Saturday, November 30, 2019

Welfare State Essays - Federal Assistance In The United States

Welfare State The role of welfare within our society has always been controversial. This problem emphasizes the need to understand the roles of variable factors when pertaining to the subject of welfare within our society. The proposed analysis will address the phenomenon of welfare assistance and several factors which may contribute to the increase or decrease of welfare assistance to the poor in 4 ways: (1) by defining major concepts and any other concepts about which there is likely to be misunderstanding (2) by further examining the past history pertaining to the subject of welfare assistance within the United States; (3) by developing the formulation of a hypothesis which will provide for an explanation of welfare; and finally (4) determining whether or not the benefits of welfare assistance outweigh the cost. Ultimately, the purpose of this research analysis is to investigate variable factors that may contribute to the increase or decrease of welfare assistance. This cost benefit analysis is an attempt to explain the tentative assumptions of others pertaining to the subject of welfare, in order to determine and explain the relationship of welfare to the economic cost and benefits. Cost-Benefit Analysis Before welfare assistance can be analyzed there is a need to define the terms that will be used. Policies like welfare assistance are worthwhile only if the benefits to society are greater than the costs. When choosing among a set of policies, the policy with the greatest net benefit (benefit over cost) should be chosen. Hence, this is where the term cost-benefit analysis comes from. Cost-benefit analysis is a technique for determining the optimal level of an economic activity such as welfare. In general, an activity such as welfare assistance should be expanded as long as it leads to greater benefits than costs. In purely economic terms, does the benefit of welfare assistance justify the costs of welfare assistance? (Mishan 13) Why Use Cost-benefit Analysis? Since 1981, government agencies have been required to perform cost-benefit analyses called Regulatory Impact Analyses (RIA's) for all major regulations within the United States. Many statutes require that cost-benefit analysis be undertaken and the results be reported to Congress (Mishan 2). Cost-benefit analysis can also be a good way to measure how effective a policy such as welfare assistance has been, or to find ways in which a program can be improved. But, regardless of how it is used, the preparation of a cost benefit analysis provides a useful framework for consideration of the possible effects of a proposed policy. Past History of Welfare Assistance One of the first welfare programs to provide income support to the poor was a federally backed plan called the Aid to Dependent Children (ADC) program. This legislation was introduced with the establishment of the Social Security program during the Great Depression. (Rowley, and Peacock 43) The ADC program which had started nearly sixty years ago is now better known as the Aid to Families with Dependent Children (AFDC) program, which provided a federal entitlement to economic support for single parents with children younger than 18 who fell below a threshold of assets and income (Rowley, and Peacock 44). Federal guidelines allowed for each state to set its own predetermined needs standards for families of different sizes and living locations. Both the federal government and the states supplied funding for the AFDC program (Rowley, and Peacock 50). In 1996 Congress adopted the Temporary Aid to Needy Families (TANF) program by enacting the Personal Responsibility and Work Opportunity Reconciliation Act which ultimately changed the structure of federal financial assistance to the states thereby abolishing the AFDC program. Another social welfare program was the Supplemental Security Income (SSI) program. Congress established the Supplemental Security Income program in 1972, with payments beginning in January 1974. It replaced the former Federal-State programs of Old-Age Assistance (OAA), Aid to the Blind (AB), and Aid to the Permanently and Totally Disabled (APTD)( Myles, and Pierson 9). An individual may have qualified for payments on the basis of age, blindness, or disability. Any person aged 65 or older was also eligible. President Richard Nixon enacted the Supplemental Security Income program with the signing of the Supplemental Social Insurance Act. The benefits under this program were originally targeted to the elderly who did not qualify for social security and the blind and disabled whose income and assets fell below the specified thresholds. A third major welfare assistance program is the Medicaid program. The Medicaid program is a health care support program targeted toward the poor. Medicaid was originally suppose to provide the same health care to the poor as privately

Tuesday, November 26, 2019

Should there be a law when celebrities influence Essays

Should there be a law when celebrities influence Essays Should there be a law when celebrities influence Essay Should there be a law when celebrities influence Essay Anorexia nervosa is an eating upset, characterised by self-starvation. Sick persons tend to hold a distorted organic structure image, frequently sing themselves as larger than they really are. They may develop an intense fright of weight addition, despite the fact they are significantly scraggy. The unwellness has a psychological every bit good as physical footing and is more complex than merely following an utmost diet. Sufferers typically become haunted with nutrient and develop schemes to enable them to avoid eating. The deficiency of nutrient can ensue in failing, desiccation, sterility, kidney failure, bosom failure and decease. Despite considerable research, no individual cause of the unwellness has been established, although the media are frequently criticised for their publicity of super-thin theoretical accounts. In add-on, assorted famous persons, have been blamed for promoting anorexia through their emaciated visual aspects which some argue have led immature misss to endeavor for unnatural and inaccessible ideals, taking to the development of eating upsets. The influence of famous persons have led some to propose that the reply to the job may lie in legal control in the signifier of go throughing a jurisprudence to curtail the celebrity/anorexia influence upon immature misss. In footings of a condemnable jurisprudence and the possibility of conveying a prosecution against a famous person accused of act uponing immature misss to go anorectic, a figure of jobs arise. First, the nature of the offense itself, bing statute law allows for prosecution for non-fatal offenses under the Offences Against the Person Act 1861. A possible offense would include subdivision 20, which makes it an offense to bring down dangerous bodily injury ( GBH ) on any individual. There is no uncertainty that the wellness jobs suffered by those with anorexia could amount to GBH but there is an issue with causing – could the famous person concerned be said to hold caused the anorexia? In order to successfully prosecute a famous person in this context, the prosecution would hold to demo, beyond sensible uncertainty, that the behavior of the famous person straight caused a peculiar immature miss to develop anorexia. There are a figure of issues originating here. First, causing would be highly hard to set up. The usual manner of turn outing causing is by using a two-stage trial. First, was the action of the suspect, in this instance the famous person, the factual cause of the victim’s injury? The trial used comes from the instance of R v White [ 1910 ] [ 1 ] and is known as the but for’ trial – but for the actions of the suspect, would the victim have suffered from anorexia? As anorexia is a complex mental unwellness, the cause of which is non normally agreed upon, this would be all but impossible to turn out and surely could non, on the footing of current medical cognition, be attributed beyond sensible uncertainty to a individual cause. As factual causing entirely does non ever give rise to legal liability, even if it could be established, the prosecution would besides be required to turn out legal causing. For legal causing to be established, the actions of the suspect must be the legal cause of the victim’s injury. In relation to anorexia, the prosecution would hold to demo that the behavior of the famous person in inquiry made a important or more than minimal’ part to the victim’s anorexia. [ 2 ] This is possibly easier to turn out than factual causing but would still necessitate medical grounds to back up the averment. This would be really hard to happen. If both factual and legal causing could be established, the suspect may well reason that the fact that no 1 cause of anorexia has been established by the medical profession means that their behavior is merely one of a figure of possible causes. In add-on, the actions of the victim themselves may good be considered to interrupt the concatenation of causing which must take straight from the defendant’s behavior to the victim’s anorexia – in other words, the famous person may reason that it is the victim who has caused their ain anorexia by declining to eat and that they should non, hence, be held responsible. Even if the issues of causing were satisfied, there would be a job with work forces rea, in that the famous person would hold to be shown to hold deliberately caused the victim to develop anorexia or been foolhardy as to whether they did so. The prosecution are improbable to be able to turn out that this was the instance as no jury would be likely to do such a determination merely on the footing of the manner the famous person looked. In the civil kingdom, a instance may be made for carelessness, based on a failure by the famous person concerned to take sufficient attention to protect immature misss from being influenced by their visual aspect. This excessively though is improbable, since the tribunals would likely non enforce the necessary responsibility of attention upon famous persons. If famous persons were held to owe such a responsibility to immature misss, it would curtail their liberty and may even be held to transgress their human rights, as the tribunals would be enforcing their positions upon what constituted a normal weight and how famous persons would be allowed to look/dress and the similar. As there are issues with the bing Torahs, a new jurisprudence could be developed but given the jobs already highlighted in both the felon and civil sphere, any new statute law is likely to run into similar jobs. In decision, hence, there should non be a jurisprudence regulating this country, as the practical jobs associated with it would be excessively great. Alternatively, other influences should be considered, such how to advance the impression of a healthy weight, whilst research and intervention for those enduring from anorexia should be continued. Bibliography Allen, M. Criminal Law, 9Thursdayedition. Oxford: OUP, 2007 Beat. Has Fashion Got Its House in Order? ’ October 2007 Emmett, S. Theory and Treatment of Anorexia and Bulimia. Brunner-Mazel, 1985 Harpwood, V. Modern Tort Law, 6Thursdayedition, Routledge, 2005 Ormerod, D. Smith and Hogan Criminal Law, 11Thursdayedition. LexisNexis, 2005 Web sites BBC At: hypertext transfer protocol: //www.bbc.co.uk/health/conditions/anorexia1.shtml Eating Disorders UK At: hypertext transfer protocol: //www.b-eat.co.uk/Home Accessed 22neodymiumMarch 2008 1

Friday, November 22, 2019

Dong Son Drums - Symbols of a Maritime Bronze Age Society in Asia

Dong Son Drums - Symbols of a Maritime Bronze Age Society in Asia The Dong Son Drum (or Dongson Drum) is ​the  most famous artifact of the Southeast Asian Dongson culture, a complex society of farmers and sailors who lived in what is today northern Vietnam, and made bronze and iron objects between about 600 BC and AD 200. The drums, which are found throughout southeast Asia, can be enormousa typical drum is 70 centimeters (27 inches) in diameterwith a flat top, bulbous rim, straight sides, and a splayed foot. The Dong Son drum is the earliest form of bronze drum found in southern China and southeast Asia, and they have been used by many different ethnic groups from prehistoric times to the present. Most of the early examples are found in northern Vietnam and southwestern China, specifically, Yunnan Province and the Guangxi Zhuang Autonomous Region. The Dong Son drums were produced in the Tonkin area of northern Vietnam and southern China beginning about 500 BC and then traded or otherwise distributed throughout island Southeast Asia as far as the western New Guinea mainland and the island of Manus. The earliest written records describing the Dongson drum appear in the Shi Ben, a Chinese book dated from the 3rd century BC. The Hou Han Shu, a late Han dynasty book dated to the 5th century AD, describes how the Han dynasty rulers collected bronze drums from what is now northern Vietnam to melt down and recast into bronze horses. Examples of Dongson Drums have been found in elite burial assemblages at the major Dongson culture sites of Dong Son, Viet Khe, and Shizhie Shan. Dong Son Drum Designs Designs on the highly ornamented Dong Son drums reflect a sea-oriented society. Some have elaborate friezes of figured scenes, featuring boats and warriors wearing elaborate feather head-dresses. Other common watery designs include bird-motifs, small three-dimensional animals (frogs or toads?), long boats, fish, and geometric symbols of clouds and thunder. Human figures, long-tailed flying birds and stylized depictions of boats are typical on the bulging upper part of the drums. One iconic image found on the top of all Dongson drums is a classic starburst, with a various number of spikes radiating out from a center. This image is immediately recognizable to westerners as a representation of a sun or a star. Whether that was what the makers had in mind is something of a puzzle. Interpretive Clashes Vietnamese scholars tend to view the decorations on the drums as a reflection of cultural characteristics of the Lac Viet people, early residents of Vietnam; Chinese scholars interpret the same decorations as evidence of a cultural exchange between interior China and Chinas southern frontier. One outlier theorist is Austrian scholar Robert von Heine-Geldern, who pointed out that the earliest Bronze Age drums in the world come from 8th century BC Scandinavia and the Balkans: he suggested that some of the decorative motifs including tangent-circles, ladder-motif, meanders and hatched triangles may have roots in the Balkans. Heine-Gelderns theory is a minority position. Another point of contention is the central star: it has been interpreted by western scholars to represent the sun (suggesting the drums are part of a solar cult), or perhaps the Pole Star, marking the center of the sky (but the Pole Star is not visible in much of southeast Asia). The real crux of the issue is that the typical southeast Asian sun/star icon is not a round center with triangles representing the rays, but rather a circle with straight or wavy lines emanating from its edges. The star form is undeniably a decorative element found on Dongson drums, but its meaning and nature is unknown at present. Long-beaked and long-tailed birds with outstretched wings are often seen on the drums, and interpreted as typically aquatic, such as herons or cranes. These too have been used to argue a foreign contact from Mesopotamia/Egypt/Europe with southeast Asia. Again, this is a minority theory that crops up in the literature (see Loofs-Wissowa for a detailed discussion). But, contact with such far-flung societies is not a totally crazy idea: Dongson sailors likely participated in the Maritime Silk Road which could account for long-distance contact with late Bronze Age societies in India and the rest of the world.There is no doubt that the drums themselves were made by the Dongson people, and where they got the ideas for some of their motifs is (to my mind anyway) not particularly significant.   Studying Dong Son Drums The first archaeologist to comprehensively study southeast Asian drums was Franz Heger, an Austrian archaeologist, who categorized the drums into four types and three transitory types. Hegers Type 1 was the earliest form, and that is the one called the Dong Son drum. It wasnt until the 1950s that Vietnamese and Chinese scholars began their own investigations. A rift was established between the two countries, in that each set of scholars claimed the invention of bronze drums for their resident countries. That split of interpretation has persisted. In terms of classifying drum styles, for example, Vietnamese scholars kept Hegers typology, while Chinese scholars created their own classifications. While antagonism between the two sets of scholars has melted away, neither side has changed its overall position. Sources This article is a part of the About.com guide to the Dongson Culture, and the Dictionary of Archaeology. Ballard C, Bradley R, Myhre LN, and Wilson M. 2004. The ship as symbol in the prehistory of Scandinavia and Southeast Asia. World Archaeology 35(3):385-403.  . Chinh HX, and Tien BV. 1980. The Dongson Culture and Cultural Centers in the Metal Age in Vietnam. Asian Perspectives 23(1):55-65. Han X. 1998. The present echoes of the ancient bronze drums: Nationalism and archaeology in modern Vietnam and China. Explorations 2(2):27-46. Han X. 2004. Who Invented the Bronze Drum? Nationalism, Politics, and a Sino-Vietnamese Archaeological Debate of the 1970s and 1980s. Asian Perspectives 43(1):7-33. Loofs-Wissowa HHE. 1991. Dongson Drums: Instruments of shamanism or regalia? Arts Asiatiques 46(1):39-49. Solheim WG. 1988. A Brief History of the Dongson Concept. Asian Perspectives 28(1):23-30. Tessitore J. 1988. View from the East Mountain: An Examination of the Relationship between the Dong Son and Lake Tien Civilizations in the First Millennium B.C. Asian Perspectives 28(1):31-44. Yao, Alice. Recent Developments in the Archaeology of Southwestern China. Journal of Archaeological Research, Volume 18, Issue 3, February 5, 2010.

Wednesday, November 20, 2019

Slavery and Paternalism Essay Example | Topics and Well Written Essays - 1750 words

Slavery and Paternalism - Essay Example The official system was also not a choice for slaves to rely on for aid as they had no official rights. Douglass stated his story when he was a slave. He declares many horrible acts committed by the slaveholders in Talbot County (his birthplace). Douglass declares that in Talbot County slaying or punishing a slave is not considered as unusual or offensive. He further explains the story of a slaveholder who kills two of his slaves and despite of his declaration of the two murders neither anyone put him in jail, nor taken any action against him. Douglass gave some more examples of such horrible deaths of slaves for their minor mistakes. He stated the story of his own cousin who was beaten harshly by a lady with an oak stick just because he fell asleep while watching the lady's child. Such harsh and horrible behavior and dreadful murder of a slave needed to be noticed and forwarded for some solution but this horrifying murder did not seem enough to take action against the lady. One more declaration was that an old slave of Colonel Lloyd was shot just because he encroached mistakenly onto private land. The killer visited Colonel Lloyd to clarify what occurred and the entire issue settled down. Douglass declares quiet repulsively and regretfully that 1"it was worth a half-cent to kill a 'nigger,' and a half-cent to bury one." Chapter 4, pg. 69 Douglass disagrees with the statement that the slaveholders take care of their slaves from their birth till their death and he also refused that slaves have any kind of freedom. As he declares, 2"The whisper that my master was my father, may or may not be true; and, true or false, it is of but little consequence to my purpose whilst the fact remains, in all its glaring odiousness, that slaveholders have ordained, and by law established, that the children of slave women shall in all cases follow the condition of their mothers; and this is done too obviously to administer to their own lusts, and make a gratification of their wicked desires profitable as well as pleasurable; for by this cunning arrangement, the slaveholder, in cases not a few, sustains to his slave the double relation of master and father." Chapter 1, pg. 49 Douglass stated the whole period of his slavery in pain and did not like the rules that were just in favor of the slaveholders. He wanted to escape from this disgraceful and terrible County where the slaves were not even considered as human beings. He hated the behaviors of slaveholders with their slaves. The statement of Douglass further points toward the cruelty and fear of the white men (slaveholders). 3"A single word from the white men was enough-against all our wishes, prayers, and entreaties-to sunder forever the dearest friends, dearest kindred, and strongest ties known to human beings." Chapter 8, pg. 90 To support his argument he gave many examples of murders committed by the masters and their cruelty even as a result of the minor mistakes. Colonel Lloyd had a lot of slaves that he does not recognize them all and they do not all recognize him. It is stated that one day as Colonel Lloyd was on a trip; he meets up a slave and inquires him about his master. As the slave answers that he belongs to Colonel Lloyd, he inquires the slave if his master takes care of him. The slave, unaware of

Tuesday, November 19, 2019

An analysis of factors leading to failure of small businesses in The Dissertation

An analysis of factors leading to failure of small businesses in The Amur Region, Far East Russia - Dissertation Example This publication is important in outlining the background of the Russian policies for small businesses as well as the current business landscape in the country. For instance, there is the discourse devoted on how the business and entrepreneurship climate are currently difficult as demonstrated by the small number of small firms, the low levels of fixed capital investment as well as the capital flight that supposedly exceeded an estimated $15 billion annually. (p. 73) With this OECD (2002) report, several general factors are clearly identified that led to the successes and failures of small enterprises in Russia. In investigating the Amur experience, the corpus of literature of the regional business landscape is essential in depicting the dynamics of setting up and running businesses from policy standpoint as well as from cases of entrepreneurial outcomes. A World Bank research group argued that local government policies are crucial in the growth of small enterprises and that the â₠¬Å"regional data on small enterprises per thousand residents is considered an adequate proxy for local government support for small businesses.† (De Melo, Ofer and World Bank 1999, p10) Several regional cases were identified, compared and assessed. The outcome is an extensive investigation on policy differences, policy reforms, among other economic and political variables that were effectively linked to business performances. Extensive discussion of universal policy areas that cover small-sized businesses are also available in the publication, OECD Studies on SMEs and Entrepreneurship High-Growth Enterprises: What Governments Can Do to Make a Difference. Specific indicators on entrepreneurship that have been derived by OECD from qualitative information on laws and regulations, among other related sources could be adopted by this study at it provided clear roadmap in effectively surveying national and local administrations. These indicators and the methodologies employed to ide ntify them are contained in the OECD’s report called Measuring Innovation (2010). More recent research covering Vladimir Putin’s regime include Ganske’s (2008) book on Russia’s political economy. This work cited the economic reforms that are currently in place as well as several important factors that make small firms fail such as adverse local regulations (licensing, certification, tax inspections, fire inspections and sanitary inspections) and tax policies. (p16) This latter point was further expounded by Sakwa (2004), who argued that although Putin sought to tackle the bureaucratization of the economic landscape and that so far only two large cities have demonstrated some semblance of business dynamism, Moscow and St. Petersburg. (p. 206) Fish (2005) devoted much of his work on documenting the challenges of the effect of bureaucracy on small businesses. The research done by Dana et al. is an excellent resource on current business statistics in Russia s ince it contains critical examination of the data, particularly the numbers, which according to the authors tend to be inflated. One of the reasons given for this argument is that small business owners often â€Å"force onto de facto employees the status of individual entrepreneurs for tax purposes.†

Saturday, November 16, 2019

English Literacy Essay Example for Free

English Literacy Essay The class I will be taking for my three lessons contains 25 grade 9 students. Of these students there is 15 girls and 10 boys. 12 of these students are currently working at the average literacy level for grade 9 students. There are 8 students working at an above average level, and 5 students at a below average level. Of these 5 students, 2 boys have behavioural issues, and struggle to stay attentive for long periods. Twice a week there is a Teacher’s Aid available to work with small groups for up to 2 hours. This 2 hour period is often used to help break up lessons for the 2 boys with behavioural problems, or occasionally separate them if the need arises. Throughout these literacy lessons the Teacher’s Aid will be available to help the 5 students who are currently below average literacy levels, as well as prompt deeper discussion around the chosen text, with other students in the class. The chosen text for this literacy unit is the song ‘Imagine’, originally written and performed by John Lennon. Over a period of 3 lessons this text will be explored and examined through the three receptive modes of listening, reading and viewing. The text ‘Imagine’ provides a range of relevant literacy demands for grade 9 students. It is an excellent example of literature that is well structured by an author, for a specific purpose and effect. As stated by the Australian Curriculum and Assessment Reporting Authority (ACARA) (2011), â€Å"By the end of year nine students analyse the ways that text structures can be manipulated for effect†. Some of the literacy demands that can be explored by students in this text include language for interaction, text structure, expressing and developing ideas. These opportunities are provided by the written content and theme of John Lennon’s song. He uses certain devices, such as metaphor and sentence structure, to suggest the world could be a better place without religion, ownership, war and possibly cultural differences. By analysing the written text, students will have the opportunity to analyse and reflect on how the author has put these messages across. It is also a goal for year 9 students to be able to discuss the content and appeal of an author’s literary style (ACARA, 2011). Other literacy demands that are prominent for this text are examining and responding to literature, as well as interacting with others. Lines in the text, such as â€Å"No people below us, above us only sky†, offers students the opportunity to evaluate and discuss their own ideas on the meaning, and intent of the author. Some students may find the comprehension of these tasks easier than others. This can be due to some students having less prior knowledge in specific areas, and therefore may be working at a lower level of literacy (Emmitt, Komesaroff Pollock, 2006). In this case I as a teacher, as well as the Teacher’s Aid, will be there to support and facilitate learning. Visual and auditory features of this text are also significant to the literacy content. The film clip for the song contains Mr Lennon playing a piano and singing in a large empty house, with a woman sitting with him. This provides students with an opportunity to analyse the message of the video clip by itself, and in relation to the written lyrics. The ability for students to make connections between the lyrics and clip will be encouraged. Contradictions, such as John playing a beautiful piano inside of a mansion whilst singing about no possessions, will also be looked for in students understanding of the text. The melody of the song is uplifting and enjoyable, and provides another aspect of literacy that students can identify with the authors use of text to cause effect. With the aim of providing an effective literacy environment, as well as rich opportunities for literacy to take place, a variety of learning practicing will be implemented. This text allows learning practices such as discussion, group work and presentation. It will be important for me as a teacher to use differentiation whilst providing questions for students, to evoke interest and learning . As suggested by Camborne’s 7 conditions of learning, engagement in crucial in producing an optimal learning environment. Open class discussions involving all students can be used to generate this engagement as well as immerse students into the text (Campbell Green, 2006). Group work will provide another environment where certain students may be more comfortable participating and allow diversity in all student’s learning. The variation provided by the text allows the use of video clips and audio tapes as a form of diversity, which is important in stimulating and motivating students (Campbell Green, 2006). Another key to maintaining motivation in students is encouragement and feedback. This is an important practice throughout any unit and links to Camborne’s learning condition of response. This condition advises feedback from not only teachers but also peers, in both formal and informal settings. It is important that feedback is offered in a constructive and in a positive environment (Westwood, 1999). The strategy I will implement throughout my three lessons with be based around a combination of verbal and written tasks. This will provide students with numerous opportunities to discuss and engage with the text. It will also allow me as a teacher to guide students towards specific learning outcomes related to my context of health. Using the selected strategy, students will be guided towards ‘exploring and reflecting on personal understanding of the world and significant human experience gained from interpreting various representations of life matters from texts’. This is drawn from the grade 9 literacy strand within ACARA 2011. This learning outcome strongly relates to health and wellbeing in society, and provides students with the opportunity to discuss their own thoughts and feelings on such topics. As the lessons progress students will be able to analyse the world, and human health related issues of the text. The selected strategy will permit activities such as linking the general theme of the song to other famous text. The uplifting message of the text ‘Imagine’ suggests that if people work together, the world can become a better place. Other texts such as ‘I have a dream’ by Martin Luther King Junior, have strong links to this message and can be used to strengthen students understanding of the chosen learning outcome. Demonstrating how to make links between different texts by me as the teacher will be important in providing students the opportunity to observe learning occurring (Wing Jan, 2009). Another important aspect of my lessons will be making sure I cater for all students when setting tasks. Support from the Teacher’s Aid, and myself, as well as a variation in difficulty levels required in tasks, will help students achieve the chosen learning outcome. When teaching literacy to grade 9 students in this context it will be important to structure lessons and strategies used to guide students in a clear and precise manner*. I have found Camborne’s 7 conditions of learning an effective theory to use when planning for the literacy demands of a text, as well as literacy practices to be implemented into the classroom. It is also important to use scaffolding through a unit of work, especially when the intended learning outcome is at a level students have not previously achieved (Winch, Johnston, March, Ljungdahl Holliday, 2006). Bloom’s Taxonomy is a good example of how to scaffold correctly and create rich learning opportunities. Bloom’s Taxonomy also links to Camborne’s conditions. The condition of ‘Use’ for example, where students use their knowledge through their everyday lives, links with the later stages of Bloom’s Taxonomy. Scaffolding should be guided by the strategies chosen by the teacher to engage students in each lesson of the unit (Campbell Green, 2006).

Thursday, November 14, 2019

History of the Novel :: Free Essay Writer

The arrival of the novel was not a sudden process. Stories have existed among mankind since the cave man began drawing on the walls. From the Bible to Homer's epic poems to Shakespeare's plays the evolution of the novel has been a gradual but steady process. Now it must be made clear that books existed before the eighteenth century, fiction was written–however, the idea of a ‘novel’ did not come into existence until the 1700s. Although there is no way to credit the ‘first’ novel, however there are at least three â€Å"groups of works† which can be designated as the novels â€Å"predecessors† (Stoddard 30). These three consist of: 1. The Greek Romances "All that we have of it is evidence, more or less complete, of the existence of eight tales" (Stoddard 30) including the story of Nimrod, the story of Dinias and the story of Sinonis. These are stories of adventure and romance. According to Stoddard, these stories focus mainly on external events. These stories do not discuss the internal emotions of the hero. It is a story "wholly external depicting only adventures of the body, of the physical senses" (Stoddard 35). 2. The Italian and Spanish Romances These texts have "vastly influenced the literature of Europe" (Stoddard 39). Although they are similar to the Greek romances with their adventurous tales, there is a more sentimental feel to these stories. These texts take the "pastoral" idea of romance and images of the sentimental lover and longing for the past come into mind. "They are not the novel" (Stoddard 41) but when studying these works, one can see the influence the played on the eighteenth century novel. 3. Prose Romances of Chivalry They tell stories of knights rescuing the damsel in distress and riding off into the sunset. "Tracing a direct line of decent is difficult, but the spirit of these romances of the chivalric deeds"

Monday, November 11, 2019

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Dominic Cole’s IELTS Blog www. dcielts. com The bar chart below shows the quarterly profit forecast for three major US companies in 2012. Write a report for a university lecturer describing the chart. You should write at least 150 words. You should spend about 20 minutes on this task. Quarterly pro? t forecasts for three major US companies in 2012 1500 1350 1200 Pro? t in millions of dollars 1050 900 750 600 450 300 150 0 Jan-March Apr-June July-Sept Oct-Dec Microsoft Ford IBM Dominic Cole’s IELTS Blog www. dcielts. comThis bar graph shows the quarterly change in pro? ts for Microsoft, Ford and IBM in 2012. The ? rst point to note is that while both Microsoft and IBM are predicted to show a substantial growth in pro? ts in this period, there is going to be little movement in the ? gures for Ford. It should also be remarked that although IBM will start the year with the lowest margin, it is predicted to be the most pro? table company by the end of the year. If we look at the numbers in detail we see that Ford is expected to make a ? st-quarter pro? t of around $825 million and this should rise marginally to $900 million by the end of September, only to fall back to its starting point by December. In stark contrast, IBM is predicted to show a steady growth in pro? ts throughout the year, shooting up from just over $180 million to exactly $1,200 million by the year? s end. After a dif? cult ? rst quarter where its pro? ts drop by around half to around $200, Microsoft is forecast to follow a similar pattern of steady growth from April to December, ? ishing at $600 million. notes 1. This report relates to future predictions. See the variety of language that refers to the future 2. The report starts by noting the two main points: general growth apart from Ford and that IBM moves from the least pro? table to the most pro? table 3. The second paragraph deals with each company in turn. It is linked by the comparisons comparing Ford to IBM and then IBM to M icrosoft 4. The word pro? t is repeated consistently but there is some effort to use synonyms or related phrases

Saturday, November 9, 2019

Discuss the whether you believe that the reading on the passive-aggression organization has implications in the UAE

Yes! I should say that passive-aggression organization has implication in the UAE because as Gary Neilson, Bruce Pasternack, and Karen Van Nuys pointed out, no company that has never suffered such syndrome. The passive-aggression organization syndrome is a general situation that has been experienced by business organizations not only in many parts of America, but also in Europe.As Neilson, Pasternack, and Van Nuys stated, problems develop gradually as company grows through a series of â€Å"well-intended but badly implemented organizational changes†¦,† I believe that passive-aggression organization has implication in the UAE because controlling and delegating authority by those at the top often creates problems and complexities that can result to this problem. The survey that was conducted by Booz Allen Hamilton reveals that one in five of about 30,000 respondents to a global online survey admitted they suffered this syndrome.In my view, it is reasonable to say that passi ve-aggression has implications in the UAE. Provide a workplace example from your own experience where you have observed attribution theory occurring. Attribution theory occurs perhaps in every work place where there are both a sound leadership and performance failures. In the banking sector where performance required among employees were customer relations and number skills, occurrence of attribution theory is often seen in this context. Poor performance outcomes are blamed on someone’s customer relation’s skills.Bank employees are paid not only to cater to the need of the clientele; they are also paid to show customer care which mat require skills. Employees often attribute their failures to their lack of skills in customer relations skills. Discuss what you believe is the most important factor to be managed when implementing a change program in the workplace. I believed that the most important factor to be managed when implementing change program in the work place is the change process itself as this could be easily misunderstood by the employees.There are some aspect that needs to be considering when implanting this change such as the behavior of the individual in the organizational settings and the consequences of this change in the employee performance. In the organizational setting, Vecchio stressed that organizational culture provides influences among the employees that could motivate them to bring out their best. Thus, when implementing a change program in the work place, it is important to consider how the change process will have impact on the organizational setting.

Thursday, November 7, 2019

Study of economic growth and development China The WritePass Journal

Study of economic growth and development China Introduction: Study of economic growth and development China Introduction:National High-Tech RD (863) Programme in BriefPolicy Context and ImplementationFunding and ImpactConclusionReferencesRelated Introduction: Economists have during recent time associated economic growth to research and development ability of a country. One of such economic models is called the endogenous growth model. According to the endogenous growth model, research and development is a key driver of technological innovations using human resources capital and the existing knowledge (Romer, 1986). This theory goes on to state that innovation is then used to produce goods which will contribute to the permanent increase in the growth rate of output. Innovations that are endogenously created are essential to a sustainable economic growth.   Research Development therefore can be regarded as an engine for the creation new technology and goods. China has a long history of research and development. The ancient China is celebrated for having invented paper, printing, compass and gun powder. China has also made great invention in the agricultural sector as well as in the astronomy (Sevin 1982). From 1946 to 1970, China pursued a socialist agenda with government playing the central role of coordinating all state affairs. Even though China was considered as a low income country during this period, it invested a lot into Research and Development motivated in order to become a world military power. Elite research institutes such as the Chinese Academy of Sciences were created to support the research and development and China rapid progress in nuclear technology, space technology, and genetic engineering in the 1960s and 1970 testifies to the partial success of this system. However as the Soviet Union was suddenly divided in the 1960, this advancement could not be sustained because China was then dependent on the importation of Tec hnology from its main ally the Soviet Union.   Beginning from the period of Chinese economic reform in 1979, Research and Development in China experienced two transitions:   first, from plan to market economy as it moves away from a centrally directed innovation system, secondly, from low income developing country toward Organisation for Economic Co-operation and Development (OECD) industrialised country status as it intensifies its innovation effort and more effectively deploys the ensuing technological gains. According to the comparative measures of RD intensity among countries of OEC from 1991 to 2003, China’s RD intensity rose to 1.4 percent. Beginning from 1980 to 1990, the central government of China in its bid to catch up with other developed countries decided to formulate and finances science and technology programme throughout the countries. Programmes such as the 863 project and the 973 project were designed to promote science and technology capabilities and to catch up with the growing technological and innovation gap between China and the West. Other programmes such as the Torch programme were designed to support local high –tech industries by providing direct government grant and tax incentives to industries. This essay focuses on the Chinese National RD (863) programme. The objective there is to critically examine the programme, evaluate its output and impact and provide recommendation for its future directions (Naughton,2007). National High-Tech RD (863) Programme in Brief The National High-Tech Research and Development Programme also known as the 863 programme came into being on the 3rd March 1986, when four top China scientists addressed a private letter to Deng Xiaoping, the then Leader of the China calling for the establishment of an Elite project devoted to technology that would make china the â€Å"xin jinshu geming† the new technological revolution. Deng Xiaoping agreed and approved the proposal and directed that action must be taking immediately to implement the programme.   The project was then codenamed 863 programme for the year and the month of its birth. The 863 Programme has set as objective to provide funding for technological research and innovation which were of a strategic importance to the economic and social development of China. It was expected that the programme will enable China achieve a technological â€Å"leap frog† especially in areas were China already enjoys a relative advantages and support the implementation of the third phase of china modernisation process. In recent years, the programme has been extended to include the development of key technologies, in agriculture, biology, environmental protection, renewable energy and information technology. Policy Context and Implementation The programme 863 can be described as part of the general reform efforts that begun in 1979. It was important to move the country away from the socialist approach which was more focused in investing in military research which did help improve the Chinese people wellbeing. The Chinese government also believed that a reform of the economy was important as it will enable a rapid economic growth, improvement on technological innovation and fast infrastructure development that will improve the quality of life of Chinese people. The 863 programme was constituted of an emerging China’s high-technology sector, which includes a number of high level government agencies, state-run research institutes, public and a growing private RD investment funds. The programme could be described as an attempt of the government’s openness policy adopted toward international trade and foreign investment by providing investment attraction to foreign investors through tax incentives and co-investment in research.   The project came to being at a time the government needed to find a lasting solution to its energy needs which became high as the volume of industries and the number of imported cars have increase dramatically. According to the New Yorker, by 2001, more than two thousand new cars were bought in China everyday and millions of barrels were imported from outside and depended of its coals to generate more eighty percent of its energy. This phenomenon was rendering China very polluted and the impact of clima te change could undermine China’s future stability. It was therefore for China to develop new technology to find new solution to its energy and pollution management. The central government wanted to focus on the development renewable energy and as a result made available direct significant public funding to research, product development and application of technologies in the renewable sector. The Ministry of Science and Technology is the lead body in charge of developing science and technology strategy, policy and coordinating other government agencies that were involved in the implementation of the project. Other institutions such as the Chinese Academy of science, the Natural foundation Committee and the Academy of Engineering were also playing important roles in the allocation of funding to research institutes. Funding and Impact Data from the Ministry of Science and Technology reveals a continuing growth in the Chinese Expenditure on Research and Development. In 1996 the gross domestic expenditure on RD was 404 million Yuan and by 2006 the figure has increased to 3003 million Yuan.   China currently spends almost 1.5 percent of it of its GDP on research and Development. China’s expenditure on RD can be regarded as high considering the fact that the living standard of living is still low. By comparison the level of expenditure among OECD countries ranges between 2-3 percent. China is the only low and middle country that depicts such intensity on Research and Development expenditure (UNDP 2001). The government of China is the principal provider of funds for the realisation of the programme. Data from figure 2 shows that government funding is around seventy percent of the total fund that the programme attracted in 2006. Other sectors such the Businesses and Foreign Direct Investment also contribute to funding RD. Figure 1. Gross Domestic Expenditure on RD, 1996-2006 Source: Ministry of Science and Technology 2007 Figure 2: GERD by source of funds and sector performance Source:   MOST 2007 Even though it is believed that the 863 programme has immensely contributed to the China’s recent technological and industrial development an examination of the impact is required to justify the large amount of fund pumped in to the programme.   The 863 programme is heavily dependent on government fund. At the beginning of every year the commission in charge of award of grant set it objectives and calls for bid. The government intention is just to fulfil its catch up agenda with the west. Researchers and research institutes that are involved in the programme are therefore under indirect pressure to deliver the set objectives. As a result Research and Development is often riddled with plagiarism, falsification of data and conflict of interest. In 2004, the popular Chinese researcher from Shanghai Jiao tang University, Chen Jin was involved in a fakery scandal after having received more than ten million dollar in grant to produce a Chinese microchip to rival the American Intel . The situation is a rampant one among Chinese academics and researchers and the reason is that because it is public fund that is involved many researchers are afraid of taking risk since failure may be expensive to them and to the government as this may mean waste of fund among public opinions. According to information from the Ministry of Science and Technology, the 863 programme was a successful project as it helps China invent new technology such as the world First man –loading HTS Maglev, the Third Generation Intelligent Robot that can move freely and avoid barriers and able to talk with human within a certain distance and the Atmosphere and Environmental Monitoring Laser just to mention few. Considering the amount of money the Chinese government spend on Research and Development it is not encouraging to say that China high tech export is highly dominated by foreign investment. According to report from OECD, in 2006, China surpassed the European Union, the US and Japan to become the world largest exporter of high-tech. This is mainly due to the relocation of production capacities of multinational enterprises into China. The China technological advancement has little to do with the indigenous High Tech market. Most of the firms producing High Tech goods in China a re mostly foreign companies; China only contributes in labour term (Xing, 2010). The 863 programme in its conception cannot be said to be a programme which has been designed to promote RD in China. The central government plan was to improve the image of China and it is purely the continuity of the socialist agenda. The only change is that, instead of developing military capabilities, the Deng Xiaoping administration decided to focus on economic catch up. All the projects that were executed under the programme cannot be described as things that will contribute to long term economic growth of China. In the infrastructural and construction area, it is a fact that that the programme has helped China to achieve a historical record in road, railways and airline development. Between 2000 and 2005, the road length in China has increased from 250.700 km to about 1, 930,500 km. Also the Railways have experienced a rapid development. China now has double tracked rails of 25, 000km and electrified rail of 20,000 km. The civil airline has also been developed and today China h as become world second largest air transporter after the United States (Liang Chuan, 2008). Some may argue that China needs all these infrastructural development to elevate its status to a developed country. There is even a Chinese old saying which says that â€Å"If you want to be rich, you must first build road†. But the problem is all these constructions are heavily dependent on public fund and no other country spend so much on infrastructure as China does. According to one study it is estimated that China will need to spend around $132 billion ever year from 2006 to 2010 to maintain these constructions. Moreover the central government does not take into account the social cost of all these development projects for the common Chinese people in terms of lost of land and environmental problems.   The speed at which these projects are executed also poses a problem of quality and standard in the construction and engineering process.   In October 1999, the $52 million 0ne h alf mile-long   Zhaona Mountain bridge   which was built over the young river in Ningbo started to has sways and shack a month before its opening date and inspectors discovered cracks caused by engineering and design flaws. So also in the month January of same year 1999, two bridges collapsed in two different places killing 47 people and injuring more than 30 others (Hays 2008). Another core problem with the 863 programme was the incentive packages the central government made available to motivate researchers and RD firms. It is believed that the central government support to RD through the 863 programme has contributed to the rapid rise of China in the patent applications. Data for figure 3 from the Ministry of Science and Technology shows that the total domestic patent applications increased from 383.157 to 470,342 between 2005 and 2006. The design applications increased from 151,587 to 188,027 within the same year. This tremendous achievement can on the one side be attributed to the zeal and hard work of Chinese researchers but on the hand it can be attributed to the incentives made available by the central government. Figure 3 Patent application filed and patents granted by SIPO Source: Ministry of Science and Technology, 2007 The 863 programme put in place incentive packages ranging from tax reduction to several concessions. In a paper published the Economist title â€Å"Innovation in China: Patents yes ideas maybe† it was stated that â€Å"Professors who do are more likely to win tenure. Workers and students who file patents are more likely to earn a hukou (resident permit) to live in a desirable city. For some patents government pays cash bonuses for others it covers the substantial cost of filling. Corporate income tax can be cut down from 25% to 15% for firms that file many patents. They are also more likely to win lucrative government contracts. One could say the patents applications filed did not mean so much to the applicants compared to the gains and interest the application may yield for them. Therefore the quality and originality, patents designs, and inventions were questionable. Closely link to this argument is that fact the 863 programme did not promote the culture of innovation among Chinese researchers and enterprises. The Ministry of Science and Technology which is the principal government agency coordinating the 863 programme stated that one of the key objectives of the programme was to strengthen the innovation capabilities of Chinese researchers and enterprises so that they can become technical bodies that will support the national aspiration of China to achieve socio-economic development. The programme supported some innovative ideas such as the development of an Intelligent Robot, the Coal-fired MHD Power Generation and the Experimental Fast Reactor. Otherwise, most realisations under the 863 programme were heavily dependent on importation of technologies. The programme was following the international high technological development but did not focus on the development of local indigenous technology (Chunliang, 2008). Conclusion The 863 programme has enabled the Chinese government to achieve a considerable economic and industrial advancement. In order to consolidate all these achievement is important that the 863 programme be reformed to rather focus its attentions on promoting indigenous innovative research and development activities which can turn China into technological advanced country. Incentives and motivational elements in the programme for researchers and private investors should also be reviewed as this may put local investors at a competitive advantage over foreign investors and deter them from investing into RD in China. Finally Chinese Government has to enforce the weak intellectual property right regime in existence at the moment. References ROMER, P. (2005) â€Å"Increasing Returns and Long-run Growth† Journal of Political Economy, 94 (5):1002-1037 SAMINI, J. A ALERASOUL, S. M. (2009) â€Å"RD and Economic Growth: New Evidence from Some Developing Countries† Australian Journal of Basic Applied Sciences, 3(4):3464-3469 HU. A G. Jefferson, G. H. (2008) â€Å"Science and Technology in China† China’s Great Economic Transformation. Ed. L . Brandt   and T. Rawski, New York   City, Cambridge University Press NAUGHTON, B. (2007) â€Å"The Chinese   Economic: Transition and Growth, Cambridge, MA: MIT Press PENTAS, P. (2005) â€Å"Natioanl High-Tech Research and Development Program 863: Introduction, Objective and Organisation [Online] ppentas.com/thesis/National_RD_Programm_863.pdf, Accessed on the 17/05/2011 ONOS, E. (2009) â€Å"Green Giant: Beijing’s Crash Program for Clean Energy† The New Yorker [Online] newyorker.com/reporting/2009/12/21/091221fa_fact_osnos, Accessed on the 17/05/2011 XING, Y. (2010) â€Å"Chinas High-Tech Exports Myth and Reality† EAI Background Brief N. 506 [Online] eai.nus.edu.sg/BB506.pdf, Accessed on the17/05/2011

Tuesday, November 5, 2019

Case Study of KFC Malaysia Holding

Case Study of KFC Malaysia Holding â€Å"A Case Study of KFC Malaysia Holding: Channel used by KFC to solve communication crisis† Abstract On 6th February 2013,the kitchen staff of KFC I- City outlet at Shah Alam, has gone violent towardone of the customers due to miscommunication. The customer was then put on the floor after a heated argument between the staffs and the customer.This problem then solve by KFC Malaysia Holding with a proper alternatives. One of the alternatives used by the company is to use the right channel in solving the issue. Basically, the main aim of this research is to examine the channel used by KFC Malaysia Holding to solve the communication issue specifically the incident of staff and customer caught into a fighting. This research is tries to answer the question of the effectiveness of the channel used by the company to solve the problem or issue. The survey method will be employed in this research for data collection. As this method fall under quantitative method, SPSS (Statistical Package for Social Sciences) software will be used to analyze the data. The finding of this research will help the future researchers to understand the effectiveness of channel used by the Food & BeveragesCompany in solving their problem or issue. Besides, this research will help to add more literature on the same topic. Keywords: Channel, problem, Food & Beverages, Effectiveness Literature Review Definition of Crisis In Effective Crisis Communication (2011), crises can best define as unique moments in the history of an organization. Nowadays, the word â€Å"crisis† has been used widely in a daily conversation. People used this word to describe their problem. For example, they refer to this word if they forgot about their appointments with their clients, having a bad hair days or even quarrel with the family members. All of these are awful experiences do not portray or describe the crisis. When it comes to the company, most of the company refers crisis as something that rel ated to the problem. For example low sales or short of manpower are assume as the crisis to the company. All of the situations are not crisis. But, usually the company will consider all the situations as crisis. Crisis is defined as any situation that is threatening or could even threaten to harm people or property, seriously interrupt business, damage reputation and/or negatively impact stock value (Jonathan Bernstein,2006). According to Hermann (1963), he identified three characteristics of separating crises that are surprise, threat and short response time. An event will not achieve the level of crisis without coming as a surprise, posing a critical level of threat and forcing a short response period. Robert, Timothy & Matthew(2011) mentioned in their study that crises can be divided into two categories which are intentional crises andunintentional crises. â€Å"Intentional crises are those international acts which is designed to harm an organization such as terrorism, sabotage, workplace violence and poor risk management whereas unintentional crises are the crises caused by natural and some uncontrollable factors such as natural disasters or product failure† (Robert, Timothy & Matthew, 2011). As for the incident case happened in KFC Malaysia I-City outlet, the incident are category under the unintentional case of crisis. The incident happened due to some misunderstanding between the worker and a customer who has been waiting for the food for some times and did not get the food.

Saturday, November 2, 2019

Adam Smiths economic theories Research Paper Example | Topics and Well Written Essays - 1250 words

Adam Smiths economic theories - Research Paper Example Smith has emphasized that a historical perspective is necessary to study the science of man and society, and only with this study it is possible to establish an efficient social science system. He has said that in any society it is the collective contribution of all individuals that lead to economic stability since it is the individuals who produce and sell goods according to their requirements as a society. He has named the controlling factor of this mechanism as the invisible hand. The principle rule of classic economics is that non-intervention of the government in the marketplace will give freedom to everyone to contribute towards economic growth by creating the required goods for the greatest number of people. Adam Smith Adam Smith was an eighteenth century Scottish philosopher who is known as the father of modern economics. He was baptized on June 5, 1723. He is well known for his two books: The Theory of Moral Sentiments (1759) and An Inquiry into the Nature and Causes of the Wealth of Nations (1776). He studied moral philosophy from the University of Glasgow under the renowned philosopher Francis Hutcheson. In 1740, he entered the Balliol College, Oxford after being awarded the Snell Exhibition (Biographiq, 3-4). In his second book Wealth of Nations, Smith has given a coherent description of the history of development of industry and commerce in Europe, and has voiced his opinion against the doctrine of government intervention in trade and commerce. He has also explained that a sustainable economy is possible by people’s effort to fulfill their self-interests through competition. Smith’s economic philosophy contributed towards â€Å"creating the modern academic discipline of economics and provided one of the best-known intellectual rationales for free trade, capitalism, and libertarianism.† (Biographiq, 3-4) Economic theories The invisible hand theory Smith has focused on people’s contribution towards production, and has argu ed that it is the annual labour which is the principle source to meet the demands of the consumers regarding all necessaries and conveniences of life. The produce of the labour is generally consistent with the immediate produce of the labour, or the commodities or services that are purchased with the produce from other nations. Therefore, the produce from labour or what is purchased with the produce can be more or less in proportion to the demand in the consumer market of a nation. This means that the nation is economically developed when there is better supply of necessaries and conveniences or is economically worse when there is insufficient supply of the same. Smith has argued that this proportion is determined by two factors – 1) skill and dexterity of labour and proper application of the skills, 2) proportion of labour employed to that of labour not employed in useful work. Smith has emphasized only on these two factors irrespective of the soil and climate of the nation (Smith[1], 8). According to Smith, it is the market conditions that are responsible for the production of right kind of goods and services. This is because the objective of the producers and manufactures is to make profits by supplying goods and services to the market. If there is no intervention by the government in the matters of trade, then the business environment of the nation will be free from government restrictions. This will lead to well-being of the public with increased competition between producers and manufacturers to produce goods and services as and when required by the public. This is the general picture of a free market economy. With growing competition betwe