tourism has prompted definitive measures to contain it;examples of this would be Stratford-upon-Avon,Cambridge with York and Canterbury

Thursday, September 19, 2019

The Power of Community Service :: Community Service Essays

"We make a living by what we get, but we make a life by what we give." - Winston Churchill "If you knew what I know about the power of giving, you would not let a single meal pass without sharing it in some way." - Buddha In 2014, I traveled to New Orleans for a National Youth Gathering. Some 30,000 students and advisers donned orange t-shirts and fanned out across the city to serve. Our group was assigned the task of clearing roadsides and medians. We spent the day picking up trash and removing cat claw, an invasive and difficult weed. It was the kind of work most of us took for granted because it was something we would do at home. I remember being shocked at the number of people who stopped, rolled down their car windows, and said thank you. Regular yard work that seemed so insignificant to us made a big difference to them. We all had something to contribute and in turn were transformed by the experience; we gave our labor and the people of New Orleans showed us amazing hospitality. For me this reciprocal effect is the most transformational of community service. The more I give and serve, the more I find my life enriched by sharing with others. Community service is part of my life, something ordinary rather than extraordinary, part of life’s journey rather than a goal, destination or high school graduation requirement. As long as I can remember service to others was modeled and encouraged by my family and teachers. To say how I have been transformed in past tense paints an incomplete picture because I am still learning and growing, both being shaped by the process of service and shaping the process by which I serve. This much I can say with certainty: we all have something to give, and a life of service expands one’s world exponentially and unexpectedly. It is easy to feel too small to make a difference as only one of more than seven billion people on this planet. Even the smallest candle is capable of giving light, and when myriad tiny candles burn together a room, a life or a cause can turn into a conflagration of hope and change. The simplest action can initiate a ripple effect that spreads around the world. What I can never hope to do alone may be possible with the shared efforts of others. The Power of Community Service :: Community Service Essays "We make a living by what we get, but we make a life by what we give." - Winston Churchill "If you knew what I know about the power of giving, you would not let a single meal pass without sharing it in some way." - Buddha In 2014, I traveled to New Orleans for a National Youth Gathering. Some 30,000 students and advisers donned orange t-shirts and fanned out across the city to serve. Our group was assigned the task of clearing roadsides and medians. We spent the day picking up trash and removing cat claw, an invasive and difficult weed. It was the kind of work most of us took for granted because it was something we would do at home. I remember being shocked at the number of people who stopped, rolled down their car windows, and said thank you. Regular yard work that seemed so insignificant to us made a big difference to them. We all had something to contribute and in turn were transformed by the experience; we gave our labor and the people of New Orleans showed us amazing hospitality. For me this reciprocal effect is the most transformational of community service. The more I give and serve, the more I find my life enriched by sharing with others. Community service is part of my life, something ordinary rather than extraordinary, part of life’s journey rather than a goal, destination or high school graduation requirement. As long as I can remember service to others was modeled and encouraged by my family and teachers. To say how I have been transformed in past tense paints an incomplete picture because I am still learning and growing, both being shaped by the process of service and shaping the process by which I serve. This much I can say with certainty: we all have something to give, and a life of service expands one’s world exponentially and unexpectedly. It is easy to feel too small to make a difference as only one of more than seven billion people on this planet. Even the smallest candle is capable of giving light, and when myriad tiny candles burn together a room, a life or a cause can turn into a conflagration of hope and change. The simplest action can initiate a ripple effect that spreads around the world. What I can never hope to do alone may be possible with the shared efforts of others.

Wednesday, September 18, 2019

The Young Consumer: Their Value To Media Advertising And The Economy Es

The Young Consumer: Their Value To Media Advertising And The Economy An advertiser of new trend setting products often struggles with choosing a target market but now the choice is becoming clear. The young consumer market has developed itself into an empire in which companies flourish. Boys and girls ages 13-25 set the wave for what is considered cool and what isn’t. As a result, companies have carefully listened to what these â€Å"kids† have to say and then tried to develop products and ideas that resemble what they consider to be cool. Companies have focused their products around this up and coming group and by realizing what an impact they make, they have profited and the economy has yielded a substantial return. The question is how have several companies reached out to these individuals? Simply put, the media. Generation Y, the largest group of kids since the baby boomers, are much more media inclined which means that they have been more influenced by advertising than previous generations. The media should continue to be used as a source of advertising to young consumers because product consumption by this group is a huge benefit to the economy. The media should be used for anything that benefits the economy. Therefore the use of media advertising to influence the young consumer and vise-versa should continue because the outcome has resulted in a substantial benefit to not only the economy but, companies alike. I understand that people may consider the use of media to advertise products/ideas to young people could bring forth an unrealistic view of what everyone should be. Advertising often portrays the â€Å"perfect† idea or individual and some may argue that it is unhealthy to do so because it results in things like low sel... ... On ‘Own Voice’ Mags.† Advertising Age June 2004: 16 pars. Communication and Mass Media Complete. EBSCOhost. University of Denver Penrose Library, Denver. 19 Jan. 2005 . Stanley, T.L. â€Å"Marketers Angle To Catch The Rising Stars.† Advertising Age Aug. 2004 8 pars. Communication and Mass Media Complete. EBSCOhost. University of Denver Penrose Library, Denver. 19 Jan. 2004 . White, Amy. â€Å"Pepsi ‘Celebrity’ Cans For Top Pop Appeal To Teens.† Media Asia April 2004: 2 pars. Business Source Premier. EBSCOhost. University of Denver Penrose Library, Denver. 7 Feb. 2005 . Zollo, Peter. Wise Up To Teens. Ithaca: New Strategist Publications, 1999.

Tuesday, September 17, 2019

Do you think that Mary Tudor deserved her title “Bloody Mary”?

History has not been kind to Mary Tudor. Compared to what followed, her reign seems like a brief but misguided attempt to hold back England's inevitable transformation to Protestantism. Compared to what came before, her regime looks like the regressive episode of a hysterical woman. Considered on its own terms, however, the regime appears much more complex, leading contributors to this volume of essays to reach far different conclusions about her reign: reestablishing traditional religion in England was an enormous undertaking that required rebuilding the Marian Church from the bottom up.Moreover, given more time it might have succeeded. Finally, as these essays continually remind us, concepts differentiating Catholicism from Protestantism — ideas taken for granted today — were still being sorted out during this period. David Loades's introduction begins the volume by surveying the disturbance in religion during Mary's lifetime. He links the spread of humanism and class ical scholarship to a substantial portion of this disturbance because it created an educated populace capable of raising questions about religious practices for which the traditional Church had no answers.Mary herself received a first-rate humanistic education and contemporaries even considered her well-educated. Loades suggests that, instead of unquestioningly embracing the tenants of the traditional Catholic faith, Mary was a â€Å"conservative humanist with an extremely insular point of view† (18). Nevertheless, her humanistic training did not extend to her devotion to the sacrament of the altar and her uncritical acceptance of the doctrine of transubstantiation. Ultimately, her uncompromising position on the latter would cause the downfall of many.After this introduction, the first section of the volume, entitled â€Å"The Process,† explores obstacles confronting the restoration of Catholicism in England, beginning with David Loades's examination of the degraded st ate of the episcopacy upon Mary's accession, and her administration's attempts to restore it. Next, Claire Cross discusses Marian efforts to enact Catholic reforms in those strongholds of Protestant dissent, the English universities. The queen's decision to restore a community of monks at Westminster is the subject of a study by C.S. Knighton, who includes a detailed appendix identifying members of this community.In the section's last essay, Ralph Houlbrooke argues that swift acquiescence by one of Norwich's leading evangelical ministers, and the diligence of clergy and Church courts in upholding the Marian restoration, helped Norwich avoid large-scale persecution. Essays in the volume's second section, â€Å"Cardinal Pole,† focus on his role in reestablishing the legitimacy of the restored Church. Thomas F.Mayer begins with an analysis of various court documents, and concludes that even though Paul IV had apparently revoked Pole's legatine office, the matter remained unsettl ed, and Pole probably continued to function in that capacity until the end of Mary's reign. In the following chapter, Pole's 1557 St. Andrew's Day sermon provides evidence for Eamon Duffy's defense of the cardinal's record — not only as an outspoken advocate for the importance of preaching, but also as a hard-nosed realist confronting an entire population of apostatized Londoners.In the final essay of this section, John Edwards reveals that, unlike English documents, records from the Spanish and Roman Inquisitions indicate greater Spanish involvement in the restoration of English Catholicism than has been previously recognized. The subject of the final section of this book, â€Å"The Culture,† undertakes issues regarding the Marian Church and its people. Lucy Wooding's essay considers how the multiple layers of symbolism found in the Mass provided a wide focal point for popular piety in the restored Church.In his essay on the theological works of Thomas Watson, William Wizeman, S. J. , discusses Marian efforts to reeducate worshipers who, after a generation of religious turmoil, were unfamiliar with even the basic tenets of Catholicism. In the following chapter, Gary G. Gibbs reconsiders the eyewitness evidence provided by one Henry Machyn, Merchant Taylor of London, concluding that the Marian regime had indeed connected with enough loyal subjects to provide the queen with an effective base of power

Monday, September 16, 2019

The History of Body Modification

The History and Culture of Body Modification What is body modification and why has it had such a large impact on society? For centuries humans have been using their bodies as a canvas to identify themselves to the rest of society. Body modification lets a person stand out or blend in; it allows people to describe who they are and where they come from without saying a word. There are many forms of body modification such as Tattooing, Scarification, Piercings, Stretching, Plastic Surgery, and Corseting. Each form holds a story, a reason why it is done. In the past three decades, Western body art has not only become a practice, and in some quarters a fashion, that has crossed social boundaries of class and gender, â€Å"high† culture and â€Å"low,† but also it has been greatly influenced by â€Å"tribal† practices, past and present. † (Enid Schildkrout, Inscribing the Body, Para 10 line 8) Tattooing The history of tattooing stems back thousands of years from all over the world for all different reasons. â€Å"In terms of tattoos on actual bodies, the earliest known examples were for a long time Egyptian and were present on several female mummies dated to c. 000 B. C. But following the more recent discovery of the Iceman from the area of the Italian-Austrian border in 1991 and his tattoo patterns, this date has been pushed back a further thousand years when he was carbon-dated at around 5,200 years old. The distribution of the tattooed dots and small crosses on his lower spine and right knee and ankle joints correspond to areas of strain-induced degeneration, with the suggestion that they may have been applied to alleviate joint pain and were therefore essentially therapeutic.This would also explain their somewhat ‘random' distribution in areas of the body which would not have been that easy to display had they been applied as a form of status marker. † (Cate Lineberry, Tattoos -The Ancient and Mysterious History, Para 2 and 3) There is evidence that women in Ancient Egypt had tattoos on various parts of their bodies, some on their inner thighs or on their hips, these tattoos were thought to help alleviate the pain of childbirth. â€Å"Tattooing of ancient Egyptian women had a therapeutic role and functioned as a permanent form of amulet during the very difficult time of pregnancy and birth.This is supported by the pattern of distribution, largely around the abdomen, on top of the thighs and the breasts, and would also explain the specific types of designs, in particular the net-like distribution of dots applied over the abdomen. † (Cate Lineberry, Tattoos – The Ancient and Mysterious History, page 2, Para 2, line 4) Scarification Scarification is another form of putting design on the human body. Scarification also known as cicatrization changes the skins texture by cutting into the skin and then controlling how the skin heals.Many substances can be added to the cuts to turn the scars int o raised bumps, or change the color of the skin. â€Å"In some cultures, a smooth, unmarked skin represents an ideal of beauty, but people in many others see smooth skin as an unfinished, unattractive surface† (American Museum of Natural History http://www. amnh. org/exhibitions/bodyart/glossary. html#totop, para 10) In South Africa the practice of Scarification has lasted centuries and the techniques used to produce the scared images have been passed from generation to generation.The custom of scarification is usually carried out by the young women of the tribe as a sign of beauty. The scar designs can be found on the chest, stomach and backs of the tribal women. The following image shows three Tembu women with decorative scarification. Piercings Body piercing is probably one of the more welcomed forms of body modification and involves piercing anything from earlobes to noses and even sexual body parts. Throughout history body piercings have been used to show status and age, and as wards and talismans.There are many different types of piercings and many different reasons each was used. Sailors would get a gold earring to help improve eyesight, Ancient Egyptian women would pierce their belly buttons to ward off demons from entering through the belly button and harming their unborn children, Roman soldiers would pierce the nipple area of their armor. In many cultures ear piercings are done to show that the recipient of the piercing has reached puberty. In Borneo the parents of the child each take turns piercing an earlobe to symbolize the child’s dependence on their parents.During the time of the Roman Empire, Roman soldiers would wear upper body armor that was shaped like a man’s chest they pierced the armor where the nipples would be and used those rings to clasp their cloaks into place. This practice lead to the belief that they would only clasp their cloaks to actual nipple rings. Women of the 14th century were known for wearing such lo w necklines that their nipples were often visible, women then began to pierce their nipples or use nipple caps to add decoration to their chest, sometimes fragile chains of gold, pearls, or diamonds would be linked between the piercings.These piercings were mainly worn among the upper classes of the 14th century. (http://www. painfulpleasures. com/piercing_history. htm) The Prince Albert is now as it once was, a popular male piercing, that not only enhances sexual stimulation but also allows the wearer to control where their penis lay inside the pants. â€Å"The Prince Albert piercing is named after Prince Albert who was the husband of Queen Victoria of England. He was reputed to have had this piercing done prior to his marriage to the queen around 1825, at that time Beau Brummel started the craze for ultra-tight men’s trousers.Because the pants were so tight, the penis needed to be held to one side or the other so as not to create an unsightly bulge. To accomplish this some men had their penis pierced to allow it to be held by a hook on the inside of the trousers, this piercing was called a â€Å"Dressing Ring† at the time because tailors would ask if a gentleman dressed to the left or the right and tailor the trousers accordingly, tailors to this day will ask if you dress to the left or right. † (http://www. ainfulpleasures. com/piercing_history. htm ) Body Modification Making the body thinner and more graceful is something many cultures do, long thin neck lines, curved shapely torso’s these are signs of beauty through the world. Throughout Europe and North America corsets have been a popular way to give a woman curves and emphasize or deemphasize parts of her body. On the Thai-Burmese border tribal women wear heavy brass neck rings to elongate their necks as a symbol of beauty.Women of the Karen tribe wear heavy brass neck rings that give the appearance of long necklines. This particular form of body modification has likely been a Kayan tradition for over a thousand years. The primary reasons for wearing them now are for beauty and to preserve their culture while they are in exile. These long necks are a symbol of beauty in the tribe. The interesting thing about these neck rings is that they do not actually stretch the neck; instead the rings ush down on the muscles around the collarbone giving the impression of a longer neck. Corsets were first popularized in the mid-16th century. At that time, the garment was used not to minimize the waist but to enhance the bust. The Victorian era brought many changes to corsets, which are still with us today. Modern corsets are shaped in the same way as the 1800s corset. Steel stays were introduced in this area, allowing corsets to reshape the body. Tight lacing was common, further reducing the waist and enhancing the bust and hips.Tight lacing is a way to wear the corset where over a period of months or years a woman can were the corset taking it off only at night to s leep and each day when it is put on again it is tightened a little more than the day before. This is done so that the body holds the shape given when the corset is taken off. Shapely hour glass figures are a seen as a mark of beauty. Throughout history people from all over the world have used various forms of body modification to tell people who they are. Tattoos, Lip plates, Piercings, Brass Neck rings, all say something about the person they are attached to.For centuries tribes have used tattoos to mark tribal leaders and spiritual leaders or to mark when a child has come into puberty and can be counted as an adult. Tribes in Africa use the body as a canvas and mark them with scar designs because a bare unmarked body is seen as an unused surface, while in other cultures an un-scarred unblemished body is seen as a thing of beauty. Brass neck rings are used to create beauty on women in tribes who find that the long, elegant design of a neck should be shown and accentuated.Piercings have always been used for a wide variety of reasons; to mark an age, to decorate a bare chest, or to help improve eyesight and ward off demons. The reasons behind body modification vary, from culture to culture and for each gender. â€Å"These permanent designs-sometimes plain, sometimes elaborate, always personal- have served as amulets, status symbols, declarations of love, signs of religious beliefs, adornments, and even forms of punishment. †(Cate Lineberry, Tattoos -The Ancient and Mysterious History, Para 1 line 3)

Sunday, September 15, 2019

Fictitious Business Description Essay

The main purpose of this study is to discuss the importance of a Human Resource Information System (HRIS) in Castle’s Family Restaurant. We are therefore going to discuss on the HR problems in Castle’s Family Restaurant and how the implementation of HRIS will enable the company to reduce costs together with ensuring efficiency in HR operations (Randall S. & Susan E. 2007). Business assessment Castle’s Family Restaurant in Northern California is the business to be assisted. It is large in size since it runs several branches in different locations and also has over 300 employees and this makes it to be a company. Depending on the size of the business, I have in my description assumed that Castle’s Family Restaurant is a since it has many employees and many branches. This assumption is based on the background of restaurant work environment and industry. Based on the basic theory of business complexity and getting work done restaurants should employ many workers to ensure that work is done efficiently like in the case of Castle’s Family Restaurant. Identified problems In the review of the HR of Castle’s Family Restaurant, I have noted the following: I have discovered that business does not have a human resource manager rather the operations manager served as HR manager. The company has not implemented HRIS which is important in monitoring the employee’s performance (Randall S. & Susan E. 2007). It is therefore evident that the HR is experiencing problems since the HR manager is unqualified and had so many duties to handle which is quite tiresome for him. Some of the functions of a HR include manpower planning, recruitment and training of employees, hiring employees and monitoring employees to ensure high performance. In my analysis I will focus much on monitoring of employees performance which will help me design a business plan. The main reason for focusing on this HR function is because the company seems to have failed in its implementation of HRIS which could be useful in reducing the HR managers travel time and travelling costs and that is why the HR manager has to travel to the branches to monitors employees performance. According to the resource-based theory of Human Resources, strategic management of the company resources leads to its success (Randall S. & Susan E. 2007). Increase in the costs incurred by the company is wastage of company resources since a better method can be implemented to reduce these costs and improve company’s performance. HRIS needs assessment According to Michael J. & Mohan T. (2008), HRIS is an online solution used by Human Resources to enter data, track data and manage accounting and payroll functions of the company. The main purpose of implementing HRIS in a company is to reduce the manual workload in HR administrative activities through tracking existing workers. Implementation of this software will create a more efficient process from the HR in the sense that it will help the HR manager to manage information about the employees, analyze employee information, manage resumes and new applications and also complete payroll integration with other financial accounting software in the company (Michael J. Mohan T. 2008). Automating all HR functions saves a lot of time and resources and hence increasing efficiency in HR operations as suggested by the resource-based theory of Human Resources. By implementing HRIS in Castle’s Family Restaurant, the HR manager will not have to travel to all company branches to monitor and answer employees questions rather he will perform his duties in his office. All questions that need to be answered will be answered through this software. Application or implementation of HRIS in Castle’s Family Restaurant will therefore enable the HR manager to complete all of his tasks in a cost-effective manner. Conclusion As a HR consultant, I would advise Castle’s Family Restaurant to implement HRIS as this software will solve much of the HR problems and hence leading to reduced costs and improved HR efficiency. Implementation of HRIS will make the company to effectively use it resources for better operations.

Saturday, September 14, 2019

Muscle Disease

Amanda Fallon Professor Jed Wolfson Anatomy and Physiology 1 October 27, 2011 Rhabdomyolysis: Disease of Muscular Breakdown Rhabdomyolysis is the breakdown of damaged muscle tissues resulting in the release of muscle fiber contents into the bloodstream (Patel M. D. ). This disease occurs when there is damage to the skeletal muscle. The breakdown products of damaged muscle cells, such as myoglobin, are harmful to the kidneys and frequently result in kidney damage or even kidney failure. The severity of the symptoms depends on the degree of muscle damage and the degree of the kidney damage, if any. The primary muscle damage can be caused by physical damage, medications, drug abuse and some infections. Some patients may have a higher risk of rhabdomyolsis because of a hereditary muscle condition that is already present. There are many causes of rhabdomyolysis. One of the most common causes of this disease is a crush accident, such as an auto accident. Long lasting muscle compression is also another cause of rhabdomyolysis. Long lasting muscle compression derives from â€Å"lying unconscious on a hard surface during an illness or while under the influence of drugs or alcohol â€Å"(Chang M. D. ). An untrained athlete can also get this disease from severe muscle strain where the muscle becomes damaged. Significant muscle injury can cause fluid and electrolyte shifts from the bloodstream into the damaged muscle cells, and in the opposite direction (eMedicineHealth). Other causes of rhabdomyolysis are electrical shock, very high body temperature (hyperthermia) or heat stroke, diseases of the muscular system such as â€Å"congenital muscle enzyme deficiency or Duchenne's muscular dystrophy† (Chang M. D. ). Signs and symptoms of this disease may be hard to pinpoint because the course of the disease varies depending on the cause and each patient may experience different symptoms. Complications of this disease may also be present in the early stages as well as in the later stages. The symptoms of rhabdomyolysis come from the medical history of the patient. The patient may experience painful swollen bruised or tender areas of the body. Muscle weakness may also be experienced by the patient, such as difficulty moving the arms or the legs. Nausea, vomiting and a general sense of illness can be experienced by the patient. The rise in body temperature (hyperthermia) may cause confusion, dehydration, and even a lack of consciousness if not treated. The signs of rhabdomyolysis come from the physical findings of an examination done by a doctor or a healthcare provider. Less severe forms of rhabdomyolysis may not cause any symptoms or signs, and the diagnosis can only be found in abnormal blood tests. The urine, as seen in the photo to the right, may be dark, often described as â€Å"tea-colored†, due to the presence of myoglobin in the urine. Damage to the kidneys can occur due to decreased or absent urine production, usually 12 to 24 hours after the initial muscle damage (Patel M. D. ). A second recognized complication is disseminated intravascular coagulation (DIC), a severe disruption in blood clotting that may lead to uncontrollable bleeding (Warren M. D. ). Muscle biopsies can be useful if an episode of rhabdomyolysis is thought to be the result of an underlying muscle disorder. A biopsy sample taken during an episode is often uninformative, as it will show only evidence of cell death or may appear normal (eMedicineHealth). Taking the sample can be delayed for several weeks or even months. The histopathological appearance on the biopsy indicates the nature of the underlying disorder (eMedicineHealth). Biopsy sites may be identified by medical imaging, such as using magnetic resonance imaging (MRI), as the muscles may not be equally affected by this disease. Early laboratory findings include increased levels of myoglobin, potassium, urea, and phosphorus found in blood levels. An â€Å"anion gap metabolic acidosis† could progress because of release of acids from damaged muscle tissue (Patel M. D. ). Myoglobin testing would be the best indication and the diagnostic basis because an increase of myoglobin usually will not occur in the absence of rhabdomyolysis. Diagnostic tests for urine myoglobin are often not easily available, and it may take more than 24 hours for the physician to get the results of the test. However, a typical urine screening for rhabdomyolysis may be performed as long as the urine sediment is examined as well. Complications of rhabdomyolysis also include disseminated intravascular coagulation, a condition that occurs when small blood clots begin forming in the body's blood vessels (eMedicineHealth). These clots ingest all the clotting factors and platelets in the body, and bleeding begins suddenly. When muscles are damaged swelling within the muscle can occur, causing what is called compartment syndrome. If this occurs in an area where the muscle is bound by fascia, a tough fibrous tissue, the pressure inside the muscle compartment can increase to the point at which blood supply to the muscle is compromised and muscle cells begin to die. Rhabdomyolysis is treatable and patients may recover quickly if the disease is caught in the early stages. The main goal of treatment is to prevent kidney damage or to prevent any further kidney damage. However, if left untreated, acute kidney failure develops in 30-40% of patients (Ritz). Early and aggressive hydration may prevent difficulties from this disease by rapidly removing the myoglobin from the kidneys. Hydration of the body may include using several liters of intravenous fluids until the condition is stabilized. Diuretics can also help with removing the iron-containing pigment out of the kidneys. If the patient produces an acceptable amount of urine a doctor may administer bicarbonate, which can prevent the myoglobin from breaking down into toxic compounds within the kidney (Warren M. D. ). Kidney failure occurs when the kidneys are not able to filter and process waste from the body. If the disease progresses enough and kidney failure occurs then the patient may have to undergo dialysis. Dialysis is a procedure that takes the blood out of the body and sends it into a machine, as seen in the picture to the left. The machine filters the waste products from the blood. In severe cases of kidney or renal failure a kidney transplant may be required. If the case of rhabdomyolysis is mild it can be treated at home. The home treatment would include lots of rest and sufficient hydration by drinking plenty of fluids. The overall prognosis of rhabdomyolysis is pretty good as long as it is diagnosed and treated promptly. If the instance of this disease is not severe then the patient may only have to be in the hospital for a short time period for rehydration with IV fluids and lots of rest so the muscles can recover. Acute kidney failure occurs in many of the patients. Rhabdomyolysis is the cause for as many as 15% of patients with kidney failure (eMedicineHealth). While the mortality rate for this disease is approximately 5% (eMedicineHealth). The risk of death caused by this disease depends mainly on the primary health of the patient, the amount of muscle damage that has been caused and any other associated injuries. If kidney failure occurs, the mortality rate can increase to 20% (eMedicineHealth). Rhabdomyolysis can be prevented in almost all cases. Exercise programs and routines need to be thoughtfully planned to prevent any kind of injury and to lower the risk of getting rhabdomyolysis. This includes avoiding exercising in extreme heat conditions and drinking a sufficient amount of fluids. Both these situations can lead to dehydration, which increases the risk of muscle damage. Also, the risk of rhabdomyolysis exists highly for patients taking statin and fibrate medications for high cholesterol control. Information is often provided to these patients to be aware of the symptoms of this disease and the information should be read carefully and thoroughly. In conclusion, this is a disease of the muscular system that could affect anyone in their lifetime. This disease is more common than what I had originally thought. Although it is easily treatable, it can be a very dangerous and painful disease. I am glad that I researched rhabdomyolysis because I have learned what can happen and what to do if I ever experience any of the symptoms. I have also learned the consequences of not training properly for exercise. In doing this research paper I have learned about a disease that I may see affect people in my career as a physical therapist. Bibliography Chang M. D. , Louise. WebMD. 13 September 2010. 22 October 2011 . eMedicineHealth. Rhabdomyolysis (Cont. ). 2011. 30 October 2011 . Patel M. D. , Parul. U. S. National Library of Medicine. 13 August 2009. 21 October 2011 . Ritz, Eberhard. â€Å"Disease of the Month: Rhabdmyolysis. † Journal of the American Society of Nephrology (2000): 1553-1561. Warren M. D. , JD. â€Å"Rhabdomyolysis: a review. † Muscle and Nerve (2002): 32-47.

Ampex VTR organization Essay Example for Free

Ampex VTR organization Essay After the second world war, the introduction of televisions opened way for the technological innovation of video recording. In the 1950s, there were major inventions in the video recording industry in the US and Japan. This case study involves the technological advancement in the video cassette recorders (VCRs) manufacturing industries. Six pioneering companies will be considered, namely; RCA and Ampex of USA, Japan Victor Company (JVC) and Sony, Toshiba and Matsushita all of Japan. JVC, Sony and Matsushita had the competitive advantage of management in this industry. They emphasized on opportunities that were more rewarding, productively positioned their technical efforts and executed these efforts in more productively. These companies learnt the market technological demands for videocassette recorders and produced in mass at limited costs. To prove their technological competence, these firms produced equipment with utmost sound clarity and consistently adhered to this. JVC was under pressure to come up with a common standard for its products which led to the advent of VHS system. RCA engineers came up with a video recording machine moving a narrow tape very fast past magnetic heads. At Toshiba, a recording head was made to rotate fast while the tape moved past at relatively slow speed (helical scanner). Despite these efforts, Ampex was the first to come up with a commercial video recorder. This VTR technology was patented but was soon shared out to other companies like RCA. Ampex failed to come up with a manufacturing capability for mass production despite the high performance designs. Ampex engineers opened up the helical scanner technology for broadcast recorder but Sony, JVC and Matsushita overtook them in this technology. RCA suggested the introduction of a television magnetic tape player but this was not considered by the management until later in 1958 in the design of VTR. Sony did not employ the method of market research but instead chose to insist on high technology and innovation. In 1950, Sony introduced the first Japanese magnetic recorder for sound and tape, followed by a TV camera and stereo tape recorder. In 1961, it unveiled the first fully transistorized VTR in the world. Matsushita was a diverse company dealing with a range of electrical appliances. To beat this company’s success, the rivals developed cheaper appliances. The diversities in technology led to a need for international standards to govern this. Sony wanting to outdo its foreign rivals collaborated with JVC and Matsushita in the establishment of ? inch tape cassettes. Sony, JVC and Matsushita made strategic management of technology by learning through trials. These companies were persistent and flexible. Ampex and RCA in America lacked consistency in their strategic direction making them fail to sustain technical development. The Japanese companies had stable technical teams which ensured stability in the organization. Top managers were involved in making critical decisions. Ampex VTR organization was however marred with instability (Rosenbloom & Cusumano, 1987). The basic VCR technology originated from the US and Europe although the Japanese industries have been successful in the industry. The success attributed to the Japanese industries was achieved by more improvements on the basic technology rather than just copying what the West had to offer. The advent of transistors, semiconductors and microchips greatly boosted the electronic industry in Japan. Ampex VTR organization. (2017, Jan 04).

Friday, September 13, 2019

Situational planning stradegy Essay Example | Topics and Well Written Essays - 750 words

Situational planning stradegy - Essay Example Despite these strengths the recent internal audit has unveiled some challenges and threats faced by the center. Under these circumstances, the first dilemma required to be answered is it worth revisiting the Community South Medical Center strategic plan or it will be prudent to follow the plan devised three years ago along with a yearly assessment. The recent shifts in patient care mix and shifting of good paying business from the locality to the other urban areas are two major factors that can affect the present positive trends in near future. Moreover, the overall aging trend of the population is a major concern which should be addressed rationally, especially in case of a for-profit organization of the center. Medicare and managed care have already shown a downward trend in previous three years and the shift of major businesses from the locality may even worsen the situation in the upcoming years and the center may witness a fall of employer sponsored health insurance. A change in strategic direction is therefore, deemed imperative to address the threats and capture the new opportunities. The strategic direction of Community South Medical Center is required to incorporate the changes that can ensure a sustainable profit graph in the coming years. The community analyst and future trend analyst are two major leadership positions in my strategic management team. These two can provided a better insight in to the state of affairs that the Community South Medical Center is facing and can provide useful input for setting the future direction of the center. The community analyst will specifically look for the shifts in healthcare mix and other communal trends like dominant aging trend of population and will provided a consolidated reported on the future impact of communal changes and a relative policy change that is required to be react these changes in a befitting manner. Future

Thursday, September 12, 2019

See the pix Essay Example | Topics and Well Written Essays - 500 words - 1

See the pix - Essay Example Among the two leaders, Saito used forceful tactics over Colonel Nicholson. In management studies, there are autocratic leaders who often think that they can get their orders through with force (Gardener, 2003). This is exactly the tactics that Saito employed over Nicholson when he slapped Nicholson with a copy of the Geneva Convention that Nicholson was criticizing him with. On the part of Nicholson, his tactics was that of logical intuition whereby he played on the logical reasoning of Saito when he refused release from the oven by Clipton. The individual influence tactics used by the two leaders on their dependants was not different from what they used against themselves. Saito in all means stamped his authority through force whiles Nicholson was more gentle and logical with his dependants. An evidence of this was when Nicholson agreed to the building of the bridge on what could be described as a humanitarian grounds than on a leadership grounds. It is not surprising therefore that Nicholson had a simple aim of completing the bridge as an example of the ingenuity and hard work of his Army. As for Saito, all he was seeking to avoid was the looming seppuku. On a personal ground, Saito wanted to avoid seppuku and on organizational grounds, he wanted to show his supremacy over his people. On the part of Colonel Nicholson, his personal goal was to exemplify the unique gift of creativity and hard work with which the British Army worked. This goal was set despite the fact that he was indeed working to favor the Japanese more than the British. On an organizational ground, his goal was to ensure evenness and allow the full rigors of the law to operate. In leadership and management studies, leaders’ behaviors are influenced by the goals and vice versa. Leaders who want to be autocratic often have a hardened behavior that gives little room for other people to express themselves. Clearly, the evidence of this was seen in the

Wednesday, September 11, 2019

G&D's own Ice cream cafe in Oxford Essay Example | Topics and Well Written Essays - 1000 words

G&D's own Ice cream cafe in Oxford - Essay Example Both these new outlets have also been able to gather the kind of popularity as the popular outlet.    It all started with an idea from George Stroup, who was himself a student of the Oxford University. The motivation to set up such a shop came from his own observations that in 1990 there were no quality ice cream parlors in and around Oxford, where people can get value for money products. Thus he sensed a business opportunity in providing quality ice creams at reasonable prices. He also believed that people should enjoy their food in a congenial atmosphere along with decent service provided by the staff. It was decided that in order to provide quality products to the customers, the ice cream should be manufactured indigenously. To transform the idea into actual work, supplies were arranged from the local suppliers and machines were ordered to suit the specific needs.   G&D has set up in house production facilities for all its products. This helps in maintaining the quality and taste of merchandise and to live up to the customer’s expectations. After significant increase in the business, G&D’s has shifted the production unit of baked goods to the George and Denver shop in 2002, while the ice cream production facility remained at the original George and Davis on the Little Clarendon street. Company’s focus was always on delivering quality and tasteful flavors to the customers. Hence the production unit keeps on experimenting with the ice cream recipes to churn out new and innovative flavors. Use of any kind of artificial flavors and preservatives are strictly avoided and stress is put on using only the best quality natural ingredients (like the jersey cream) available in the market. Added to this is the â€Å"slow turn, quick freeze† technique (G & D’s, n.d.), unique to G&D’s, which results in richer product s of superior quality. Hence, it is not without reason that just after two months of setting up the operations,

Tuesday, September 10, 2019

Symbols in Van Eyck's Portrait of Giovanni Arnolfini and His Wife Essay

Symbols in Van Eyck's Portrait of Giovanni Arnolfini and His Wife - Essay Example The placement of the subjects also reveals the rigid gender expectations of the fifteenth century. Whereas Arnolfini is standing next to the window, representing his role as the ambassador for the family, his wife is next to the bed. This symbol works on two levels: it reminds the viewer that she is restricted to home life, and also makes an implicit sexual suggestion – a suggestion which is made explicit when we consider her come hither eyes, and the fact that her appearance resembles that of a pregnant woman. The two pairs of cast-aside shoes in the centre background and left foreground of the picture further this idea of a sexual union. Removed shoes were symbolic of sex in Dutch art. The open, red curtains of the marital bed and the cherries on the tree just visible through the window are equally as suggestive, inducing the viewer to see this portrait as the fervent desire of the couple to procreate. However, it is believed that this portrait could have been commissioned by a man grieving his first wife. This is represented by the chandelier: above the mans head a candle is burning, but the candle above the woman has burnt out. Similarly, in the frame of the mirror, on the left hand side, closer to the man, there are images of Christs life, whereas the ones on the right portray Christs death. This could also explain the disparity between the season (early summer, according to the presence of the tree) and the subjects winter clothing, if the wife had died in the winter

Monday, September 9, 2019

Strategic Alignment Assignment Example | Topics and Well Written Essays - 500 words

Strategic Alignment - Assignment Example Hong Kong is the heart of for the group with three properties in this city. These include the Landmark, Excelsior, and Mandarin Oriental. These properties have registered a greater performance despite the competition in the hotel segment in Hong Kong. Landmark, Excelsior, and Mandarin Oriental generate 38 percent of the total revenues of the group. Mandarin Oriental performs best and utilizes well the market space in Hong Kong contributing an approximate of 15 US dollars per square meter. The group has witnessed a heavy growth of visitors from the mainland China to Hong Kong. In the year 2011, China attracted about 28 million of visitors to Hong Kong. Mainland China recorded 28,100,129 in 2011 and 22,684,388 in the year 2010 (Group Communication 2). It was 67 percent of the total clients of the Mandarin Oriental. Relaxation for individual Visa Scheme in China to people visiting Hong Kong will benefit Mandarin Oriental in its ambitious project of investing in branded residences. This is the principal value driver, which will support Mandarin Oriental competitive method in the hotel industry in Hong Kong. The competitive method capitalizes on the growth of tourism industry in Hong Kong. Tourism industry contributed to growth of Hong Kong GDP by 15.2 percent. There are projections that GDP in Hong Kong will increase by 2.4 percent in 2012. The rate of visitors’ expenditure is favorable for this future and ambitious project of Mandarin Oriental. In 2011, the visitors’ spending was 6,094 US dollars. This was approximately 21 percent increase of the record of 2007 (Group Communication 1). This consistent growth in tourism expenditure will be an advantageous to Mandarin Oriental in Hong Kong. Currently, the Mandarin Oriental uses creative marketing strategy that lays a lot of emphasis on the strengths of the group. The marketing plan addresses a comprehensive set of factors that influence the marketing for the hotel. Sound

Sunday, September 8, 2019

Legal Environment of Business - BLAW-3400-004 Essay

Legal Environment of Business - BLAW-3400-004 - Essay Example A qualified workers right to Family and Medical Leave started on August 5, 1993. For every leave taken prior to that date is not considered t as FMLA leave (Rossin†Slater, et. al,. 224). Nevertheless, measures succeeding under the legislation of FMLA leave intends, for instance, the child birth happening before 5 of August 1993, still permit qualified workers to the benefits of Female Medical Legislation on and after 5, of August 1993. The law contains a number of provisions linking to employer coverage as well as all government agencies; worker qualification for legislation benefits; preservation of health benefits for the period of leave, entitlement to leave and work reinstatement ; notice and certification of leave; and, safeguarding of workers who apply or get FMLA leave. Moreover, the legislation comprises certain employer recorded information (Post, Robert and Siegel, 2032). The Family Medical Leave permits workers to balance family life and their work by taking rational unpaid leave for a given reasons. The FMLA is proposed to balance the needs of families with demands of the place of work, to encourage the economic security and stability of families, and to support national interests in protecting family integrity (Waldfogel and Jane, 17). The FMLA tries to achieve these rationales in a manner that put up with the legal interests of bosses, and which reduces the possibility of employment favoritism on the basis of gender, while encouraging equal employment chances for women and men. The ratification of the Family Medical Leave was constituted on two primary distresses – the needs of America employees and the improvement of high-performance institutions (Gerstel, Naomi, and Katherine, 520). Gradually more American children and rising numbers of the aged are reliant on family members who are employed to spend lengthy hours on the work (Post, Robert and

Saturday, September 7, 2019

Evaluate the contributions made by the chicago school to our Essay

Evaluate the contributions made by the chicago school to our understandings of crime and the urban environment - Essay Example The Chicago School of Sociology moved the study of crime away from the basic and overly-simplified Biological and Physiological explanations of the 19th century onwards, promulgated by such positivist theorists as Lombroso1 which sought to explain criminal behaviour through ‘body type’ arguing that pathology was located in the individual. Fortuitously we live in an age where the Human Genome Project has nullified once and for all the idea that criminal behaviour can be explained categorically by ‘body type’. Whilst law enforcers may discriminate against certain physical features, theoretical law does not. Theoretical law concerns itself with the intention (mens rea) of the defendant who must also have undertaken a prohibited action (actus rea)a. It was increasingly apparent that such Biological and Physiological theories did not offer a universal theory for the existence of crime or its perpetrators. For example, those theories had no explanation to offer for ‘white-collar crime’ – undertaken by persons who had – and have - no apparent genetic, social or educational deprivation excuses for their ‘criminal’ behaviour. Edwin Sutherland’s studies in the 1940s of ‘White Collar Crime’ argued that white collar crime was rarely detected or prosecuted, as it appeared to be victimless crime and was committed by high net worth individuals. However in recent years there has been considerable focus on white collar criminals. A pertinent example is the former media mogul Conrad Black who is currently awaiting his turn on the witness stand. Pictures of the defendant clearly indicate that he does not have a low forehead. Besides raising significant counter-arguments to previous universally accepted criminological theories, the Chicago School opened a whole new avenue of empirical sociology research as they examined the impact of environment on behaviour setting out to answer the following question: Why is there

Friday, September 6, 2019

Building High Performance Team In A Minute Essay Example for Free

Building High Performance Team In A Minute Essay When working with a group or a company, the most expected mantra recited is â€Å"be a team player† in order contribute for the organization’s accomplishment of all its goals and objectives. To quote, â€Å"Someone may be great at his or her job, maybe even the best there ever was. But what counts at work is the organization’s success, not personal success. After all, if your organization fails, it does not matter how great you were; you are just as unemployed as everyone else† (Johnson, Kantner Kikora, 1990). This is why Kenneth Blanchard decided to jack up his One Minute Manager book series by coming up with something that will focus on teamwork, which is The One Minute Manager Builds High Performing Teams (1990, revised 2000). With Eunice Parisi-Carew, Blanchard tackles in this book the in-depth dynamics of team structure and the most rewarding interactions of each team members. Blanchard hopes that, by reading the book, participants of these work groups will gain a clearer understanding of how their teams may function at optimal levels. As a prominent author, speaker and business consultant, Kenneth Blanchard is often described as one of the most insightful, powerful and compassionate gurus in the business world. Blanchard is chairman of Blanchard Training and Development Inc., a management consulting and training company which he founded in 1979. He co-authored four books in the One Minute Manager series that collectively sold more than nine million copies and have been translated into more than 20 languages. Also, he has regularly appeared on popular television news and business programs in the US and has been featured in leading magazines such as Time and US News. This is why if somebody has enough expertise on how teams can be made effective, Blanchard has definitely the authority to discuss how teams work to become high performing and achieve excellence for the organization. Noted for his leadership approach that promotes self-esteem and self worth through a clear and structured approach to making people accountable for their behavior, Blanchard emphasized that â€Å"people who feel good about themselves produce good results — and appeal is based on applying techniques that take only one minute to apply†. What’s most relevant in e One Minute Manager Builds High Performing Teams (2000) is that the authors presented seven characteristics of the perform model that identified the desired behaviors of an effective team:  · Purpose. Team members are clear about what the teams work is and why it is important.  · Empowerment. Members are confident about the teams ability to overcome obstacles and to realize its vision.  · Relationship and communication. The team is committed to open communication, and members feel that they can state their opinions, thoughts and feelings without fear.  · Flexibility. Members are flexible and perform different tasks and maintenance functions as needed.  · Optimal productivity. High-performing teams produce significant results, due to a commitment to high standards and quality results.  · Recognition and appreciation. Individual and team accomplishments are frequently recognized by the team leader as well as team members by celebrating milestones, accomplishments and events.  · Morale. Members are enthusiastic about the teams work, and each person feels pride in being a team member (p. 9-16). At 106 pages, this book is not a heavy read and filled with fictionalized dialogue to establish concrete examples. Also, this book interestingly explains the developmental stages a team goes through on their quest in becoming â€Å"high-performing† and â€Å"self-directed.† Emphasizing on the group dynamics, the authors easily described how an effective leader or â€Å"educator† can help steer the team that will empower individual members to contribute their creative ideas and talents to attain the common goal: accomplishing the team’s mission. In the work environment, teams materialize to focus on tasks or solve problems that are beyond the capacity of one individual. With this type of set-up that allow creative and innovative juices to flow through the constant sharing of information,   people could appropriate division of labor among the members of the team can lead to more effective, more efficient and less stressful workplace. Their high levels of performance with regards to quantity, quality, and timeliness of work results can contribute to their sense of satisfaction, addressing a psychological and motivational need. With incessant exposure to each other, team members and their superiors could ascertain whether they have a team that can continue working together with synergy or their togetherness poses a detrimental effect on their output and interrelationships. Thus, with the help of this book, managers, leaders and even parents can make most of their teams to have a wider perspective of the processes and a detailed coverage of the activities that occur and address what needs to be improved in their respective organizations.

Thursday, September 5, 2019

The Link Between Inflation And Unemployment Economics Essay

The Link Between Inflation And Unemployment Economics Essay The two main goals of economic policymakers are low inflation and low unemployment, however often these goals conflict. For instance, if the policymakers decided to use monetary or fiscal policy to expand aggregate demand then this would move the economy along the short-run aggregate supply curve to a point of higher output and a higher price level. The higher output mean lower unemployment as firms would need more workers when they produce more. On the other hand a higher price level, given the previous years price level, means higher inflation. Therefore, when policymakers move the economy up along the short-run aggregate supply curve, they reduce the unemployment rate and raise the inflation rate. Similarly, when policymakers contract aggregate demand and move the economy down the short-run aggregate supply curve, unemployment rises and inflation falls. The trade off between unemployment and inflation is often referred as the Philips curve. The Philips curve is an inverse relationship between the rate of unemployment and the rate of inflation in an economy. In another word, it is a reflection of the short-run aggregate supply curve so as policymakers move the economy along the short-run aggregate supply curve, unemployment and inflation move in opposite direction. The Phillips curve is a useful way to express aggregate supply because unemployment and inflation are such important measures of economic performance. The Phillips curve in its modern form states that the inflation depends on three forces and they are; expected inflation, the deviation of unemployment from the natural rate also known as cyclical unemployment and supply shocks. These three forces can be express in the follow equation: Ï€ = Ï€ e ÃŽ ²(u-u n ) + ʆ¹ Inflation = Expected Inflation (ÃŽ ² x cyclical unemployment) + supply shock Where ÃŽ ² is a parameter measuring the response of inflation to cyclical unemployment. There is a minus sign before the cyclical unemployment as high unemployment tends to reduce inflation. The equation above basically summarises the link between unemployment and inflation. The diagram below is an example of a short-run trade off between unemployment and inflation. When unemployment is at its natural rate, inflation depends on expected inflation and the supply shock. The parameter ÃŽ ² determines the slope of the trade-off between unemployment and inflation. In the short-run, for a given level of expected inflation, policymakers can manipulate aggregate demand to choose a combination of inflation and unemployment on this curve which is called the short-run Phillips curve. In the short run, inflation and unemployment are negatively related. In the long-run, the Phillips curve is vertical. This is because when actual inflation equals expected inflation, there is no trade-off between inflation and unemployment. In long-term equilibrium the actual rate of inflation must remain equal to the expected rate. Unemployment, u Inflation, Ï€ Long-Run Phillips Curve Short-Run Phillips Curve Inflation, Ï€ Unemployment, u There are two main causes of rising and falling inflation; they are demand-pull inflation and cost-push inflation. Demand-pull inflation occurs when aggregate demand in an economy outpaces aggregate supply. This is when the inflation goes up as a result of real GDP rises and unemployment falls which move the economy along the Philips curve. The demand-pull inflation diagram below illustrates that according to Keynesian theory, firms will employ people and the more people are employed, the higher the aggregate demand will become. Greater aggregate demand will lead to firms employing more people in order to meet the higher output. This is when the unemployment falls and the price increases therefore AD0 shifts to AD1. Cost-push inflation occurs when the price of goods or services increases which doesnt have and close substitutes for example oil. The cost-pull inflation diagram below illustrates that according to Keynesian theory, many prices are sticky downwards, so instead of price fa lling there would be a supply shock causing a recession. This is when unemployment rises and GDP falls and therefore SRAS0 shifts to SRAS1. Cost-Pull inflation Demand-pull Inflation SRAS1 AD0 Price level AD1 E2 E0 AD0 SRAS0 Y* Y0 P2 P0 SRAS0 Price level E0 Real GDP E1 P1 P0 Real GDP Y0 Y* A good example of link between unemployment and inflation can be seen in the United States. The graph below shows the history of unemployment and inflation in the United States since 1961. The four decades of data illustrates some of the causes of rising or falling inflation. As we can see from the graph, during 1960s policymakers were able to reduce unemployment in the short -run, however this caused the inflation to rise high. This was achieved by cutting tax in 1964, together with expansionary monetary policy which expended the aggregate demand and pushed the unemployment rate below 5%. Moreover, due to government spending as a result of Vietnam War, this expansion of aggregate demand continued in the late 1960s. Consequently, unemployment fell lower and inflation rose higher than intended. In 1970s, policymakers started off with trying to lower the high inflation of 1960s. The government imposed temporary controls on wages and prices and the Federal Reserve engineered a recession through reducing monetary policy but the inflation rate only fell slightly. By 1972, unemployment was same as 1962 however the inflation rate was 3 percent higher. At the start of 1973 policymakers had to deal with the large supply shocks caused by the Organization of Petroleum Exporting Countries (OPEC). During mid-1970s, OPEC raised their oil price pushing the inflation rate up to 10 percent. With the supply shock and temporary tight monetary policy, led to recession in 1975. High unemployment during the recession reduced inflation rate however further OPEC price raise pushed inflation back up again in the late 1970s. During 1980s there was high inflation and high expectation of inflation. So the Federal Reserve was determined to aim monetary policy at reducing inflation. Consequently, in 1982 and 1983 the unemployment rate reached its highest level in 4 decades. Fall in oil price in 1986 has helped reduce the unemployment rate and lowered the inflation rate down from 10 percent to near 3 percent. By 1987, unemployment reached 6 percent which was close to most estimates of the natural rate. The unemployment rate continued to fall throughout the late 1980s and reached to 5.2 percent in 1986 which led to a new round of demand pull inflation. The 1990s began with a recession as a result of contractionary shocks to aggregate demand. However, unlike the recession in 1982, unemployment in 1990 recession wasnt far above the natural rate therefore the effect on inflation was small. By the end of 1990s, both unemployment and inflation reached their lowest levels in many years. This could be due to a combin ation of events which helped keep the inflation in check despite low unemployment. However in 2000, inflation rate started to rise up again. The example of United States macroeconomic history displays the many causes of inflation. The two sides of demand pulled inflation can be seen during the 1960s and 1980s. In the 1960s low unemployment pulled inflation up and in the 1980s high unemployment pulled the inflation down. During 1970s the rise in oil price showed the effects of cost push inflation. http://static.flatworldknowledge.com/sites/all/files/29936/fwk-rittenmacro-fig16_004.jpg