Wednesday, October 30, 2019

Assess critically the English international private law governing the Essay

Assess critically the English international private law governing the traditional, personal law, concept of domicile - Essay Example And the United Kingdom citizens are not spared from this fact. In this essay, it is necessary to establish that law in this context is global in nature of which territories or jurisdictions are involved, thereby not limited within the United Kingdom. Although UK private law secures individuals and families, international private law involves any individual citizen of any state or country and other country laws and jurisdiction as well as the individual's country of citizenship or origin. The United Kingdom Parliament (2004) acknowledges that "Sometimes new laws are needed to ensure that the UK complies with International or European Law. The Human Rights Act 1998 and the Freedom of Information Act 2000 are recent examples of this." Edwards (2006) pointed out that while "statements cross national boundaries, inevitably problems of international private law are invoked, with difficult questions raised such as what country (or countries) will have jurisdiction to hear any action for damages raised, what country's law should govern the action (the choice of law question) and if a decree is obtained, how can it be enforced if the defender lives out with the jurisdiction of the court" In this case, it has been proposed that "action must be raised in the courts of the domicile of the defender (but) it should also be noted that forum non conveniens is still a possible plea in actions involving intra-UK jurisdiction only, although not actions between parties from different states party to the Brussels Convention" (Edwards, 2006) The concept of domicile have always been associated with UK tax, and with the integration of European Union as well as the increasing diversity of United Kingdom population, domicile is becoming more interesting to many individuals (Waldon, 2006). Nevertheless, it is not limited to tax but also marriage and legitimacy while every individual have one single domicile at one time. The various categories of domicile include origin, dependency, choice, and deemed domicile. The domicile of origin is hereditary such as the case of a legitimate child. In the United Kingdom, domicile of origin is based on the domicile status of the child's father during its birth, but in some instances, it is based on the domicile status of the mother. The domicile of origin is most often described as "adhesive" of which a status prevails until an alternative domicile has been acquired. It has two alternative categories: the domicile of dependency and domicile of choice. The domicile of dependency primarily related to children under the age of sixteen based upon the domicile status of the father at the date of birth. In cases where the domicile status of the father changes while the child is still dependent or under the age 16, the child's domicile status follows that of the father's. Upon reaching the age of 16, the domicile of dependency will be replaced by a domicile of choice in the same jurisdiction. This also applies to women married before January 1 1974 as these women acquired a domicile of dependency based upon the status of their husbands. Domicile of choice alters the domicile of origin in an alternative jurisdiction. This may happen when an individual is able to illustrate actual physical

Monday, October 28, 2019

Effective Next-generation WAN Architecture

Effective Next-generation WAN Architecture WAN Architecture Get robust, scalable, and easy-to-use management tools that can handle the complexity of your multiservice and packet voice network.   WAN provides extensive, reliable, and scalable element management capabilities to help you rapidly deploy and manage services. The high-performance carrier-class element and network management product is deployed worldwide in some of the largest service provider networks. It can operate as a standalone system or can be integrated as an element using its northbound interfaces for highly efficient flow-through operations Enhanced operator workflow and usability simplify configuration, fault monitoring, and troubleshooting operations. The enterprise business is changing as new types of payroll systems.. As the number of branches continues to increase, the reliable and secure delivery of these evolving services demands a network that can similarly evolve to meet these demands and enable business success. IT professionals require higher network performance, scalability, availability, security, and service capabilities. The Branch-WAN payroll system architecture is developed to address these key areas of customer concerns. To meet these requirements, the Branch-WAN payroll system architecture features scalable and resilient network infrastructure, integrated security, wireless, and payroll system intelligence to provide seamless service capabilities that include Unified Communication, media collaboration, and data/Web 2.0. Architecture This is dedicated to delivering solutions that meet and exceed customers business and technology requirements by integrating best technologies, services, and platforms. The WAN Payroll system architecture is part of a comprehensive approach to providing an end-to-end enterprise network architecture. This model is known as Places in the Network architecture. The architecture addresses the differing requirements for systems design and deployment in the three principal network areas: the campus, the data center, Internet edge, and the WAN. See Figure 1 Figure 1: Architecture When discussing an enterprise network, it is important to consider that most networks are built from a discreet set of interconnected, architectural elements-each of which has its own requirements. A branch office, for example, may not have the same scalability requirements as a data center, but has a greater need for reduced form-factor devices with high-value integrated services. The typical corporate campus network offers users high speed and secure network connectivity, Unified Communication services, wireless services, and access to corporate payroll systems and databases. A well-engineered network must offer workers at branch sites the same network services as campus workers, to maximize productivity and ensure business objectives are met. The Branch-WAN payroll system architecture offers an end-to- end system design that delivers a flexible, scalable, and secure network that supports advanced network services for branch office workers. Figure 2: WAN Payroll system architecture (Frame work)   Ã‚   The WAN payroll system architecture shown in Figure 2 has the following layers: †¢Network Infrastructure-The foundation that provides routing, switching, quality-of-service (QoS), high availability, and other functionalities to ensure that the network is scalable, flexible, and resilient. †¢Integrated Security-This layer extends the corporate security policy to the branch, providing network infrastructure protection, secure communication, threat mitigation, and network monitoring across both the Branch and WAN PINs. †¢Wireless-this layer provides user network connectivity anywhere within the enterprise, giving employees greater flexibility, and increased productivity. †¢Payroll system Intelligence-this layer provides various payroll system optimization techniques using optimization (i.e., TCP flow optimization, data redundancy elimination) and control for payroll system classification and prioritization using QoS. This optimizes use of the WAN bandwidth and, enables branch users to access the same payroll systems as campus users, with similar user experience. †¢Management-this layer provides the ability to easily provision and monitor the network. With these layers, it is imperative that unified communication (i.e., Unified Communication), Media Collaboration (i.e., Tele presence, IP Video Surveillance, Desktop Video, and Digital Media Systems), and Data Web 2.0 (i.e., collaboration payroll systems) work seamlessly across the Branch-WAN solution. Technologies Considered Types: There are number of WAN technologies like point to point connection, circuit switching and packet switching. The WAN communication which is carried over a leased line is called point to point connection. In a point to point network the message from the customers end is traveled to the remote user via an ISP. Circuit switching is the data communication which is stared when there is need to communicate and it is terminated afterwards. It is like a telephone call. When the two users arte connected and identified, the data is transferred in other words voice is transferred. When the transmission of the data is complete the call is disconnected again. Packet switching data network is a WAN technology in which the network of the user is established in the carriers system. The examples of packet switching network include asynchronous transfer mode (ATM), switched multi megabyte data services (SMDS) and frame relay. Optimization The purpose of WAN optimization is to eliminate the flaws in the packet data transfer in shared WAN systems. There are many techniques of optimizing the WAN technology. These optimization techniques include duplication, compression, cashing, protocol spoofing, traffic shaping, equalizing, connection limits and simple rate limits. The process of duplication sends a reference of the actual data, this helps in preventing from data redundancy. In order to present data patterns in an efficient manner compression is used. The process of caching reduces the bandwidth up to 30%. The multiple requests are tied in one bundle using protocol spoofing. Traffic shaping controls the amount of data handling and also monitors and guides the data traffic. When the data is sent according to the priority of the data usage it is known as equalizing. Connection limit averts from the access grid locks in access points and routers due to the lack of service or peer to peer connection. Simple rate limits the users from getting more than the data which has been fixed for their use. The purport of WAN optimization is to overcome the difficulties such as expensive bandwidth and to decrease the users experience time. The scalability of WAN is nowadays an important consideration and hence WAN optimization is used to target such issues as well. The typical small branch design includes a 1.5 Mbps Ethernet private WAN connection. The router terminates the VPN and routing from the central site and implements QoS policy. The router also hosts the following integrated services: †¢Security (Firewall, IPS) †¢Unified Communications (SRST, FXO / FXS ports) †¢Payroll system intelligence The branch also includes a Layer-2 access switch with the following key features: †¢Power-over-Ethernet (PoE) †¢DHCP snooping †¢Spanning tree †¢Class-of-Service (CoS) on access ports †¢QoS †¢Port security †¢Dynamic Address Repayroll system architecture Protocol (ARP) Inspection Wireless LAN may be implemented with a router module or standalone controller/switch. New Issues The key to an effective next-generation WAN architecture? Match technologies and services to interconnection requirements. Herewith a blueprint: Data center-to-data center connectivity: Data center interconnectivity requires high-capacity, low latency links. Although multiprotocol label-switching (MPLS) can do the trick, its often an expensive solution. Telecom architects are increasingly turning to solutions such as carrier Ethernet (either point-to-point or virtual private LAN service, VPLS), or dark fiber or wavelength services. Seventy-one percent of organizations will be deploying some form of carrier Ethernet by the end of 2010, typically for data center-to-data center connectivity. Why? Three reasons: First is cost. On a per-megabit-per-second basis, carrier Ethernet can run 25% to 50% lower than other technologies. Second is bandwidth: with Carrier Ethernet, users are able to procure up to 10Gbps of bandwidth (the equivalent of 2.5 OC-768 circuits). As a result, as bandwidth requirements increase, carrier Ethernet becomes more appealing. Finally, theres the ease of deployment and management. Users report that carrier Ethernet is straightforward to install, and performs reliably. Right off the bat, it worked like a charm, says the CIO of a midsized professional services firm. Data center-to-branch, and branch-to-branch, connectivity: Most organizations (80%) have deployed MPLS, and plan to continue using it for site-to-site connectivity (at least for midsized-to-large sites). Some firms mostly leading-edge organizations are also looking at rolling out carrier Ethernet for the core WAN. The primary challenge? Availability. Carrier Ethernet isnt as widely-available as MPLS. Remote-site and micro branch connectivity: For smaller sites, companies are exploring a range of connectivity options. An Internet VPN is one approach (and one thats increasingly common). A more innovative approach is to deploy 4G wireless technologies, either direct to the router or to each individual employee. Again, the challenge here is availability: Most carriers are just beginning to roll out broadband wireless (in the U.S. at least). Another problem is capacity: Carriers havent designed their networks for use as wired-WAN replacements. References: en.wikipedia.org/wiki/Application_architecture apparchguide.codeplex.com/ www.amazon.com/PatternsApplication-Architecture/0321127420

Friday, October 25, 2019

Eighties Cyberpunk :: Science Fiction Literature Essays Papers

Eighties Cyberpunk In the early 1980's, cyberpunk was used as a label to describe a new form of science fiction written by a group of five writers, which challenged the traditional genres associated with science fiction (Shiner, 7). SF used highly imaginative ideas to project scientific phenomenas, resulting in dreamy, stylized stories of space colonies and flying space crafts. This new science fiction was different, because it incorporated present global, social and technological situations to help induce the future of the world. It generated new outcomes for the future's high technological, society and global environment that would help categorize it into a specific form of writing known as cyberpunk. William Gibson, one of the five writers associated with the cyberpunk genre, is credited by critics and peers for typifying the cyberpunk writing form in his popular novel Neuromancer. Bruce Sterling, Rudy Rucker, John Shirley and Lewis Shiner, the other four writers who helped launch the movement, agree that Gibson's Neuromancer influenced the categorization of the new science fiction as cyberpunk. Therefore, Gibson's novel can be used as a reliable source for defining the cyberpunk genre. With this in mind, we can analyze the high-technology used in Neuromancer and its importance to the cyberpunk form of writing. Gibson creates an advanced technological machine called Flatline's construct, which is a "hardwired ROM cassette replicating a dead man's skills, obsessions, knee jerk responses" (Gibson, 20). This futuristic device that brings back human personalities from the dead, can be viewed as a result of the present fascination with bringing dead people back to life. This fascination is evident in hospital emergency rooms and in game boards like the Ouija board. Both examples are similar the use of he Flatline's construct, in the sense that all three bring life back to the dead. This incorporation of high-technology with society's present interests in mind, is a frequent form recognizable in Neuromancer and in the cyberpunk fiction of Sterling, Rucker, Shirley and Lewis. A common element of genuine cyberpunk writing found in Neuromancer, is Gibson's depiction of the futuristic society and the people who live in it. Once again, Gibson uses the present issues of government and nuclear tension to predict society's future. In Neuromancer, this results in a world ruined by nuclear war. However, the people living in the society continue to survive in the world for personal benefit, or just for the sake of living. Gibson shows an example of this with his characters in Neuromancer. Eighties Cyberpunk :: Science Fiction Literature Essays Papers Eighties Cyberpunk In the early 1980's, cyberpunk was used as a label to describe a new form of science fiction written by a group of five writers, which challenged the traditional genres associated with science fiction (Shiner, 7). SF used highly imaginative ideas to project scientific phenomenas, resulting in dreamy, stylized stories of space colonies and flying space crafts. This new science fiction was different, because it incorporated present global, social and technological situations to help induce the future of the world. It generated new outcomes for the future's high technological, society and global environment that would help categorize it into a specific form of writing known as cyberpunk. William Gibson, one of the five writers associated with the cyberpunk genre, is credited by critics and peers for typifying the cyberpunk writing form in his popular novel Neuromancer. Bruce Sterling, Rudy Rucker, John Shirley and Lewis Shiner, the other four writers who helped launch the movement, agree that Gibson's Neuromancer influenced the categorization of the new science fiction as cyberpunk. Therefore, Gibson's novel can be used as a reliable source for defining the cyberpunk genre. With this in mind, we can analyze the high-technology used in Neuromancer and its importance to the cyberpunk form of writing. Gibson creates an advanced technological machine called Flatline's construct, which is a "hardwired ROM cassette replicating a dead man's skills, obsessions, knee jerk responses" (Gibson, 20). This futuristic device that brings back human personalities from the dead, can be viewed as a result of the present fascination with bringing dead people back to life. This fascination is evident in hospital emergency rooms and in game boards like the Ouija board. Both examples are similar the use of he Flatline's construct, in the sense that all three bring life back to the dead. This incorporation of high-technology with society's present interests in mind, is a frequent form recognizable in Neuromancer and in the cyberpunk fiction of Sterling, Rucker, Shirley and Lewis. A common element of genuine cyberpunk writing found in Neuromancer, is Gibson's depiction of the futuristic society and the people who live in it. Once again, Gibson uses the present issues of government and nuclear tension to predict society's future. In Neuromancer, this results in a world ruined by nuclear war. However, the people living in the society continue to survive in the world for personal benefit, or just for the sake of living. Gibson shows an example of this with his characters in Neuromancer.

Thursday, October 24, 2019

Essqy

The perks of being a wallflower The Perks of being a wallflower by Stephen Chbosky is about a boy named Charlie he finds a group of friends sort of like him, who became his friends and introduced him into experience common to many teens. His new group of friends gives Charlie something precious he has never had before: a sense of belonging because he is a lonely teen. For example, Charlie is lonely when he is at home â€Å"it has been very lonely because my sister is busy being the oldest one in our family. My brother is busy being a football player at pen state† (pg 8).He clearly wants to spend time with his family because he loves them. He doesn’t want to be alone. Charlie speaks about his life and says â€Å"so, this is my life and I want you to know that Im both happy and sad and Im trying to figure out how out how that could be† (pg 2). There are certain things that make him sad and happy he wants to know what those things are but Cant. â€Å"In the silence , I remembered this one time that I never told anybody about the time we were walking. Just the three of us. And I was in the middle†¦I just remember walking between them feeling for the first time that I belonged some where† (pg 198).When Charlie is alone he was thinking about how lonely he was and how he felt that he mattered and wasn’t a lone. I think Stephen Chbosky did a good job showing all the emotions and feelings Charlie had because a lot of people and relate to how he is feeling. According to the mental health foundation research shows that one in then people often feel lonely (11%) and half think that people are getting lonelier in general (48%) the report says the way people now live is impacting on their ability to connect with others.More people live alone: The percentage of households occupied by one person doubled from 64% in 1972 to 12% in 2008. (1) In recent years, social psychologist has expressed concern about the friendless male. Many studies h ave concluded that women have better relational skills which help them to be more successful at making and keeping friends. Women on the other hand, are more likely than men to express their emotions and display empathy and compassion in response to the emotions of others. (2) The effects of depression, suicide, drug addiction, alcohol addiction and acute and chronic illness. 3) Many people who are lonely can get help from doing research or going to a professional doctor who can help them they can also try to socialize with family or friends. The Perks of Being a Wallflower shows a boy who deals with loneliness and how he tries to make friends. Feeling alone is bad for your health and if you feel alone you should talk to someone about it and get help. Sources: 1) http://m. ivy-rose. co. uk/Articles/modern-life-leading-to-loneliness 2) http://www. leaderu. com/orgs/probe/docs/lonely. html 3) http://www. psychologistanywhereanytime. com/realationships_psychologist/psychologist_lonelin ess. htm

Wednesday, October 23, 2019

Legality of Organ Donation

Progress in medical science and technology has contributed to the growth of kidney and other organ transplantations around the world. Nevertheless, the gap between the supply and demand for transplantable organs continues to widen. Chronic shortage of human organs for transplantation is one of the most pressing health policy issues in many developed countries. In recent years, the persistent scarcity of organs for transplantation has invigorated the controversy about the determinants of organ donation rates and the magnitude of their effects. In spite of the media campaigns and other attempts to promote donation, the organs supply cannot keep up with the demand, and the number of patients on waiting lists has been growing steadily during the last decade. The Philippines is no exception to the dilemma on the shortage of transplantable human organs and there is no clear cut policy yet on how the shortage could be swiftly addressed. The Department of Health (DoH) is currently pushing for â€Å"cadaveric organ donation† and this perhaps, might lessen the gap between the supply and demand for transplantable human organs. But how can one tinker freely with the body of a deceased person? Are there laws in the country which give blanket authority to hospital institutions or to a medical practitioner in harvesting transplantable human organs from a deceased person even without a document or a health card indicating that the deceased is a willing donor? The answer is a resounding ‘None’. The Philippines has yet to come up with a law regarding ‘presumed consent’ unlike in many European countries, particularly Spain, which for so long a time has been implementing their own and unique versions of ‘presumed consent laws’. Under presumed consent legislation, a deceased individual is classified as a potential donor in absence of explicit opposition to donation before death. With the positive effect of presumed consent laws vis-a-vis organ donation rates on countries which enforced such, it is high time that the Philippines should follow suit and come up with its own version of presumed consent laws. Senator Richard Gordon took the initiative in making the battlecry for the passage of a presumed consent law as he was astounded by the staggering figures of the National Kidney Transplant Institute (NKTI). The Institute reported that the usual Filipino kidney transplants performed thereat have gone down by 20% while the demand for kidney donation is going up by ten (10) percent annually. Global Reality. Waiting for a suitable donor organ to become available may take one week to many months. Unfortunately, the latter is more often the case. This waiting time has been described by many transplant recipients and their families as the most difficult part of the transplant process. Fear and anxiety are normal reactions during this period of uncertainty. In Europe, the average waiting time is three years and is expected to last for ten years or until 2010. With 120,000 patients on chronic dialysis and 40,000 patients waiting in line for a kidney in Western Europe alone, about 15 to 30 % of these patients will die annually because of organ shortages. Every day in the United States, 17 people die waiting for an organ transplant. The number of people in the waiting list for an organ has more than tripled over the last ten years; at the same time, the number of donors has remained relatively stagnant. In the United Kingdom, the active transplant waiting list is increasing by about 8% a year, and the ageing population and increasing incidence of Type 2 diabetes are likely to exacerbate the shortage of available organs. In 2006, the UK Organ Donation Task Force was established with the task of identifying barriers to donation and making recommendations for increasing organ donation and procurement within the current legal framework. In the U. S. , Great Britain and in many other countries, the gap between the demand and the supply of human organs for transplantation is on the rise, despite the efforts of governments and health agencies to promote donor registration. In 2002, 6679 patients died on the U. S. organ waiting lists before an organ became available, roughly 18 per day . In 2001, 6,439 people died while waiting for a transplant, nearly double the 3,916 candidates who died while waiting just five years earlier in 1996. In spite of media campaigns and other attempts to promote donation, the supply of organs cannot keep up with the demand, and the number of patients on waiting lists has been growing steadily during the last decade. One of the most frequently quoted explanations of the gap between the supply and demand of organs is that the number of families that refuse to grant a consent to donation is still large. Approximately 50% of the families that were approached for an organ donation in the U. S. and Great Britain refused it, compared to around 20% in Spain and around 30% in France. Notably, Spain and France are presumed consent countries. In many countries, including the U. S. , Great Britain, Germany and Australia, cadaveric organ procurement is carried out under the informed consent principle. Under an informed consent law, cadaveric organ extraction requires the explicit consent of the donor before death, which is usually re? ected on a donor registration card. In contrast, in most of continental Europe, cadaveric organ procurement is based on the principle of presumed consent. Under presumed consent legislation, a deceased individual is classi? ed as a potential donor in the absence of explicit opposition to donation before death. The severe shortage of human organs for transplantation in the U. S. has prompted numerous proposals to alleviate this problem. In addition to presumed consent legislation, proposals include ? nancial incentives for donors , xenotransplantation, educational campaigns, organ exchange mechanisms for living donors with incompatible recipients and preferential assignment of organs to registered donors. However, increasing donation consent rates from families is still viewed as the most promising route to increase organ donation. Many analysts and health professionals believe that presumed consent legislation may play an important role in shaping the decision of the families. In an international survey of transplant professionals, 75% of the respondents supported presumed consent legislation, and 39% identi? ed this type of legislation as the most effective measure to increase donation rates, the highest percentage among all measures considered in the survey, followed by improved education with 18%. Several countries, including Spain, Austria, and Belgium, have opted for a change in legislation and introduced presumed consent, whereby organs can be used for transplantation after death unless individuals have objected during their lifetime (an opt out system). Countries vary in how organ donation legislation functions in practice, and the terms â€Å"hard† and â€Å"soft† have been used to characterize how much emphasis is placed on relatives’ views in these countries. In Austria, for example, a fairly strong version of presumed consent principle is applied, although family views may be taken into account. In Spain, as in most presumed consent countries, even when organ removal can be carried-out by law without the consent of the family, organ coordinators in charge of the donation process do not authorize the extraction of organs without an explicit family approval. Another notable example is Sweden, which goes from an informed consent system to a presumed consent system in 1996. Ten years before, in 1986, Sweden had switched from presumed consent to informed consent. In the data, cadaveric donation rates decreased steadily in Sweden during the informed consent period. This downwards trend seemed to disappear after presumed consent legislation was reinstituted in 1996. National Reality. The National Kidney and Transplant Institute Renal Disease Control estimated 11, 250 Filipinos nationwide developing End Stage Renal Disease (ESRD) annually. It is estimated that half of these ESRD patients are suitable kidney transplant candidates but only five percent (5%) are actually transplanted to date because of insufficient organ supply and the affordability of the operative procedure to most patient. The past years have also witnessed the development of â€Å"medical tourism† as exemplified by countries like India, Thailand and Singapore (but now world-wide) as improved hospital facilities in the less developed countries have attracted patients from developed countries where health care costs were expensive and unaffordable especially to those with no health insurance. In 1999, a TV documentary exposed more than a hundred kidney transplants done in a private hospital from living non-related donors coming from the very poor section of the metropolis, called BASECO in Tondo, Manila. The Philippines is among the world's leading providers of trafficked organs. Reuters named China, Pakistan, Egypt, Columbia and the Philippines as the five organ trafficking hotspots. Trafficked organs are either sold domestically, or exported to the US, Europe, the United Arab Emirates, Saudi Arabia, and especially Israel for their transplant patients. In his privilege speech, Senator Miguel Zubiri tackled about the CNN’s feature regarding the thriving trade of human organs, amidst the poverty in the country. Although he commented in CNN’s report where Mr. Hugh Reminton made an erroneous slant on the human organ trade in the country, Zubiri admitted that there are some truth to the report. The truth is – human organ trade, particularly kidneys, is thriving in the country, specifically in the urban poor communities; that after paying-off the donor, the trader abandons them to face post-surgery risks also without medical attention. In addition to this, the organ transplant sector is rife with stories of traders earning millions of pesos after paying-off donors. This statement could be supported by an incident of kidney sale in Lumban, Laguna where Jose Rivero, 31, a tricycle driver, told the National Bureau of Investigation (NBI) that he had been promised by the broker that he would be paid Php 300,000. 00 for his kidney. However, he received only Php 66,000. 00 which led him to report to the NBI. Special Investigator 3, Joey Narciso, the case officer, said that the country has no law prohibiting the direct sale of organs to a donor. Nothing has been heard of being caught and punished, of conniving surgeons or clinics who knowingly transplant organs that have been sold. Zubiri even suspected that there are big syndicates that prey on the poor and helpless citizens and exploit their ignorance and vulnerability; syndicates which have a growing clientele that includes foreigners and rich Filipinos. During the same session, Senator Gordon disclosed that the NBI is investigating the alleged involvement of doctors and other medical personnel of prominent hospitals in the illegal organ trade after members of a syndicate were arrested for duping several people from Batangas, Quezon and neighboring provinces into selling their organs. Gordon recommended the adaptation of a presumed consent. Zubiri stated that the suggestion could be included in the Senate Bill No. 460 , authored by Senator Jose Jinggoy Estrada.

Tuesday, October 22, 2019

The Prevalence of Production Sharing Contracts in Oil and Gas The WritePass Journal

The Prevalence of Production Sharing Contracts in Oil and Gas Abstract The Prevalence of Production Sharing Contracts in Oil and Gas AbstractIntroductionBackgroundResearch TopicAimObjectivesResearch questionsLiterature ReviewKey WordsKey LiteratureGaps in literatureOil and gas in AfricaOil and gas in AngolaContracting in the oil and gas industryProduction Sharing ContractsContracting at Sonangol (Types of contracts)Production sharing contracts at SonangolThe nature of production sharing contracts at SonangolResearch MethodologyFindings  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   i.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Reasons for the adoption of production sharing contracts at Sonangol  Ã‚  Ã‚  Ã‚  Ã‚   ii.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Advantages of production sharing contracts at Sonangol  Ã‚  Ã‚   iii.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Disadvantages of production sharing contracts at Sonangol  Ã‚  Ã‚   iv.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Comparison between production sharing contracts and other types of contracts at SonangolDiscussionConclusionReferencesAppendicesRelated Abstract Introduction Background The nature of the environment in which a business operates determines how it engages other players in the sector. This, therefore, determines the types of contracts that businesses get into. The oil and gas industry relies on contracts to carry out its activities just like other business entities do. The oil and gas industry mainly engages production sharing contracts, driven by the numerous stakeholder interests the sector has. Research Topic The Prevalence of Production Sharing Contracts in Oil and Gas (Case Study of Sonangol, an Angolan Oil Company) Aim The aim of the study is to establish the prevalence of production sharing contracts in the oil and gas industry, with particular interest in Sonangol, an oil company in Angola. Objectives The objectives of the study are: To determine the nature of the oil and gas business in Africa To determine the types of contracts administered in the oil and gas sector To determine the share of production sharing contracts relative to other types of contracts To establish the reasons for adoption of production sharing contracts at Sonangol Research questions What types of contracts does Sonangol engage? Are production sharing contracts prevalent at Sonangol? Why does Sonangol adopt production sharing contracts? What benefits and challenges do Sonangol get by using production sharing contracts? Literature Review Key Words Contracts, Production Sharing Contracts, Effects, Prevalence, Economics, International Oil Companies, National Oil Companies, Angola Key Literature Bindemann, K., 1999. Production Sharing Agreements: An Economic Analysis This source touches on the economics of production sharing agreements with reference to oil and gas in Angola and the Middle East. Bindemann, K. 2000. The Response of Oil Contracts to Extreme Price Movements. Discussion Paper. Department of Economics (University of Oxford). Fattouh, B. and Darbouche, H., 2010. North African oil and foreign investment in changing market conditions. Energy Policy, 38(2), pp.119-1129. Gaps in literature Most literature refers to situations in North Africa and the Middle East and not Angola or Sonangol. Most available literature is more than five years old. Chances are that the conditions have changed, rendering them irrelevant to current circumstances This section presents an analysis of existing literature on Oil and Gas in Africa and Angola in particular, while studying the types of contracts that oil and gas companies utilize. This is broken down into subtopics as follows: Oil and gas in Africa This section provides a general overview of the oil and gas industry, highlighting the major players: companies, countries, communities, and other stakeholders. History of the oil and gas industry in Africa Challenges in the African oil and gas industry Oil and gas in Angola This section provides an overview of the Angolan oil and gas industry, highlighting the major players: companies, communities, and other stakeholders. History of the oil and gas industry in Angola Challenges in the Angolan oil and gas industry Merits of oil and gas to the Angolan Economy Contracting in the oil and gas industry Types of contracts administered in the global oil and gas industry Comparison between contracting in Africa and the Middle East Production Sharing Contracts Identify the parties involved Terms and conditions Benefits/demerits Contracting at Sonangol (Types of contracts) Encompasses all types of contractual agreements Sonangol engages Criteria Sonangol uses to select the type of contractual agreements it uses Ratio of contracts based on type Production sharing contracts at Sonangol The nature of production sharing contracts at Sonangol Parties involved Responsibility Terms and conditions Research Methodology The study will follow the constructivist approach and rely on the analysis of secondary data that will be obtained both from the private and public domain. Of particular interest will be records from Sonangol and researches published in journals. The research will use catalogues to locate relevant books and indexes to locate appropriate periodicals. In addition, the study will use the Internet to find relevant electronic resources and databases. An analysis of the books, periodicals, and databases would follow to ascertain the authority and quality of information. Data analysis will be quantitative. Findings   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   i.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Reasons for the adoption of production sharing contracts at Sonangol   Ã‚  Ã‚  Ã‚  Ã‚   ii.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Advantages of production sharing contracts at Sonangol   Ã‚  Ã‚   iii.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Disadvantages of production sharing contracts at Sonangol   Ã‚  Ã‚   iv.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Comparison between production sharing contracts and other types of contracts at Sonangol Discussion Discuss the reasons for the prevalence of production sharing contracts at Sonangol, their merits, demerits, and challenges. Conclusion Summary of the suitability of production sharing contracts at Sonangol. Are they the best for the oil and gas industry? Should they be upheld? References List of all works cited in the study Appendices Relevant documents, tables, and graphs

Monday, October 21, 2019

Literature Review of Emotional Intelligence in Managers Essays

Literature Review of Emotional Intelligence in Managers Essays Literature Review of Emotional Intelligence in Managers Essay Literature Review of Emotional Intelligence in Managers Essay The authors of the two journals review and provide valuable information on the work, life and emotional management of managers and leaders and how it is being intertwined with and embedded in the managing processes, implications on the employees? moods and emotions. The keyword in the two papers is emotional intelligence. However, it is arguable that they focused heavily on the aspects of emotional intelligence and leadership, and ignored other psychological forces that influence an individual. The research will be analysed closely by reviewing their arguments and findings. Humphrey et al. , (2008) research agrees on the use of emotional intelligence and emotional labour by leaders, how leaders? emotions influences the moods and emotions of their employees. The paper develops 15 propositions that provide an insight on how leaders perform emotional labour, leading with deep acting and surface acting. They concluded that success is obtained through leading with emotional labour, though sometimes costly especially for those engaged in surface acting. Trainings for leaders and managers on how to express their emotions effectively may help make the workplace more productive and enjoyable for both leaders and followers. Brotheridge and Lee, 2008 research provides an insight on the impact the expressed emotions of managers have on their work units „emotional climate, their employees? motions and the organization? s emotional health and overall success. The authors agree that at the heart of all working relationships are emotions (Burkitt, 1997, 2002; De Rivera and Grinkis, 1995); thus, emotions are the substance of managerial work and argues that leaders need to be knowledgeable on both emotional and social control and expectations that arise from gender roles. They concluded emotions are essential for managerial work and managers are expected to manage their emotions and their e mployees?. These two journals are almost completely similar as the authors review and argue on about the same issue – management with emotions, use of emotional intelligence. Brotheridge and Lee, (2008) argue that emotions and emotional skills are essential for day to day managerial work and leaders should learn to express their emotions more as that will result in more benefits for them instead of conducting business in a non-emotional â€Å"business-like manner†. Brotheridge and Lee, (2008) agree with Humphrey et al. , (2008) that managers must attend to their wn emotions and express them appropriately or experience declines in their personal emotional health. The influence the moods and emotions displayed by managers have on their subordinates? feelings, moods and emotion as well was highly emphasized in the two papers. The authors both agree that to a large extent, for a successful result, managers may need to engage in emotional labour. Managers may have to display a wide var iety of emotions and will require judgement about which emotion to display at a particular time depending on the situation which arises. Brotheridge and Lee, (2008) agrees with Humphrey et al. (2008) argument that managers who engage in deep acting (i. e. attempt to feel the emotions that they are expressing) are more likely to transmit their emotions to their employees than managers who are engaging in surface acting or are not regulating their emotional expression. Humphrey et al. , (2008) and Brotheridge and Lee, (2008) argue that leaders must be emotionally intelligent to be effective. As stated by Humphrey et al. 2008 proposition 10: Leaders high on emotional intelligence will be better at recognizing when situational demands call for performing emotional labour (2008: 161). But again, looking at the concept of leadership and management, the similarities and differences, it can be argued that leadership and management are two different, thus, leadership does not require emotional intelligence and it is best used for management. Arguably, we can say that even though managers and leaders are expected to lead with e motions, different people carry with them different personalities. If not properly trained on how to manage emotions and when to use, a manager may get carried away on when to use his/ her emotions and could be seen as a weakling. The employees working with these managers also have a role to play. A manager can only get a successful result, when he gets around studying and understanding the personalities of the employees under him to avoid a clash of personality. Also, pressure from the higher level management and home affairs can affect managers and leaders and may be displayed in their attitude to work. Humphrey et al. (2008) and Brotheridge and Lee, (2008) agree that managers would require to perform emotional labour. However, it can be argued that emotional labour increases emotional stress and causes emotional exhaustion which could result in reduced levels of employees? job dissatisfaction (Brotheridge and Grandey, 2002). Furthermore, cultures vary in their expectations for regulating and expressing emotions in the workplace (Cooper, Doucet am p; Pratt, 2003). In conclusion, Humphrey et al. , (2008) and Brotheridge and Lee, (2008) arguments were very valid and provided a valuable knowledge. Management and leadership though could be different, but are two complimentary systems of action and both require use of emotional intelligence to operate successfully. Employees? feelings and emotions are influenced through emotional contagion. Managers need to manage their personal emotions so that they are expressing positive emotions and not result in a decline in their emotional health. They must be attentive to their emotional reactions when making decisions, and the effect of their emotions on the quality of these decisions (Kida et al. 2001; Lurie, 2004). I believe gender has no factor in excelling in emotional management. I agree with Humphrey et al. , (2008) instead of telling managers and other leaders not to express their emotions, training on how to express their emotions effectively should be taken into consideration. This may help them use either deep acting or genuine emotional expressions and avoid the harmful psychological effects that accompany surface acting.

Sunday, October 20, 2019

Podium vs. Lectern

Podium vs. Lectern Podium vs. Lectern Podium vs. Lectern By Maeve Maddox A reader laments the confusion between these two words: Here in the United States anyway, people are constantly using the word â€Å"podium† (what you stand on) to refer to the â€Å"lectern† (what you stand behind). The reverse, not so much. Confusing these two words erodes the richness of the language. We’re on the verge of having two words for â€Å"lectern† and none for â€Å"podium.† The confusion must be widespread: the OED already notes the use of podium to denote a lectern as â€Å"North American extended use.† I’d call it â€Å"extended misuse.† And it’s not just the North Americans who confuse the words. I discovered this example in a British newspaper: Just days after Sarah Palin revealed she was â€Å"seriously interested† in running for president in 2016, she stood behind the podium at the Iowa Freedom Summit and delivered a bizarre and rambling speech to the audience.- The Independent The Associated Press Stylebook- an American publication- recognizes the difference: lectern, podium, pulpit, rostrum: A speaker stands behind a lectern, on a podium or rostrum, or in the pulpit. The word podium derives from the Latin word for foot. One stands on a podium for improved visibility. For example, a band director stands on a podium to conduct. The word lectern derives from the Latin verb legere, â€Å"to read.† Readers or speakers stand behind a lectern and rest their notes on its sloping surface. In looking for misuses of the words podium and lectern, I used variations of prepositional phrases beginning with behind and on. Note: It is possible to stand behind a podium. For example, athletes stand behind the podium until it is their turn to mount the podium and receive their awards. Standing on a lectern, on the other hand, would be a risky thing to do. Speakers usually stand at or behind a lectern. The following examples illustrate nonstandard uses of lectern and podium: Incorrect: Minutes later, he entered Room 5, stepped onto the lectern for the final time, and tried to summarize how it felt to be leaving a job and a school he felt blessed to have worked for. Correct: stepped behind the lectern Incorrect: Dr. Bryan used no electronic slides or projection system but simply  stood behind the podium and delivered  what was for me the most thought provoking lecture  of the week. Correct: stood behind the lectern or stood on the podium Incorrect: The lecturer stood high up behind a tall podium,  so you could just see the top  of his head. Correct: stood high up behind a tall lectern Incorrect: These people were obviously in full view  of Romney as he  stood  at the  podium  and spoke for more than an hour. Correct: as he stood on the podium Dictionaries notwithstanding, careful speakers will continue to observe the useful distinction between lectern and podium. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Misused Words category, check our popular posts, or choose a related post below:Avoid Beginning a Sentence with â€Å"With†5 Lessons for Mixing Past and Present Tense20 Criminal Terms You Should Know

Saturday, October 19, 2019

Performance and reward management Assignment Example | Topics and Well Written Essays - 3000 words

Performance and reward management - Assignment Example The challenge to any organisation is to formulate a fair reward system that can motivate employees to work with enthusiasm. In the present context, implementation of proper incentive system along with well defined performance appraisal system is primarily convened by HR personnel. Reward management is important in order to achieve organisational strategies, to build up the psychological bond with employees and to act in accordance with legislation. Reward management is related with performance appraisal of an organisation as it motivates employees to perform better day-by-day. Performance appraisal is the other tool to measure performance of employees which increases motivation level and determines the training needs among others. By implementing reward system in an organisation and recruiting the best talents of the industry and by retaining the top performers’, competitive advantage can be maintained. ... Employees are the backbone of any organisation and an organisation has to pay a substantial amount to the employees for rendering services. While facing cost pressures, organisations are bound to implement major cost saving measures by cutting the jobs of the employees. Consequently, it affects on the service quality of organisations. Organisations may face unforeseen circumstances. Organisations have to implement strategies incredibly decisively so that it does not hamper the operations. Otherwise, it may be detrimental for the organisation for long-term period. The influence of downsizing can not be kept away totally but it can be reduced. By reducing the cost, managers facilitate the organisation to generate profitability. Downsizing of employees affects a company in social as well as economic perspective. As after downsizing employees face tremendous challenge to survive. A company must consider the available alternatives and calculate the feasibility with applicability of cost-r eduction options before deciding on layoffs (Gandolfi, 2008). Cost reduction stages are framed by the assumption of certain periods of time to make cost adjustments which affect the HR practices. Short Range Cost Adjustments: The primary stage of the ‘cost-reduction framework’ signifies ‘short-range cost adjustments’ in order to arrest a short-term decline in business operations. The business slowdown is anticipated to be a period for six months. Companies face such type of challenges by virtue of sudden decline of sales (Gandolfi, 2008). Framework of Cost-Reduction Stages Source: (Gandolfi, 2008). The preliminary cost-reduction techniques must allow an organisation to focus on its activities in a cost-sensitive approach for an immediate improvement. The top management has to

Friday, October 18, 2019

Electrica lab report about flip flops Essay Example | Topics and Well Written Essays - 1500 words

Electrica lab report about flip flops - Essay Example ............7 1.4 Procedure............................................................................................. 8 2.0 DISCUSSION...................................................................................13. 2.1 CONCLUSION AND RECOMMENDATIONS................................15 2.3 LEARNING EVALUATION.............................................................17 3.0 STUDENTS DECLARATION..........................................................18 4.0 REFERENCES..................................................................................19 5.0 GLOSSARRY...................................................................................20 6.0 APPENDIX.......................................................................................21 Abstract As far as electronics is concerned, a latch or flip-flop is a type of circuit that is characterized by having two stable states and serves as a storage device for state information Any circuit can easily be made in such a wa y that it alters the state by having signals applied to control inputs so that there become one or two outputs. A flip-flop is fundamentally a storage tool in a sequential logic. A latch and a flip-flop are fundamental building blocks in any digital electronic systems. They have common application in communications, computers alongside other types of electronic systems. This experimental set up is about flip-flops. ... Introduction. Both the latches, as well as flip-flops store data that are used for state storage (Cotten, 2001). When the latches and flip-flops are used in finite-states machines, both the output and the next state relies on both the current output and the state of current of the flip-flop in use (Earl & Gates, 2000). Moreover, flip-flops are used in counting of pulses, as well as in synchronization of the variably-timely input signals to a certain reference timing signal. There are various models of flip-flops (Earle, 2003). There are the clocked, edge-triggered or synchronized types, and the simple, or transparent types. The clocked devices are what are often referred to as flip-flops, while the word latch refers to the storage elements (Earl & Gates, 2000). The ordinary flip-flop can easily be build at a pair of cross-coupled inverting elements. In many occasions, the bipolar transistors, inverters, the vacuum tubes, the inverting logic gates, and the field effect transistors hav e been used in the practical circuits (Roth, 1995). Theory The clocked devices are often designed specifically for synchronous systems. These clocked devices are common in ignoring the inputs except where there is a transition of a dedicated clock signal. Clocking may lead to a case where the flip-flop retains or changes its output signal basing on the input signal values at the transition (Roth, 1995). Certain flip-flop does change the output upon the rising edge of a click while other flip-flops change on the falling edge. Now that the elementary amplifying stages are always inverting, the two stages can easily be connected as cascade in succession forming the required none-inverting amplifier (Mano & Charles, 2004). In such

Health and saftey Essay Example | Topics and Well Written Essays - 1000 words

Health and saftey - Essay Example The workers in the farm shall also be seriously exposed to danger if the cracks in the chamber will not be secured. The cattles and sheeps which are positioned in the field will also be endangered once the chamber totally breaks or explodes. The people who will be passing the road near the chamber, which has a distance of 1 mile from the main road, can also be seriously affected by the faulty sewer system. 3. Evaluation of Risks: Since there is a high risk or probability that the condition of the cracks will worsen any time soon, it is deemed best that the appropriate measures should be taken to seal the cracks of the main junction chamber by applying a sealant. In the event that no action is taken to seal the existing cracks in the walls of the chamber, it is expected that the condition of the chamber which can lead to its total breakdown. 4. Implementation: Since sealant fumes are known to cause drowsiness and are known to be heavier than air, toxic and highly inflammable, it is re commended that all persons working in the farm, even the farm animals should be taken to a safer place while repair of the main junction chamber is on-going. ... The application of the sealant must be done immediately in order to prevent the build-up of cracks to worsen. However, this is only a temporary solution. It is highly recommended that a total replacement of the main junction chamber should be implemented so that the solution is long-term. The goal of this precautionary measure is to foster a safe working environment for the workers and shall serve as a protection for the whole community, including the animals, living within the vicinity where the chamber is situated. Establishing a risk assessment plan will result to controlled risks. â€Å"Workers and others have a right to be protected from harm caused by a failure to take reasonable control measures. Accidents and ill health can ruin lives and affect your business if output is lost, machinery is damaged, insurance costs increase or you have to go to court†. Details on risk assessment can be found at the Health and Safety Executive website which can be viewed at . Operation 2 1. Hazards: The maintenance of the grass verge, trees and hedgerows which is adjacent to the highway and within the vicinity of a junior school, should be done regularly as the local police suspects that drug traders have been operating in the area and can be hide-out for criminal activities. 2. Who may be harmed: The students who go to the school within the vicinity can be the potential victims if the grass, trees and hedgerows are not well-kept. The gardener who is tasked to do the clearing and maintenance operation is also seriously at risk since he is the only person tasked to complete the job. He can be exposed to danger if during the operation, he is attacked by a group of drug

Quantitative tools Essay Example | Topics and Well Written Essays - 500 words

Quantitative tools - Essay Example The main problems in relation to the staff and reservations managers in particular, that the company does not have good relations with its unions, which is very important, as unions serve a kind of legal protection of managers' rights. Another problem is that employees complain about the lack of voice and the lack of professional training, which is also essential for the improvement of their job characteristics and supporting their skills at the appropriate level. (Bassett, 1992) The specifics of reservations managers' work is in the surrounding they work, which is usually represented by a large room with a great number of workers doing the same work, and thus demanding huge attention. 2 managers out of each 10 work part time, weekends, nights, or holidays. That's why, to improve the operation of this staff, it is necessary to develop a strict schedule of work, with optimization of the workers' quantity together with increasing the quality of their work. To optimize the quantity of workers, it is obvious, that some of them should be fired. To avoid psychological and legal problems with the staff shortage, I suggest using of the out placing strategy, when the Going Inc. will find new jobs for those, who are fired, with the salaries and preferences known beforehand for each worker to be fired.

Thursday, October 17, 2019

Describe and explain the experiences of African colonial subjects Essay

Describe and explain the experiences of African colonial subjects during either or both of the world wars - Essay Example Unconditional possession of these colonies provided imperial powers with the manpower that kept the promise of making their rulers richer and stronger because of their natural resources and enabling them to wage war anywhere in the world (Anon, 2012). Europe rationalized its colonization of Africa as their moral duty to lift Africans from their primitive stage of civilization. Rulers built on the preoccupied ideas of people travelling to Africa and established the need to make African civilized. Europeans always saw African from their cultural prism, moreover, their preoccupation with skin color and physical attributes made these ideas even stronger (Anon, 2012).Therefore, even great contributions during the World War I and World War II could not win acknowledgement for colonial African soldiers. In an effort to rise above prejudice, this paper briefly explores the contributions of colonial African subjects during both of the World Wars. World War I World War I is considered to be tr uly a world war due to diverse military action and participation of people from five continents of the world. African colonized countries and subjects were specifically influenced by the results of WWI (AHA, n.d.).World War I imparted a profound and many-sided impact on colonies. The Balkan confrontation transformed into a general European war in mid-1914 and turned into an extra-European dimension because a few confronting states were considered to be the most powerful colonial powers. Just after the breakout of war, fights started in many parts of the world and most of the territories were conquered by the Entente power very soon. German African colonies were defended by African soldiers and German officers called 'Schutztruppen'. South Africa invaded the German South West Africa on behalf of the Entente powers that triggered problems for South Africa itself; however, 11,500 Anglophobe Boer people joined German side as a result of rebellion (Koller, 2008, p.111). The most prominen t and early reaction was the anger that is raged throughout African colonies due to conscription of mostly young African colonial subjects into European armies. However, the war had even more critical consequences. African subjects came to know that their masters are nothing but ordinary humans like themselves. African subjects expected rewards and compensation from their rulers for providing services to them. The compensation was expected in the form of money, and social and constitutional changes that can transform their lives back home. It triggered a hope amongst African subjects and made them realize that they deserve to be treated in a better way. Educated African subjects followed President Wilson's invitation to acknowledge the government on the basis of their national determination. The term refers to the idea that people should be free in their respective political boundaries (AHA, n.d.). Colonialist Powers Mission During World War I, European empires conscripted nearly 19 2,000 Senegalese Tirailleurs from sub-Saharan Africa who were sent to the Western Front in Cameroon, Turkey, and Togo. In particular, the French prized their possession of troupes indigenes as their assault troop on their battle front. In this Great War, approximately 30,000 to 31,000 African subjects lost their lives, several others were wounded, and some returned to their colonies as disabled for life(Mann, 2006, pp.16-17). Moreover, the French had planned the recruitment of one

Childlink Essay Example | Topics and Well Written Essays - 1500 words

Childlink - Essay Example Yet, sometime despite our best efforts, children and even the parents fall further into social problems with crime, substance abuse, and destructive behavior. This creates questions of how to moderate social crisis in families, and relates to the professional development of my career in counseling and social work. Findings, or discussion: The basis for most foster care placements are deterioration of the family structure through crime, substance abuse, domestic violence, and poverty as they combine to create a situation where a child may be taken from his or her birth family to a safer environment under the auspices of Child Protection Services, a court order, or a recommendation from social welfare. The psychological effects of these family traumas may affect all involved in a profound, life-changing manner, hurting the children the worst in learning how to process emotions born out of abusive or abnormal patterns of family behavior. Because of this, I decided to do a literature rev iew of academic sources in psychology and sociology relating to the foster care experience as it is reported from all of the different perspectives in the relationship, including: the child, the birth family, the foster family, the counselor, social services, and the legal or judicial aspects of the process. In reading the academic literature related to psychology, for example, I became interested in child development stages and also the patterns or reactions of the children as they developed through different responses to the alienating situation. I began to realize that some of the children naturally reacted passively to the situation, and that they were apt to close up emotionally more often when confronted with confusion or emotionally charged situations. Conversely, others were always active and aggressive and more apt to resist violently or irrationally when confronted with conflict. The recognitions of patterns of introversion and extroversion led me to the conclusion that di fferent approaches should be prepared in advance to address the needs of the children uniquely, for example introducing activities to calm or moderate the behavior of the active children while attempting to stimulate a more positive response from the withdrawn children. I feel that further research on this topic can lead to a better understanding of what a counselor needs to do in order to recognize signs in individuals and introduce treatment through unique diagnosis of the psychological issues and personality types underlying the individual cases. The same approach can also be taken with regard to family members who are displaying outward signs of substance abuse, or alcoholism. These two combined are the usual gateway to family destruction, especially when intersecting with the prison justice system. The roots of substance abuse in theory are important to academic research for my work at Childlink and also for further progress in the field of social work and counseling. Substance abuse and alcoholism are the most common problems that lead to the further domestic violence, criminal behavior, and deterioration of the family structure that tragically results in foster care. The question of treatment and recovery for those suffering from long term or chronic alcoholism and drug abuse is an important part of my research at Childlink, as they relate as a key cause to the social and personal breakdowns that create the family

Wednesday, October 16, 2019

Describe and explain the experiences of African colonial subjects Essay

Describe and explain the experiences of African colonial subjects during either or both of the world wars - Essay Example Unconditional possession of these colonies provided imperial powers with the manpower that kept the promise of making their rulers richer and stronger because of their natural resources and enabling them to wage war anywhere in the world (Anon, 2012). Europe rationalized its colonization of Africa as their moral duty to lift Africans from their primitive stage of civilization. Rulers built on the preoccupied ideas of people travelling to Africa and established the need to make African civilized. Europeans always saw African from their cultural prism, moreover, their preoccupation with skin color and physical attributes made these ideas even stronger (Anon, 2012).Therefore, even great contributions during the World War I and World War II could not win acknowledgement for colonial African soldiers. In an effort to rise above prejudice, this paper briefly explores the contributions of colonial African subjects during both of the World Wars. World War I World War I is considered to be tr uly a world war due to diverse military action and participation of people from five continents of the world. African colonized countries and subjects were specifically influenced by the results of WWI (AHA, n.d.).World War I imparted a profound and many-sided impact on colonies. The Balkan confrontation transformed into a general European war in mid-1914 and turned into an extra-European dimension because a few confronting states were considered to be the most powerful colonial powers. Just after the breakout of war, fights started in many parts of the world and most of the territories were conquered by the Entente power very soon. German African colonies were defended by African soldiers and German officers called 'Schutztruppen'. South Africa invaded the German South West Africa on behalf of the Entente powers that triggered problems for South Africa itself; however, 11,500 Anglophobe Boer people joined German side as a result of rebellion (Koller, 2008, p.111). The most prominen t and early reaction was the anger that is raged throughout African colonies due to conscription of mostly young African colonial subjects into European armies. However, the war had even more critical consequences. African subjects came to know that their masters are nothing but ordinary humans like themselves. African subjects expected rewards and compensation from their rulers for providing services to them. The compensation was expected in the form of money, and social and constitutional changes that can transform their lives back home. It triggered a hope amongst African subjects and made them realize that they deserve to be treated in a better way. Educated African subjects followed President Wilson's invitation to acknowledge the government on the basis of their national determination. The term refers to the idea that people should be free in their respective political boundaries (AHA, n.d.). Colonialist Powers Mission During World War I, European empires conscripted nearly 19 2,000 Senegalese Tirailleurs from sub-Saharan Africa who were sent to the Western Front in Cameroon, Turkey, and Togo. In particular, the French prized their possession of troupes indigenes as their assault troop on their battle front. In this Great War, approximately 30,000 to 31,000 African subjects lost their lives, several others were wounded, and some returned to their colonies as disabled for life(Mann, 2006, pp.16-17). Moreover, the French had planned the recruitment of one

Tuesday, October 15, 2019

There are four topics, so you can choose from them Essay

There are four topics, so you can choose from them - Essay Example Better so, than live to be disgraced and looked askance at† (Book III). Achilles on the other hand participates for the glory that this war is going to bring him, even if it means his death. The motivation of Hector is selfless, while the motivation of Achilles is selfish. Hector holds the position of a traditional hero with the Trojans and is their undisputed leader looked upon with respect. â€Å"When Hector heard this he was glad, and went about among the Trojan ranks holding his spear by the middle to keep them back, and they all sat down at his bidding†. (Book III). On the contrary Achilles is a feared warrior in his camp, but at loggerheads with Greek kings Agamemnon, who want his presence on the battlefield as a motivation for the Greek army, which can be seen from this speech of Achilles to Agamemnon â€Å" You are steeped in insolence and lust of gain. With what heart can any of the Achaeans do your bidding, either on foray or in open fighting? I came not warring here for any ill the Trojans had done me. I have no quarrel with them. They have not raided my cattle nor my horses, nor cut down my harvests on the rich plains of Phthia; for between me and them there is a great space, both mountain and sounding sea†. (Book 1). Throughout the book Homer paints Achilles in a near godly fashion. The human ingredient of fear is absent in Achilles and this makes his acts of bravery and valiance beyond the means of a mere human. On the other hand Hector is seen in the as a human with all its failings including fear. Event in life cause fear, but how fear is conquered even at the pain of death makes a human a hero. The scene of the killing of Hector by Achilles brings this out to the forefront. Hector alone outside the walls of Troy runs away from Achilles demonstrating the human characteristic of fear. He however overcomes it to come

Monday, October 14, 2019

Impact of Trade on Empires

Impact of Trade on Empires POWER TRADE OF EMPIRES How does power and trade shape an Empire? ( Formation, Rise more) Every Great Empire begins with a country’s love for imperialism; Imperialism is when a country extends its power and trade, influencing colonization by use of military force (Power); An Empire is when a country under a single supreme authority with absolute power, when it comes to an empire’s imperialism power is the ability to control over people and their country. When it comes to trade, it is very important because the empire needs resources it can’t acquire by itself. (Merriam-webster.com) The Geographical location of an Empire was very important, this was because it affected the trading in the region, meaning other countries in need of trade had to go through that Empire’s region as a result trading for them became difficult because they would have their resources taken from that Empire. But this sometimes would not make trading difficult because it would open an opportunity a country to trade with an Empire in need of resources. In order for an Empir e to be successful it needs power and the ability to be able to trade information and resources. The British Empire The British Empire where the sun never sets was one of the largest and greatest Empire that was ever created. It begun in the 1500s when Queen Elizabeth the first granted the authority to Humphrey Gilbert for overseas exploration, in order to discover new land. It took Humphrey Gilbert quite some time to find Newland, after he sailed and found some form of land, after finding new land in his return to Britain Humphrey Gilbert died when his boat sank close to the Azore Islands, his half-brother then later on took his position and that was the beginning of the Empire. The British Empire had such power that influence strained globally, by the late 17th century Britain had a great Empire, with colonies in West Indies and America, in the 1775-1783 after the American Revolution; Britain lost control over America causing it to fall. In 1780s the British Empire was in need for resources to fuel their growing economy and also to fuel the industrial revolution, which as a result Britain become to explore other continents, therefore resulted in going to Africa which had many un used resources. After going to Africa Britain found it very difficult to colonize parts of Africa mostly due to diseases and lack of equipment; the diseases in Africa killed many British soldiers in astounding numbers, they were diseases that there horse would die from making it difficult for them to travel from one place to another. Diseases where not the only problem for Britain, the people of Africa resisted the British’s influence causing battles in many regions. In battle the Africans had an advantage because it was there land and they knew every bit of it, even though the British had guns, they proved to be very useless, because it took a while to reload which was a disadvantage. (BBC-The British Empire through Time) Rise They fought in many battle with swords but there too the Africans had an advantage because they had Poisonous arrows, swords and axes; all this was too overwhelming for the British to handle. Moreover the British Empire and economy was falling because they had lost America, they were losing a lot of men in the battles and they could not get the resources to fuel their industrial revolution. Technology was the turning for everything in the British Empire, the created of guns, armoured vehicles and medicine, now the British had an advantage. Technology change how the British fought battle in Africa, they would take down many Africans with their guns which were quick to reload, medicine would result in many soldiers not dying from diseases and armoured vehicles were most useful because African weapons would not breach the vehicle, moreover they would travel from one place to another quickly without being attacked by wild animals. In the 20th century the British Empire begun to rise beca use they took over some parts of Africa and acquired the resources needed for their industrial revolution, technology also helped the Empire defeat the Chinese and Indians. They traded raw materials with other Europeans countries and also America. Fall The British Empire begun to fall in the 1914 when world war 1 begun, Britain had lose many of soldiers and resources, many countries they had colonized begun to resist and Britain could not control them because they were lacking soldiers and resources. World War 2 hit the British Empire had because Germany had taken over basically all of Europe except Britain; Britain was being hit from all sides. After Germany was defeated the British Empire was at it weaken point because they lost more resources and men than World War 1, Britain begun to lose control of the colonized countries, the British Empire completely fell in 1980s. The Mongolian Empire The Mongolian Empire was the largest Empire that ever formed in the history of Empire. The reason the Mongols became the greatest and largest Empire started with one person, his was titled as Genghis khan, before Genghis khan born the Mongolia was a land filled with Nomads, pastoral people, herders. The Mongolians travel from one place to another because of seasonal climate change. Genghis Khan born in the 11th century, Genghis Khan is known as one of the great leaders that have ever stood on Earth, even today, his is remembered as The Great Khan. Rise The Mongolian Empire was formed in 1206, from then it begun expanding swiftly, the Empire’s first leader Genghis Khan exerted military knowledge, strength and skills, he took in the lower class people; furthermore he abolished women slavery and kidnapping. Our made him a great leader in the eyes of the Mongolians, he made them rise up and conquered more land in 25 years than the Romans ever could in 400 years. They controlled over 11 million contiguous square miles, but for all this to happen they needed to be powerful, skilful and to be able to trade. The Mongolians used had a great leader and great military skills, they were fast and strong; they were mostly skilful with the horses and archery, they created battle ships for them to invade japan, introducing gun powder which they used to trade with many European countries. The Mongols always wanted to be feared and to have the upper hand in everything. They would slaughter whole cities just to show their power and scare their enemies; the Mongols are one of the most brutal Empires that have ever existed, destroying cities, conquering other large Empires for example China. At that time China was made up of three main empires that were all defeat by the Mongols which are Xi Xia, the Qin, and Na-Chung. Xi Xia. Moreover the Empire was known to be safe for trading, they created a system that made travelling and communicating very easy, as a result they would know if enemies were coming, but no Empire Attack the Mongols head on because they were too afraid and knew that they would lose . Furthermore they opened routes enabling then to travel fast and to make trading easy because the Mongols were very serious when it came to trade. Fall After the death of Genghis Khan, the Mongolians Empire was divided into 4 parts called Khanates which were governed by his descendants and they descendant’s children. Primary Genghis Khan did not directly lead to the fall of the Empire. The 4 divided Empire continued to expand, which were the Golden Horde in Russia, Yuan Dynasty in China, the IL khanate in Middle East and the Chagatai in Central Asia.; they began falling due to inner factors and also outer. The Yuan Dynasty fell due to wrong military decisions; they failed in fending off the rebellion and resisting Chinese, the Yuan Dynasty basically ended in 1368 when they were push out of china. The IL khanate in Middle East fell because there was no one in line for the throne; he encountered the same problem as Henry VIII, Abu Sa’id who was felled to provide a male heir. Likewise the throne was taken over by warlords.( Medieval News 24/11/14) Moreover the other parts Golden Horde and Chagatai fell due to inner factors than outer factors unlike the Yuan Dynasty. Compare and Contrast Empires Power Trade Similarities British Empire The British Empire came from their knowledge of creating new technological innovations. Technology was the turning for everything in the British Empire, the creation of Guns, battle ships and vehicles. They would take down many of their enemies using Guns which had quick reloading unlike the early gun they were using. They had a strong Military with good leaders. Wanted to have the upper hand and wanted to be the greatest country. They traded raw materials with other Europeans countries and also America. They needed resources which they did not have to fuel their growing economy. The British Empire did not trade much because they had conquered many countries with resources they needed, but trading was still very important in the Empire. Both Empire wanted power, they had a lot of love for imperialism causing them to explore and conquer other countries using Military force. They had the types of leaders that always wanted to have the upper hand. Even though both Empire had conquered many countries with most of the resources they needed, trading was still very important to them. Mongolian Empire The Mongolians power came from their great leader and there great military skills. Always wanted to have the upper hand, meaning in wars they would go full on without holding anything back The Mongolians they were fast and strong; they were mostly skilful with the horses and archery, they created battle ships for them to invade Japan introducing gun powder. They had safe areas for trading and the Empire trading was very safe. Trading was very important to the Mongolians resulting in many routes from China to Caspian sea to be built. They took over silk road using force but treated it very well and also encourage trade in most parts of the region. Differences The Mongolian Empire rose due to one strong leader who had great military knowledge and skills, that leader named The Great Khan is known as one of the best leader ever to exist. The Mongols were very brutal and would destroy many cities just to show the amount of power they have and they always were blood thirsty. The British Empire would try to talk to the enemies but if the enemies did not agree to the British, they would use force. The British Empire would force were it is needed unlike the Mongols who were always about force. The British would have friendly trades but the Mongols would usually force countries into trade. They are both empire from different time periods. Conclusion We have learnt how power and trade will shape an empire, therefore answering the research question. Likewise we have that power is not always needed in an empire, unlike the Mongols who thrived on power, trade was also very important to them in order for them to acquire the resources need. Moreover the Mongols always wanted to have the upper hand, they would bring enough men to battle so that they cannot be out numbered. The British too are mostly the same but they did not thrive on power, they trade because of their growing economy and needed resources for the industrial revolution. Bibliography Morgan, David. Medieval News: The Decline and fall of the Mongol Empire.Medieval News: The Decline and fall of the Mongol Empire. Journal of the Royal Asiatic Society, 11 Jan. 2010. Web. 24 Nov. 2014. . Industrial Revolution.History.com. AE Television Networks, n.d. Web. 23 Nov. 2014. http://www.history.com/topics/industrial-revolution>. Britains Industrial Revolution (1780-1850).SparkNotes. SparkNotes, n.d. Web. 23 Nov. 2014. http://www.sparknotes.com/history/european/1848/section1.rhtml>. The British Empire through Time.BBC News. BBC, n.d. Web. 23 Nov. 2014. http://www.bbc.co.uk/bitesize/ks3/history/uk_through_time/british_empire_through_time/revision/4/>. Power.Merriam-Webster. Merriam-Webster, n.d. Web. 23 Nov. 2014. http://www.merriam-webster.com/dictionary/power>. How or Why Is Trade Important to an Empire?Yahoo! Answers. Yahoo!, 2007. Web. 24 Nov. 2014. https://answers.yahoo.com/question/index?qid=20080120001944AArTQMa>. Ping, Elizabeth. Mongol Empire and International Trade System.Academia.edu. N.p., 21 Nov. 2010. Web. 24 Nov. 2014. http://www.academia.edu/1220114/Mongol_Empire_and_International_Trade_System>. Miskovets, Nikita.Rise and Fall of British Empire. St. Petersburg: Private School  «Vzmakh », 2011. Print.

Sunday, October 13, 2019

Art And Mathematics:Escher And Tessellations Essay -- Math Artistic Pa

Art And Mathematics:Escher And Tessellations On first thought, mathematics and art seem to be totally opposite fields of study with absolutely no connections. However, after careful consideration, the great degree of relation between these two subjects is amazing. Mathematics is the central ingredient in many artworks. Through the exploration of many artists and their works, common mathematical themes can be discovered. For instance, the art of tessellations, or tilings, relies on geometry. M.C. Escher used his knowledge of geometry, and mathematics in general, to create his tessellations, some of his most well admired works. It is well known that in the past, Renaissance artists received their training in an atmosphere of artists and mathematicians studying and learning together (Emmer 2). People also suggest that the art of the future will depend on new technologies, computer graphics in particular (Emmer 1). There are many mathematical advantages to using computer graphics. They can help to visualize phenomena and to understand how to solve new problems (Emmer 2). â€Å"The use of ‘visual computers’ gives rise to new challenges for mathematicians. At the same time, computer graphics might in the future be the unifying language between art and science† (Emmer 3). However, one must remember that art is by no means the same as mathematics. â€Å"It employs virtually none of the resources implicit in the term pure mathematics.† Many people object that art has nothing to do with mathematics; that mathematics is unemotional and injurious to art, which is purely a matter of feeling. In The Introduction to the Visual Mind: Art and Mathematics, Max Bill refutes this argument by stati... ...d Mathematics. Ed. Michele Emmer. Cambridge: MIT Press. 5-9. Emmer, Michele. â€Å"Intoduction to the Visual Mind:Art and Mathematics.† The Visual Mind: Art and Mathematics. Ed. Michele Emmer. Cambridge: MIT Press. 1-3. Escher, M.C. Escher on Escher- Exploring the Infinite. New York: Harry N. Abrams, Inc., 1986.whattess.html. â€Å"Math Forum: What is a Tessellation?† Available Online.http://forum.swarthmore.edu/sum95/suzanne/whattess.html.Accessed 10/5/99. â€Å"Maurits Cornelius Escher.† Available Online. http://www-groups.dcs.st-and.ac.uk/~history/Mathematicians/Escher.html. Accessed 10/16/99. †M.C. Escher- Interlocking Shapes and Tessellations.† Available Online. http://www.znet.com/~wchow/escher.htm. Accessed 10/7/99. Schattschneider, Doris. â€Å"The Fascination of Tiling.† The Visual Mind: Art and Mathematics. Ed. Michele Emmer. Cambridge: MIT Press. 157-164.

Saturday, October 12, 2019

The Criminalization of Knowingly Transmitting AIDS :: Health Medicine

Table of Contents Brief history of AIDS and the criminalization of knowingly transmitting it.......................................3 Interviews concerning the issue............................4 Reasons for the criminalization of knowingly transmitting AIDS..................................................5 Reasons against the criminalization of knowingly transmitting AIDS.....................................7 My position and conclusion.................................8 Brief History of AIDS and the Criminalization of Knowingly Transmitting It Acquired Immune Deficiency Syndrome (AIDS) is caused by the Human Immunodeficiency Virus (HIV). The virus was discoverd independently in France in 1983 and in the United States in 1984. In the United States, it was initially identified in 1981. In 1986, a second virus, now called HIV- 2, was also discovered in Africa. HIV-2 also causes AIDS. AIDS is transmitted in three ways: From sexual contact without protection, from the mixing of ones blood with infected blood, and from an infected pregnant woman to her fetus. Infection can occur from blood transfusions of infected blood, or sharing 'dirty' needles. (Needles already used, in this case, by a HIV positive person.) The criminalization of intentionally spreading AIDS has been a big issue recently, and still remains so. As of September, 1991, legislation criminalizing AIDS transmission has been passed in 24 states. Among these states are California, Idaho, Ohio, Missouri, Michigan, and South Carolina. Under these current laws, it is a crime to knowingly transmit the virus through sex, sharing needles, donating infected blood, organs, or skin tissue. The first person to go to court under these laws in Michigan was Jeffrey Hanlon. Hanlon was a gay man who infected another man from Michigan while he was in New York. The American Civil Liberties Union, who agreed to take the case, agrued that the AIDS disclosure law is unconstitutional. Privacy of those with AIDS is what they were worried about. Opponents argued that "they're [those with AIDS] killing people. It's like rape." The maximum sentence Hanlon could have recieved was four years in prison and a $2000 fine. In addition, under the current New York State law, which dates back well before June, 1987, the knowing transmission of a venerial disease is a felony. However, at that time, and currently, AIDS was not classified as a venerial disease. Interviews Concerning the Issue Most people believe that the willful transmission of AIDS to others it virtually murder. I have interviewed **name** and **name**. Both of them feel that intentionally passing AIDS on to another person is murder.

Friday, October 11, 2019

Developed radical behaviourism Essay

Skinner (1904-1990) developed radical behaviourism. Skinner concerned himself only with scientific methods and only observable behaviour. Skinner believed that all behaviour is learnt from environmental consequences or operant conditioning. Skinner went on to assert that behaviour is more or less likely depending on the consequences as a result of that behaviour (reward/punishment). Skinner highlighted his theories with experiments on animals, mainly rats. Skinner devised an experiment in which a rat was put into a box where the pressing of a lever would release food for the rat to eat. The stimulus of hunger, led to the behaviour of pressing the bar, lead to the reward of food. The pressing of a bar for food is not normal rat behaviour so the rat had to be taught to do so. This showed that the rat pressed the bar for food, meaning that the rat had to operate on its environment to gain either reward or punishment. If the reward comes every time for the behaviour then the behaviour is permanently learnt, or ‘stamped in’. (Skinner, 1953) Ivan Pavlov developed classical conditioning. The main difference between classical conditioning and operant conditioning is that classical conditioning concerns itself with behaviour that an animal already has. Pavlov conditioned a dog that already salivated at the sight of food to also salivate at the sound of a bell. This was achieved by Pavlov ringing a bell when ever the dog was about to be given food. This meant that the dog became conditioned to salivate at the sound of the bell (stimulus) to receive its food (reward). Pavlov and more so Skinner regard all behaviour as a product of the environment, as highlighted in these two experiments. Behaviourism had a key influence on psychology as a science. The use of scientific experiments led to psychologists focusing observable, objective measures of behaviour. This approach to psychology has a very practical use. The treatment of phobias takes its influence from behaviourist research, A phobic person can be conditioned to overcome their fear. The idea that people learn from their environment lead to educational policy being influenced as poor grades could be a result of poor educational environment. Behaviourism has received criticism for its denial of free will and the belief that people are simply the product of their environment. The behaviourist perspective that all behaviour is learnt from the environment was challenged when it was shown that people also learn through observing others and through insight. (Bandura, 1986) One shortcoming of the behaviourist perspective is that emotional and mental processes of the individual were not taken into account as they were not seen as an appropriate area of study as they could not be directly observed and objectified. (Pennington, 2002) Humanism emerged in the U.S.A. in the 1960s. The main proponents of this approach were Abraham Maslow and Carl Rogers. Humanists believed that psychodynamics and behaviourism neglected key aspects as to what it is to be human, for example, only relying on scientific and observable methods neglected what it is to be human, humanists believed. Humanists also argued that the psychodynamics relied too much on the unconscious and childhood rather than the conscious mind and the here and now. The humanist approach is known as Phenomenological as it focuses on the human experience. Humanists believe that each person is unique and the focus of the approach is on the subjective feelings and emotions of individuals. This is referred to as ideographic, meaning that it focuses on the uniqueness of the individual rather than common laws or the similarity of personality. Humanists propose that humans do have free will and are not the sole product of their environment or childhood experiences. Humanists argue that people and personality should be viewed as a whole and that the breaking down of various aspects of personality results in the loss of the whole. Rogers (1902-1987) believed that all people have a tendency to self actualise, or attempt to reach their full potential. This can be anything from playing a sport to writing an essay. People self actualise in different ways and through different achievements. Rogers (1980) assumed that we need love from other people; he called this unconditional positive regard. This unconditional positive regard is seen in the unconditional love of a mother to a child. Rogers argued that this love is essential to well adjusted adults. He went on to state that many adult problems can be as a result of not receiving this positive regard. Using his theories Rogers developed client centred therapy, Rogers would treat his clients with unconditional positive regard so that he could restore their lack of it. Rogers believed that many adult problems arose when people’s concept of themselves were incongruent with their actual experiences. For example, someone may think that a football player played well in a game setting up two goals, but the player them self might not agree thinking that they should have scored at least once. Rogers believed that a balance between this self view and the view of the world led to satisfaction and incongruence leads to conflict. (Rogers, 1951) Humanism promotes the idea that humans have free will to choose how they act and behave, the idea of personal responsibility and the idea that humans do not just passively respond to environmental stimuli. The approach also recognises a person as having their own needs as an individual. The humanist approach adds validity to the subjective experience and feelings of the here and now.  Humanism rejects the scientific approach as this does not allow for thoughts and feelings to be taken into account. This has meant that little objective evidence is available. Humanists believe that the lack of objective material is not relevant as long as people benefit from the humanist approach to therapy, and lead better lives. (Pennington, 2002) Having looked at the three main approaches to psychology it can be seen that all three have differing views and approaches to the psychology field. Behaviourism is the more scientific approach that enabled the study of the mind to stand up against other sciences. Freud and psychodynamics was the first force of psychology that has got Freud the nickname ‘godfather of psychology’. Rogers drew on both behaviourism and psychodynamics to come up with theories of the ‘whole’ self. The study of the mind can not be categorised into just one field of study. To truly understand the psychology of the human psyche one must use all three approaches and even add their own interpretation to this ever expanding field of study. Can we ever truly understand our own mind? The search goes on.

Thursday, October 10, 2019

Discussion Board, Jamie & Carolyn

In the world today, there are a lot of unfortunate people who are suffering due to the conditions that they find themselves in as a result of natural disasters or other unrelated issues. Every human being has the right to have a good life through education, healthy life and income stability. However, this can only be achieved by the existence of humanitarian organizations such as the United Way as some of the governments in these areas are not capable of providing the services. These humanitarian organizations are not profit making and this means that they survive on grants from other profit making organizations. As Smith et al. (2000, pg 285) says, it is necessary for nonprofit organizations to be honest and transparent in their finances. This is the only way that they will win trust of their donors who provide with finances which help them to achieve their mission. Transparency should not only be on their finances but should also be on the way they govern their organization and the people they hire to provide the services. (Smith et al, pg. 311, 330)Response to Carolyn PostingIt is the dream of every human being to have a better life. However, this can only be achieved if one has a constant income which can only provided by a good job. To get a good job, one needs to be educated so as to acquire the skills needed. However, as Smith et al, (2000, pg 309) says, education and skills are not the only things that are needed for a person to get that good job, there is a need to get the knowledge that will help you to prove to the employer that indeed you are the one who should get that job.These are the services that are offered by Goodwill Industries International Inc. Such services require one or the provider to be honest. This virtue can only be given by an organization that does not look forward to some gains from the client. Nonprofit organizations such as Goodwill Industries International Inc. are therefore known to train individuals with utmost good faith. T his is known to help them conduct humanitarian and other activities in any type of organization they may be in. (Smith et al, pg 288) ReferencesSmith, B. et al. (2000). The Complete Guide to Nonprofit Management. New York: John Wiley & Sons, Inc.