Monday, September 30, 2019

Domestic Violence and Ethical Dilemma Worksheet Essay

1.What is the ethical issue or problem? Identify the issue succinctly. The ethical issue that the police officers did not visibly see the husband drive his car they only suspect that he did so therefor they cannot arrest him on a DUI 2.What are the most important facts? Which facts have the most bearing on the ethical decision presented? Include any important potential economic, social, or political pressures, and exclude inconsequential facts. The most important facts would be what the police officers observed. The husband staggering up to the door him also is fumbling with his keys the hood of the car being warm. In addition to the husband being visible intoxicated with slurred speech and failing a sobriety test. However the most important factor is officer Nixon’s experience and him being able to provide probable cause for an arrest. 3.Identify each claimant (key actor) who has an interest in the outcome of this ethical issue. From the perspective of the moral agent—the individual contemplating an ethical course of action—what obligation is owed to the claimant? Why? Claimant (key actor)Obligation (owed to the claimant)Perspective (What does the claimant hope will happen?) HusbandJusticesThe husband will try to avoid being arrested and possible prosecuted for domestic violence and driving under the influence. Wife Fidelity May not want her husband being arrested however she would like to feel safe in her own home. In addition, she does not want her husband to hurt someone or kill them while he is driving drunk. Officer NixonFidelity Wants to be able to protect the wife from her abusive husband and the citizens. However in his oath he took he needs to follow the law. Officer RookBeneficenceWould be the same as officer Nixon however with him being new on the job his decision in this situation could affect his future decisions. Citizens of the communityFidelityCitizens want to feel safe in their community.

Sunday, September 29, 2019

Christmas Celebration

Christmas Celebration Many people celebrate Christmas but don’t believe in God or Jesus. It’s a holiday that many people will celebrate together by giving each other gifts and spent time with family. The day of Christmas is the birth of Jesus Christ. It is usually celebrated on December 25 each year. Many people around the world will usually celebrate it. It’s a time for family and friends to come together to celebrate a time of joy and love. People also think that on the day of Christmas it should be a day of peace around the world.Little kids will be exited on the day of Christmas because they often get many gifts or present from their friends and family. Many of them will also believe in Santa Claus. On the night before Christmas, kids will prepare a list or a letter to Santa telling him what they wish for. They will also have some cookies and drink on the table for him to eat. Kids have been told that if they are bad and naughty then they will get coal. But i f they are nice then they will get gifts.In their mind Santa Claus is dressed wearing a red coat with white collar, a Santa hat, black boots and leather belt with white bearded. They believe that on that night which is called Christmas Eve, Santa Claus will deliver presents with a sleigh and many reindeer to the well behaved children’s. He will come through the chimney on the roof. Then slide down and walk through the fire place. Then on the morning day of Christmas kids will wake up and presents will be under the Christmas tree. Some kids don’t believe in Santa Clause because they think it’s not real.They might have found out and knows about it. Some kids might be bad and never really got presents. It could also be when they were a kids their family never told them about how Santa Claus exist and how they deliver gifts. They think it is their parents the one who got the present to them and pretend to be Santa. Even though some kids know it’s not true but they still pretend to believe in it. They could be happy from writing the letter to Santa and waking up next morning seeing the presents.It really depends on themselves if they believe it or not. Maybe as they grew older and found out it is their parents then they might be sad and disappointed. I once believed in Santa Claus as a kid because I got present the next day I woke up from every Christmas. But then later on as I grew older I kind of know it was my aunt the one who gave me the presents. I remembered that as a kid before I know the truth it was fun on Christmas Eve because I went to sleep early and the next day I woke up with presents.And once I don’t believe in it then every Christmas there wasn’t gift to me from Santa Claus. I just got gifts from friends and family. This belief can be something going on till today. If each family has children then they can be the one telling them about Santa Claus and make them believe into it. Different culture can celebrat e Christmas in their way but it’s quite the same. With a Christmas tree and giving gifts. Santa Claus is always the same look. Mostly every country in the world will celebrate Christmas.Some of them celebrate early in December and others celebrate early in January. On December 24 the day or night before Christmas which is Christmas Eve is a night where they prepare things. I think Christmas has a beautiful decoration. Mostly if Christmas is celebrated then they would also have a Christmas tree. The Christmas tree will have lights and ornament. The house itself might as well be decorated. Some people will decorate their yards with Christmas figure. And at night it looks nice when it is dark and those Christmas decoration has lights.

Saturday, September 28, 2019

Ethical Dilema Case 3 Essay Example | Topics and Well Written Essays - 1000 words

Ethical Dilema Case 3 - Essay Example It’s a dilemma in our society that individuals who are suspected to be criminals by law are treated as criminals by individuals in our society – and this maltreatment continues essentially if the court releases and does not find that individual as guilty. Once suspected to be a criminal, an individual’s life is over. Subsequently, each and every law enforcing agencies need to be very careful while declaring an individual as a suspect. Stereotyping is another major issue associated with judgment of individuals. Al-Qaeda has gained a lot of fame as a renowned terrorist group, and Muslims across the world are suffering because as part of their religious practice, when they grow bears or females cover their head, they are deemed as extremists and thus, titled as terrorists. Such level of stereotyping often creates problems for law enforcing agencies as well and sometimes wrongful arrests are made. And as mentioned earlier, once a suspect, their life becomes worst the n criminals. I strongly disagree to the fact that torture should be limited to a degree and should only be applied in an extreme scenario. For example, if a suspect is caught, he or she should be treated fairly and justly – once proven guilty, still the law enforcing agencies should treat the criminal like a human being. ... And even when proven guilty, everyone has the right to be treated in an appropriate manner – unless it becomes a matter of national security or threat. Moral Rules Access to justice is the right of every human being and is one of the common clauses of most of the constitutions that exist in the world today in the sovereign states. Justice implies treating everyone fairly – Muslims, Jews, Christians, Hindus, etc.; all men should be equal before the law and punishable by law only if proven guilty via appropriate evidence. Thus, seeking justice is what everyone can and should aim at for everyone. Being law enforcement officer, the responsibility is to ensure that everyone gets justice. By torturing, an officer would be using the powers in a false manner because only the law has the power to punish – not the officer. As a law enforcement officer, it is one of the duties to protect the suspects unless they are proven guilty in the court of law. Even to the extent that if the suspect is lying, the officers should have different mechanisms to pull the truth and torture should be the last possible medium for it. An officer should let law and courts perform their duties, by taking actions such as torture and punishments into their own hands, officers are taking up a responsibility of making a decision regarding innocence or guilt of an individual; which is not possible without concrete evidence. Thus, at the end of the day, an innocent might suffer because of a misunderstanding or biasness of the law enforcement officer; because officers are trained to develop suspicion and torturing based on suspicion to get information is equivalent to punishing suspects – and in

Friday, September 27, 2019

Answer the question Essay Example | Topics and Well Written Essays - 250 words - 28

Answer the question - Essay Example Such people are never alone and get easily terrified at the idea of getting acquainted with solitude for even a little while. Peer pressure to constantly remain in the world of mass media like Facebook, Twitter, Instagram etc. is so high that students are left with no choice but to become part of this popular youth culture. Otherwise, they are instantly labelled antisocial introverts. Research also claims that becoming part of the â€Å"in† crowd is just part of growing up in schools and colleges (p. 100). Social media in the form of a big societal force also has another shattering influence on teenagers or youth. It is no hidden reality that everyone is busy nowadays in trying to fit into an ever narrowing social ideal because that is how others want them to act. This social ideal is impressed by our social media which makes people insecure and uncomfortable with how they naturally look. Youth is most vulnerable and susceptible. This is because they very easily become a prey to the propaganda instigated by social media which is about looking thinner and more

Thursday, September 26, 2019

Scientific Lab Research Paper Example | Topics and Well Written Essays - 1000 words

Scientific Lab - Research Paper Example nown B: It was likely to be Salmonella Typhimurium bacteria which is a typical nonspore-forming rods, facultative anaerobic, motile and negative, They ferment glucose and utilize citrate as carbon source and are lactose and sucrose non fermenters. These tests have been fully explored in the next section. With regards to the aim of the experiment, which is to identify unknown bacteria from mixed culture #18 using biochemical and morphological test, the two organisms identified had distinct characteristics which were looked for following laboratory tests. Normally, Gram staining is employed to differentiate 2 bacteria groups with different cell wall constituent. The method has the ability to differentiate Gram negative and Gram positive bacteria group; thus the bacterial cells are either colored red or violet. Gram positive bacteria is shown by Violet staining due to a thick layer of peptidoglycan existing in the cell wall of the bacteria, thus the crystal violet is retained by these cells on a slide. Consequently, Gram negative bacteria is shown by red staining due to a thin layer of peptidoglycan existing in the bacteria cell wall, hence crystal violet is not retained by bacterial cells. (Winn et al,2006) MacConkey Agar is used to distinguish Gram- negative, lactose-fermenting organisms from organisms that are non-fermentative .It is an inhibitory and differential medium that contains Crystal violets, bile salts, inhibitory agent and neutral red. Neutral red acts as a pH indicator. Klebsiella pneumoniae bacteria is known to be lactose fermenters hence unknown A while Salmonella Typhimurium bacteria is not lactose fermentor thus unknown B. The orinithine decarboxylase test is important for Enterobacteriaceae differentiation. (MacFaddin, 2000).   MR-VP broth for Methyl Red test consists of peptone, phosphate buffer and glucose. The unknown bacterium that is able to perform mixed-acid fermentation generates enough acid that overcame the broth buffering

Wednesday, September 25, 2019

The Factors that Affect Online Buying Decisions Essay

The Factors that Affect Online Buying Decisions - Essay Example It is generally expected that with the Internet, national and geographical boundaries should become irrelevant when engaging in business exchanges; consequently, global expansion on the Internet could promise greater customer reach and profits. However, although the adoption rate of Internet shopping is relatively high in the West, it is still generally unpopular in the East (Lee et al., 2004, 545). The above assumptions which present the current conditions regarding the use and the evaluation of an Internet site from a consumers’ perspective, although completed regarding the issues targeted they can, however, be been criticised as limited to the geographical aspect of the Internet usage. The current paper examines the online activity from the aspect of the transactions made, mostly the online shopping. Under these terms, the factors that affect the relevant decision are being examined in order to provide a specific and complete view on the issue. The use of research tools, su ch as questionnaires, has been evaluated as necessary in order to gather empirical information regarding the specific subject. Moreover, the data revealed are being analyzed and compared between them but also with the views of the literature, so that the formulation of a integrate result to be achieved at the highest possible level. According to a British Computer Society research (Kavanagh, 2005), online shoppers are starting to desert the High Street; however, the same survey also shows that many people are being excluded from electronic services. According to the above survey (which was conducted by interviewing a representative sample of 2,113 people aged over 15) about 35% of the people surveyed shop online — and nearly one-fifth of these now choose to shop online rather than visit the High Street; in addition, although 46% still prefer the High Street, 36% have no preference, again suggesting wide acceptance of online shopping.  

Tuesday, September 24, 2019

Closing Guantanamo Prison Essay Example | Topics and Well Written Essays - 1750 words

Closing Guantanamo Prison - Essay Example This study stresses that  Guantanamo Bay prison should remain open because if the prisoners are released, then they will join terrorist groups. In fact, these prisoners are criminals and may be a threat for national security so that they must be detained in the prison. However, what people don’t understand is the fact that they are making an assumption that all the prisoners detained there are criminals and will sooner or later join terrorist groups. This assumption is absolutely wrong because these prisoners are deprived of their basic rights and military courts are biased to pass any judgment about them. A criminal is a person who is proven guilty by law but when there is no law in the prison then how can we judge that these prisoners are criminals. It is vital to understand that no proper justice is carried out in these prisons and this is why such prisoners cannot be named as criminals and such judgment of them joining terrorist groups doesn't make any sense.  This pap er highlights that  the whole purpose of justice system is to make sure that no one is wrongfully convicted or sentenced. If everyone could judge and decide about guilt or innocence of a person, then why there is a need for the justice system? The fact that many American citizens have lost their life cannot be ignored but this should not neglect the right of these prisoners to prove their involvement level in such acts, if any. People should understand that everyone has some basic rights and they cannot be hijacked for any reason whatsoever.... In fact, these prisoners are criminals and may be a threat for national security so that they must be detained in the prison. However, what people don’t understand is the fact that they are making an assumption that all the prisoners detained there are criminals and will sooner or later join terrorist groups. This assumption is absolutely wrong because these prisoners are deprived of their basic rights and military courts are biased to pass any judgment about them. A criminal is a person who is proven guilty by law but when there is no law in the prison then how can we judge that these prisoners are criminals. It is vital to understand that no proper justice is carried out in these prisons and this is why such prisoners cannot be named as criminals and such judgment of them joining terrorist groups doesn't make any sense. People also ignore the inhumane actions of the forces in the Guantanamo Bay prison reasoning that to the suppose damage these prisoners have caused to the so ciety (Cratty, 2009). Thus, a proper justice must be existed in order to determine whether or not these prisoners are criminals. Moreover, what these people fail to understand is the fact that justice is the right of everyone. The whole purpose of justice system is to make sure that no one is wrongfully convicted or sentenced. If everyone could judge and decide about guilt or innocence of a person, then why there is a need for the justice system? The fact that many American citizens have lost their life cannot be ignored but this should not neglect the right of these prisoners to prove their involvement level in such acts, if any. People should understand that everyone has some basic rights and they cannot be hijacked for any reason whatsoever. Do serial killers not get

Monday, September 23, 2019

The Slaves Trade in Africa Assignment Example | Topics and Well Written Essays - 1000 words

The Slaves Trade in Africa - Assignment Example Slaves were taken to do manual works; some were taken as wives and mistresses. Furthermore, slave owners acquired slaves to facilitate their position and status. Slaves were taken as captives; some were kept in homes while others were taken to distant places1. Slavery was not only a practice of acquiring armies for warfare, but it was also a means of acquiring wealth by local people. Not individuals, but the community did own land. Each family was allocated land in accordance with the size and its laborers. Therefore, families acquired more slaves in order to increase their rate of production. The slaves who survived had to create wealth to the community2. Slavery was a method of contributing wealth to the people3. Hence, to enable further creation of wealth, slavery was conducted by societies in distant places and village. Slavery involved children, women, and men. Women performed variety of activities ranging from farming and various tasks associated with agriculture, trading activ ities, yielding, and cotton spinning. Women did other house chores such as cleaning, cooking among others; moreover, many practiced herding and farming. This paper is a discussion on the slave trade in Africa. The Trans-Saharan and East Africa slave trade was initiated by the entry of Arabs, who practiced Islamic religion, in Africa. Before the foundation of the Islamic religion, Arabs had been practicing slave trading. As they conquered western parts of North Africa, their leaders took the locals into captivity whom they initiated into their armies4. The Arab Muslims spread religion to the camel herders located in the Sahara Desert. The camel herders who were in contact with the black Africans, did trade in black slaves on a small scale. The Arabs continued to buy and capture slaves in West Africa and crossing them to North Africa for sale. Thereafter, the slaves were taken to other countries in regions like; India, Arab, Persia. Transportation routes across the Sahara connected the

Sunday, September 22, 2019

Features of contract law Coursework Example | Topics and Well Written Essays - 1250 words

Features of contract law - Coursework Example An invitation to treat is an expression of willingness to enter into negotiations that may in future materialize in a contract. Therefore, an invitation to treat is the preliminary step that precedes a contract, and that may or may not turn into a contract. The case of Gibson v Manchester City Council (1979) is illustrative in this regard. As the distinction have now become clear between an offer and invitation to treat – the question whether the advertisement in the newspaper placed by Ahmed amounts to an offer or an invitation to treat. According to the rule contained in Pattridge v Crittenden (1968) an advertisement does not amount to an offer, instead it is an invitation to treat. However, an exception to this rule is contained in Carlill v Carbolic Smokeball that advertisements could, in certain situation, turn into an offer themselves and would just beckon an expression of acceptance to seal the contract. Ahmed’s advertisement in this situation amounts to a unilat eral offer – an offer that only requires acceptance. Evidence of this found in the words ‘acceptance to be confirmed by 22nd July’. ... A conclusion can be drawn from this case that postal rule, an antiquated rule indeed, is only applicable to non-instantaneous forms of communication. Therefore, by analogy it could be held that postal rule will not apply to emails, which is virtually instantaneous will not governed by this rule. Lord Denning further held in this case that acceptance by telex machine took place where it was received, rather than where it was sent. This approach has been confirmed by the House of Lords in The Brimmes (1975) and Brinkibon Ltd v Stahag Stahl (1983). However, these two cases particularly deal with the issue of time of acceptance. In The Brimnes (1975) the issue was whether a withdrawal of the contract was effective when it was received or when it was actually read. Megaw LJ unequivocally held that acceptance is effective and valid when it is expected to be read not when it is actually read. Which in turn means that acceptance would be valid when it is received not when the recipient, thro ugh some fault of his own, failed to read it on time when it was expected to read. Megaw LJ put the judgment in the following words:   Ã¢â‚¬Å"if a notice arrives at the address of the person be notified, at such a time and by such a means of communication that it would in the normal course of business come to the attention of that person on its arrival, that person cannot rely on some failure of himself or his servants to act in a normal businesslike manner in respect of taking cognisance of the communication†. However, in the present situation the acceptance by email has been received at Ahmed’s PC at 5:39pm and that is beyond office hours. It cannot be expected to have been read by Ahmed beyond office hours, but it could be argued that the

Saturday, September 21, 2019

Audrey Hepburn built her incredible acting talent out of her troubled upbringing Essay Example for Free

Audrey Hepburn built her incredible acting talent out of her troubled upbringing Essay Audrey Hepburn was born in 4th of May 1929 in Brussels, Belgium. She is an idol of elegance for all time. She spends her first years of school in London. However, because of the Nazi’s occupancy, she moved into Holland with her mother. She continued to conservatoire in Arnhem which is the city of Holland. After the war, Audrey started taking ballet classes. Her first show was in 1947 and its name is ‘High Buton Shoes.’ She became more famous with ‘Gigi’ movie. Also, she won Oscar with her ‘Roman Holiday’ movie. After a year, she acted in ‘Ondine with Mel Ferrer’. In this period, Hepburn and Ferrer started a relationship and they married in 1954. She gained Academy nomination with the ‘Sabrina’ movie in the same year. With the movie of ‘The Nun’s Story’, again she was nominated for the Academy award. In 1960, her first child Sean was born. She gained her fifth Academy nomination with the ‘Wait Until Dark’. However, in the same year, she got divorced. She made her second marriage with psychiatrist Andrea Dotti. They had a son which named as Luca. She acted in ‘Always’ in 1989. That is the last movie of her. After 1980 she started to work as a goodwill ambassador of Unicef. She died on 20 January 1993 in Swetland because of appendicular cancer. PsychologÄ ±cal Analysis Of Audrey Hepburn wÄ ±th the perspectÄ ±ve of Adler Audrey Hepburn was born in 4th of May 1929 in Brussels, Belgium. Her mother name is Baroness Ella van, Heemstra. As you can guess from ‘Barones’ title, she is from a noble family. From her first marriage, she has got two children, Ian and Alex. She made her second marriage with Joseph Victor Anthony Ruston, who is the father of Audrey. Audrey is the only child of this second marriage. Also, this marriage ended traumatically too because Audrey’s father left them in the 9th year of the marriage. When we look at the parental style of this famÄ ±ly, we can Ä ±nterpret Audrey as a neglected child. She lÄ ±ved wÄ ±th her father only for sÄ ±x years. When Audrey was sÄ ±x years old, Ruston left them. Audrey told that event as ‘I adored my father. When he left us, he commÄ ±ted us to lÄ ±fe-long Ä ±nsecurÄ ±ty’(15).However Ä ±t Ä ±s not the only reason to classÄ ±fÄ ±ed Audrey as a neglected chÄ ±ld. When we look at the these sÄ ±x years we see that Audrey and Ruston communÄ ±ctÄ ±on dÄ ±d not very wellà § Audrey was love her father very much and she was trying to show her talents to her father. Unfortunately, she could not get the results of thÄ ±s trÄ ±als. (12) AccordÄ ±ng to Adler’s theory the neglected chÄ ±ld can need to others Ä ±n the future to recognÄ ±tÄ ±on and nurturance (76). As we can guess thÄ ±s predÄ ±ctÄ ±on fÄ ±ts to Audrey because she was a famous actress and her need for recognÄ ±tÄ ±on can be satÄ ±sfÄ ±e d through her fans. Also, Audrey Ä ±nterpreted that she has a mÄ ±strust about compassÄ ±on and she always felt grateful to ones who showed compassÄ ±on to her. When we look at her mother Baroness Ella van Heemstra, we can observe the other characteristic of neglected chÄ ±ld: havÄ ±ng unsupportÄ ±ve parent. Her mother gÄ ±vÄ ±ng advÄ ±ce to her Ä ±n an dÄ ±fferent way whÄ ±ch Ä ±s: ‘ You should thÄ ±nk about always thÄ ±nk about others. You are not an Ä ±nterestÄ ±ng person. Other people are more Ä ±mportant than you.’ (12). In addÄ ±tÄ ±on to that, Audrey had an performance Ä ±n New York. At the end of the show, Ella van Heemstra congratulated her: ‘ You dÄ ±d a good job, especÄ ±ally when we consÄ ±der that you do not have any talent’. So when the whole world talks about Audrey show, Ella van Heemstra could not satÄ ±sfÄ ±ed wÄ ±th her daughter talent. When we contÄ ±nue to look at Audrey’s lÄ ±fe, Audrey started a boarding school in England.In the end of summer 1939, England started a war to Nazis. Audrey and her mother moved into Arnhem again. However, after a time Nazis occupied Arnhem too. Nazis try to provoke Holland against the England. To conceal herself, Audrey learned Dutch and change her name to ‘Edda van Heemstra’. At this time, they lose communication with Audrey’s brothers. After that Ella began to take part in the Holland resistance. Because of the occupy, Arnhem conservatoire open it’s door without a payment. Audrey started to take classes about music and dance in there. In 1944, an operation held to the Nazis. This operation failed and a request which is about leaving the city is asked from the civils. Audrey and her family left the city and they moved into Velp city.They had really very awful days in there. As we see, Audrey had terrÄ ±ble, traumatÄ ±c memorÄ ±es from the war days. So, how can she can stÄ ±ll contÄ ±nue and adapt to thÄ ±s lÄ ±fe? According to Adler, Individual Psychology understand and analyze the whole events from the perspective of soul’s goal.(Adler, 2017). For that period, when we look at the goal of Audrey, she stated: ‘My passion about dance suppressed the fear which is towards to Germans.’ So, we can say that her goal shaped her life and helped to cope with the problems. When we analyze more deeply, we can find some reasons about the choosing this goal.Audrey’s memories show that, when she was ten years old, she took part in her school performance. At the end of the show, everybody –including her mom- applauded her with enthusiasm. (18) . Audrey was very happy. Adler supports that, a child’s goal includes the desire of being protected and get into the society. (Adler, 2017). Also

Friday, September 20, 2019

Hamlet and Rosencrantz and Guildenstern

Hamlet and Rosencrantz and Guildenstern Hamlet and Rosencrantz and Guildenstern Introduction Hamlet It is important to note that Hamlet itself is a transformation, of form as well as ideas, which is based upon other transformations. Indeed the metatheme of Hamlet is transformation (whereas Rosencrantz and Guildenstern are Dead is about the inability to effect transformation or change). Tom McAlindon, in an article entitled What is a Shakespearean Tragedy, draws our attention to the fact that Hamlet, like Shakespeares other tragedies, has an intense focus on the phenomenon of change: change is not just one of worldly fortunes; it is above all else interpersonal, moral, and psychological change. An essential part of the heros experience is the horrified discovery that the world he knows and values, the people he loves and trusts, are changing or have changed utterly. He feels cheated and betrayed to the very heart of loss. (p.6) Shakespeare was writing in the tradition of Revenge Tragedy, sometimes referred to as Theatre of the Blood. Elizabethan and Jacobean versions of revenge tragedy borrowed heavily from the tragedies of Seneca (4 BC-65 AD), a Roman dramatist whose tragedies were published in 1581. Seneca, in turn, based his tragedies on Greek mythology and he appeared to have been influenced by Aristotle (384-322 BC). Students should acquaint themselves with the features of these tragedies. Shakespeare borrowed, and indeed transformed his tragedies from the classical form in a number of ways, such as the inclusion of comic elements (comic relief, satire, mocking, parody etc), the common man character and showing on stage acts of violent passion. Shakespeare also appears to have borrowed quite extensively from a contemporary of his, Thomas Kyd (1558-1594) whose revenge tragedy The Spanish Tragedy was not only enormously popular but very influential to all in the Elizabethan and Jacobean drama industry. Rosencrantz and Guildenstern are Dead Stoppard has written three, what some would refer to as irreverent, transformations of Shakespeares tragedies: Doggs Hamlet, Cahoots Macbeth and Rosencrantz and Guildenstern Are Dead. This enterprise is quite audacious as he is not just transforming plays but modern classics. When asked why he chose Hamlet he responded: [Hamlet] is the most famous play in any language, it is part of a sort of common mythology. Stoppard also writes in a tradition; in his case the tradition of the Theatre of the Absurd. The literary term Theatre of the Absurd was coined by the critic Martin Esslin and refers to tendencies in drama to portray life as meaningless and absurd which emerged in Paris in the late 1940s and early 1950s. Absurdist Theatre itself can be seen as a transformation of Dadaism and Surrealism, two early twentieth century aesthetic philosophies which focused on a sense of bewilderment at the violence, depravity, and hopelessness they believed endemic to the human condition in the twentieth century. By challenging conventional theatre and traditional views The Theatre of the Absurd attempted to shock the audience into questioning its own values and assumptions. The drama portrayed was not meant to be regarded in the same terms as realist drama but rather as a drama of ideas. Dramatic features often included meaningless exchanges due to a distrust of language as a means of communication, a por trayal of life as meaningless through a lack of dramatic suspense, abstracted and minimalist settings, comic treatment of traditional themes and a blurring of reality and fiction. There is often a sense of playfulness at times drawing attention to their own artifice. There is also a close link with existentialism. Existentialism is a philosophical movement that explores the question of existence and how it is defined, particularly in a world in which meaning appears to have disappeared. The terrible events of the two World Wars accelerated the waning of religious faith which had started with the Enlightenment. There was a general mood of disillusionment with so called civilized values. The absurd plays of dramatists such as Ionesco, Genet, Beckett and Pinter all depict humanity as bewildered and anxious in the face of a loss of meaning. Stoppard uses Rosencrantz and Guildenstern are Dead as a vehicle to express these ideas and draws upon what is probably Shakespeares most existential work, Hamlet. Hamlets famous To be or not to be speech is the intertextual echo that resounds throughout Stoppards play. Stoppard has also appropriated Becketts influential absurdist play Waiting for Godot. Rosencrantz and Guildenstern mirror the predicament of Vladimir and Estragon, two lost souls waiting for something to happen. They are stranded between modernity and postmodernity. They long for the security of a grand narrative to make sense of their lives but can only engage in futile speculation about the meaning of it all. They are on the verge of a breakthrough to an acceptance of their postmodern condition of fragmentation, but dont quite make it. Stoppards transformation of Hamlet can be seen as a formalized 20th century statement regarding the nature of truth: it is contingent, contextual and ultimately unknowable. This, of course, is Rosencrantz and Guildensterns dilemma; they are trapped in limbo between knowing and not knowing. Stoppard has been criticized for omitting certain scenes (e.g. III, ii and iii) which portray Rosencrantz and Guildenstern in a light other than two bewildered innocents. However it should be remembered Stoppard is interested in Rosencrantz and Guildenstern as victims. Rosencrantz and Guildenstern are Dead is his creation. He has taken an idea from Hamlet and developed it dramatically. What he is not interested in is critiquing Hamlet. Students should make lists of the scenes in Hamlet which have been incorporated into Rosencrantz and Guildenstern are Dead, and write down what has been added and what has been changed. Then you should consider how these contribute to Stoppards purpose. Context Hamlet The flourishing of Revenge Tragedy in Shakespeares time was fuelled by the enormous changes taking place in Elizabethan and Jacobean society. His was an age characterized by turmoil and uncertainty. The division of the church in England divided the people into Catholics and Protestants. Religious doubt, albeit carefully disguised, was becoming more prevalent. The consequent unrest and suspicion often resulted in surveillance and betrayal in personal relations as well as in the broader social and political sphere. Assassination attempts on Elizabeth and James resulted in cruel and brutal retaliations. There was also the ever present threat of foreign invasion to add to the feelings of insecurity. Medieval feudalism was in decline, but it was dying a defiant death; the aristocracy resorted to harsh measures to shore up its authority and maintain the hierarchical order which had served it so well. Hamlet dramatically reflects this challenge to tradition, the political instability of his society and the religious questioning. Medieval-renaissance-modern; feudalism-sceptism-humanism-individualism; old world moral absolutes-new world rational scepticism; religious certainties-inner doubt and psychological probing. Humanism and notion of identity. Hamlet asks the modern questions, who am I? and what am I doing here? Rosencrantz and Guildenstern are Dead Stoppard began writing Rosencrantz and Guildenstern are Dead in 1964 and it was first performed in 1966 at the Edinburgh Fringe Theatre. The 20th century, and more specifically the late 20th century, was a time of change and turmoil. The sixties was characterized by an irreverent mood born out of a period of rebellion and challenge to existing structures and beliefs. In all areas of social activity Stoppards society (which is mainly first world, capitalist, democratic and relatively affluent) was undergoing transformation. Many characterize this historical period as the turn on, tune in, drop out generation because of its experimentation with drugs, alternative lifestyles and sexually promiscuous attitudes. Others characterize the sixties as a decade of student political protest. They cite the anti-Vietnam campaigns, nuclear disarmament protests and the Paris student riots as important landmarks in the politicization of young people. The British popular culture scene included television comedy in the form of Monty Pythons Flying Circus and Englands first soap opera Coronation Street, the pop music explosion kick started by the Beatles, stage musicals such as Oliver, Joseph and the Amazing Technicolour Dreamcoat a nd Jesus Christ Superstar. The mood of questioning, rebellion and playfulness can be seen in the way that Rosencrantz and Guildenstern are Dead travesties Hamlet; the tragedians, serious in their treatment of Death and holding a mirror up to life in Hamlet are now reduced to comedians and potential pornographers in Rosencrantz and Guildenstern are Dead. The treatment of death has also undergone a transformation from the profound to the comic, from high tragedy to slapstick comedy. 20th Century despair-nihilism-death of god-existentialism and the notion of identity-swinging sixties-optimism and disillusionment-modernism-postmodernism-Theatre of the Absurd-nonheroic-Rosencrantz and Guildenstern ask the modern questions, who am I? and what am I doing here? Ideas/Themes Change * Consistency and inconsistency * Tradition and progress Hamlet is about change and transition whereas Rosencrantz and Guildenstern are Dead is about the inability to effect transformation or change. Where Hamlet undergoes a transformation in perspective and acts to influence events, Rosencrantz and Guildenstern are seen as impotent little men unable to influence events. Death * What is death? * What is it to die? Throughout literature there is a strong connection between truth and death. The quest for meaning is seen in terms of killing and death. The tragedians offer yet another view: they see death as the climax of great tragedy. Identity The humanist model (see Liberal Humanist reading below) sees Hamlet as epitomizing the human condition. It takes for granted a universalism of human nature and identity which transcends time and place. Rosencrantz and Guildenstern have no fixed identities. Stoppard is exploring the 20th century notion of existentialism which is essentially concerned with the problem of self identity. Rosencrantz and Guildenstern as representatives of the human condition, have no control over their fate and are the victims of arbitrary circumstances. They have no past and no future and only exist through other peoples definitions of them, and are unable to accept the lack of guidance and fashion their own future out of the here and now. Their existential position is echoed throughout the play as they continually try to find an explanation for their existence. In the same way that Hamlet functions as a metaphor for the human condition so do Rosencrantz and Guildenstern represent modern humanitys existential despair. Providence, fate, destiny The notions of free will and determinism are central to both plays. Hamlet has the free will to act but is thwarted by his belief system. Rosencrantz and Guildenstern represent the idea that our lives are predetermined because even though we do have choices in life, we do not have enough information to choose intelligently. Existentialism, religion and the meaning of life Shakespeares England was very religious. The Christian church was an active participant in all areas of social and political life. Hamlet too operates in this Christian context and all events in the play should be regarded in this light; indeed religious belief is often a instigator or inhibitor of dramatic action. The 20th century is often referred to as the century that killed God. In Western society there has been a decline in the number of Christians and of the significance of the church in everyday life. Stoppard evokes the mood of 20th century despair through his appropriation of the philosophical movement called existentialism. By dramatizing the loss of centers resulting in a despairing desire to know and to believe, Stoppard is commenting on the nature of 20th century existence. Appearance and reality, illusion and truth The player in Rosencrantz and Guildenstern are Dead says, truth is only that which is taken to be true. Its the currency of living. There may be nothing behind it, but it doesnt make any difference so long as it is honored. One acts on assumptions. Consider the concept of truth as it is dramatically realized in Hamlet. Examine how both plays use things such as imagery, symbols, clothing, the play-within-a-play device, role-playing and language to set up mirrors for reality through which to challenge our notions of illusion and truth. Appearance and reality is a dominant theme in Hamlet and Elizabethan audiences would understand that there is a truth behind the disguise. Rational reason and scientific rationalism Rational reason was the basis of Humanism and was the working philosophy of Shakespeares time. Rosencrantz and Guildenstern attempt to discover patterns and purposes in their existence by use of scientific logic. Theatre as a metaphor for life (and the nature of art) There are several examples in both plays where the boundaries between the actors and the audience are erased. Shakespeare and Stoppard employ metatheatre in order to comment on the analogy between drama and life: both construct realities. Hamlet is a theatrical play. It is about acting and, like Rosencrantz and Guildenstern are Dead is full of theatrical references. Theatrical terminology and imagery abounds, characters act or attempt to act, characters are instructed and instruct others in the art of acting, there are plays within plays and the audience are reminded that it are not only watching a play but that it might be the actors in someone elses play! Both playwrights cleverly use structure and form to draw our attention to the nature of truth and reality. Stoppard himself is acting upon Shakespeares text. Form Hamlet The genre-Tragedy-Revenge Tragedy-Aristotle-Seneca-Elizabethan/Jacobean-Shakespeare Structure-stagecraft-dramatic techniques (ghost, soliloquy, play within a play)-language-imagery-setting Rosencrantz and Guildenstern are Dead The genre, Theatre of the Absurd, modern and postmodern characteristics (pastiche, irony, parody, word games, vaudeville, burlesque, self reflexivity, absence of a frame of reference) Intertextuality (The Love Song of J. Alfred Prufrock by T S Eliot and Waiting for Godot, a play by Samuel Beckett about impotence and despair, view of life as hopeless). Prufrock and Godot are both examples of modernist texts where the romantic tragic hero is regarded as a myth. We have the anti-hero or ordinary person on centre stage cut adrift in a drama over which he or she has no control, aimless and looking for direction and speculating about the meaning of it all. Modernism is characterized by nostalgia for the certainty, faith and authority of the past. Thus there is a tone of lament, pessimism and despair. Rosencrantz and Guildenstern are Dead is modernist in this sense but there are aspects of postmodernism, e.g. the philosophizing, speculating and agonizing by Hamlet over grand issues (such as meaning of life, death and religion) is treated in Rosencrantz and Guildenstern are Dead as farce through the modes of satire, irony, burlesque and parody. Stoppards use of Hamlet is in some ways a postmodern gesture. By appropriating such an iconic text as Hamlet and presenting it from the perspective of peripheral characters and then playing upon them for his own purposes, Stoppard demonstrates that the human experience cannot be fully understood by focusing on the dominant narrative. The depiction of reality as a game or spectacle, the destabilization of identity and the inability of language to offer security of meaning are further pointers to the postmodern condition of Rosencrantz and Guildenstern. They are indeed bewildered innocents cast adrift in a disinterested and dispassionate universe. The questioning and dismantling of the individual authorial self conclusively marks the text as a postmodern inquiry into how meaning is constructed. Remember that the vital difference between modernism and postmodernism is that the former laments fragmentation and the latter celebrates it. So be cautious in referring to RG as a postmodern text. It is a modernist text that has some postmodernist characteristics. The intense seriousness of the modernists is diluted by the humor and parody of the postmodernists. Language Hamlet The role of language in Hamlet is to create meaning. It is the utterance of the paragon of animals. It is a sublime human achievement, and indeed Shakespeares language has been valued throughout the centuries as the pinnacle of linguistic artistry. Language in Hamlet expresses beauty, truth and reason as well as being a tool of deception and manipulation. It therefore has transcendent meaning which when analyzed will reveal truth. Traditional criticism, based as it is on Liberal Humanist values, focuses on a universal humanity which can be understood through a close analysis of language and form. In Hamlet we find Shakespeares full repertoire of language skills: verse, prose, formal, colloquial, dialogue, soliloquies, aside, puns, irony, parody, a range of imagery, etc. Rosencrantz and Guildenstern are Dead Stoppards language on the other hand expresses the ambiguous nature of truth. There is no underlying fixed meaning in words. The lack of control over their lives is mirrored in the fragmentation of Rosencrantz and Guildensterns language and their persistent use of question. The language games that Rosencrantz and Guildensterns engage in owes an intertextual debt to the influential 20th century philosopher, Ludwig Wittgenstein. Stoppard has appropriated one of Wittgensteins theories of language which essentially states that language cannot express a universal truth. Language resembles moves in a game and outside of the game has no meaning whatsoever. This notion of language having no transcendent value is another point of difference between the two plays. Stoppard also reveals his range of verbal artistry. His play is rich in the playful use of clichÃÆ'Â ©, black humour, irony, puns, burlesque, cultural reference, etc. His use of colloquial and clichÃÆ'Â ©d language to state humankinds existential dilemma serves to undermine the value traditionally attached to Shakespeares elevated poetry. The numinous authority of Shakespeares language is thus deflated. Notwithstanding all this, we should never lose sight of the fact that Stoppard is a playwright and his intention is to entertain us. Stoppards style, especially his humor, wit and comedic timing, is the means by which the bleakness of Rosencrantz and Guildensterns (and by analogy our own) predicament is made palatable through the medium of drama. Readings The audience response to both texts is determined by values, culture and context. Remember, our course this semester has focused on a study of the language of texts, consideration of purposes and audiences, and analysis of the content, values and attitudes conveyed through a range of readings. With that in mind, you need to understand the following critical approaches and acquaint yourselves with the theoretical principles underpinning each of the approaches. * Traditional Criticism which is based upon a Liberal Humanist approach. * Modern Criticism which is based upon a Post-structuralist and New Historicist approach. The essential difference between the two approaches is that the first tends to focus on character and the universality of the human condition and the latter emphasizes the influence of context and the application of theory to the process of reading.

Thursday, September 19, 2019

Essay --

Discussion In nature, there are a group of proteins which are known to produce a universal response that is the production of stress proteins namely heat shock proteins (Hsp70), expressed in response to external stimuli. They are expressed in normal state conditions hence aiding in the native polypeptides folding and its translocation to different cellular compartments (Feder and Hofmann, 1999; Hartl and Hartl-Meyer, 2002). Iwama et al. (2004) worked on whether Hsp70 are a molecular marker for indicating stressed states in fishes. Ammonia which is a common pollutant has been seen and known to interfere with cellular proteins and in turn interfere with amino acid homeostasis (Cooper and Plum, 1987). As a result of ammonia toxicity, Hsp70 protein gets enhanced and in turn helps in inducing proteotoxicity. Our observation proves that the ability of these fishes (M. cuchia) to tolerate such high concentration of NH4Cl is mainly due to the ability of Hsp70 to induce proteotoxicity, an ability to rep air partly denatured proteins caused due to ammonia toxicity. Similar observation of expression of Hsp70 was seen in brown trout (Salmo trutta f. fario) exposed to sub-lethal concentrations of ammonia (Luckenbach et al., 2003). Immunocytochemical analysis clearly demonstrated the localized expression of Hsp70 in liver, kidney and brain of M. cuchia during exposure to 50 mM NH4Cl for 7 days with a slight fall of expression in 14 days 50 mM NH4Cl tissues (Fig. X). Immunopositivity to Hsp70 antibody has been detected in control as well as in 7 and 14 days 50mM NH4Cl treated tissues. In the unstressed cells Hsp70 helps in maintaining cellular homeostasis (Fink and Goto, 1998). In liver, the expression of Hsp70 was more predominant in hepatic sin... ...l red skeletal muscle of paddleï ¬ sh. To add to our observation, Poltronieri et al. (2008) also found Hsp70 immunonegativity in control tissues of carp (Cyprinus carpio) and rainbow trout (Oncorhynchus mykiss) along with absence of immunopositivity in stressed states. The fall in immunoreactivity which was observed in 14 days of NH4Cl treated tissue might be mainly due to slight acclimatization at the end. Therefore, one needs to find out the possible implications of Hsp70 in this fish, M. cuchia, which is known to tolerate high ammonia concentrations. As Hsp70 is known to act as an important candidate for identification of stresses and also an important biomolecules acting as sentinels of contamination exposure, this stress proteins, Hsp70 might give a better understanding of how these fishes adapt themselves to such concentrations of environmental ammonia toxicity.

Wednesday, September 18, 2019

George Washington :: essays research papers

George Washington was commander in chief of the Continental army during the American Revolution and first president of the United States (1789-97). Early Life and Career. Born in Westmoreland County, Va., on Feb. 22, 1732, George Washington was the eldest son of Augustine Washington and his second wife, Mary Ball Washington, who were prosperous Virginia gentry of English descent. George spent his early years on the family estate on Pope's Creek along the Potomac River. His early education included the study of such subjects as mathematics, surveying, the classics, and "rules of civility." His father died in 1743, and soon thereafter George went to live with his half brother Lawrence at Mount Vernon, Lawrence's plantation on the Potomac. Lawrence, who became something of a substitute father for his brother, had married into the Fairfax family, prominent and influential Virginians who helped launch George's career. An early ambition to go to sea had been effectively discouraged by George's mother; instead, he turned to surveying, securing (1748) an appointment to survey Lord Fairfax's lands in the Shenandoah Valley. He helped lay out the Virgi nia town of Belhaven (now Alexandria) in 1749 and was appointed surveyor for Culpeper County. George accompanied his brother to Barbados in an effort to cure Lawrence of tuberculosis, but Lawrence died in 1752, soon after the brothers returned. George ultimately inherited the Mount Vernon estate. By 1753 the growing rivalry between the British and French over control of the Ohio Valley, soon to erupt into the French and Indian War (1754-63), created new opportunities for the ambitious young Washington. He first gained public notice when, as adjutant of one of Virginia's four military districts, he was dispatched (October 1753) by Gov. Robert Dinwiddie on a fruitless mission to warn the French commander at Fort Le Boeuf against further encroachment on territory claimed by Britain. Washington's diary account of the dangers and difficulties of his journey, published at Williamsburg on his return, may have helped win him his ensuing promotion to lieutenant colonel. Although only 22 years of age and lacking experience, he learned quickly, meeting the problems of recruitment, supply, and desertions with a combination of brashness and native ability that earned him the respect of his superiors. French and Indian War. In April 1754, on his way to establish a post at the Forks of the Ohio (the current site of Pittsburgh), Washington learned that the French had already erected a fort there.

Tuesday, September 17, 2019

Looking Through the Eyes of the Faultless Painter Essay -- Adrea del Sa

Andrea del Sarto's title in Browning's eyes should be considered â€Å"the faultless painter†. For del Sarto, capturing something beautiful is worth almost anything. But del Sarto finds himself trapped between two identities: That of a husband to his wife, and that of an artist to his patrons. Andrea del Sarto recognizes that his work as a painter often distances him from his wife, but he also recognizes that his love for his wife has reduced his capability to paint subjects as they are. Of course, del Sarto himself is presenting only his side of the story, that of a man who is trying to support his wife with his work; it would be interesting to see Lucrezia's side of the tale. What is fascinating is that del Sarto's world view and explanation of his life, the narrative of his existence, seems to be totally sincerely held, yet it is also in many ways deeply contradictory: Resentful and loving, taking responsibility and passing on responsibility. In this sense, del Sarto's mono log is clearly a sincerely held view of the world, but is precisely the kind of view that a real person holds: Filled with inaccuracies and competing self-images. One of the crucial clues to the meaning of the poem is the superlative that Andrea del Sarto has earned: â€Å"Faultless Painter†. Del Sarto has interpreted this vision of himself to mean that he has managed to be technically perfect but emotionally limited, yet that superlative doesn't seem to just point to a flawless technician. Del Sarto has apparently achieved notoriety in his life, yet he is still unsatisfied with his work. In del Sarto's worldview, his wife has made it so that he is only technically proficient, not emotionally proficient. But it is quite clear that del Sarto is actually deeply emotiona... ... loving husband, and a strong man. Unfortunately, his real world is not perfect, so he finds that he is only a faultless but not exceptional painter, a husband who is married to a woman who spends his money, and a man who is unable to stand up to his wife. It is unquestionable that del Sarto honestly believes all of these things. The fact that his beliefs are based on mutually contradictory components does not change the fact that this is clearly the statement of a man's worldview. Browning gives us the image of a man walking through his own self-image, and invites the reader to share in the uncertainty about del Sarto. Without ever hearing from others, such as his peers, his patrons, and his wife, it is impossible to know the truth; the only thing we can know is what del Sarto thought and what his worldview was, and that is enough to understand the man and his art.

Monday, September 16, 2019

Computer Architecture Essay

1. Describe Von Neumann architecture and explain why it is important. The Von Neumann architecture explains the architecture of an electronic computer. It is attributed to be root of every electronic computer that has ever been made. According to Von Neumann architecture an electronic computer has Control Unit, Arithmetic Logic Unit, Memory & Input / Output Devices. The following diagram shows this architecture:- Memory: – Memory holds both data and the instructions. Control Unit: – The Control Unit manages the movement of data and instructions in and out of the memory and also deals with sequential carrying out of the programs. Arithmetic Logic Unit: – Carries out all the calculations on the data. Apart from operations like addition, subtraction etc, ‘greater than’, ‘less than’ etc would also be provided. Input / Output: – Input/output devices to feed into the data and take out the data. This component served interaction with the human who was operating the device The most basic principle of development of Von Neumann architecture was that it not just stored the data and the computation that was involved; it also stored the set of orders and instructions that had resulted in the computation. The entire set of instructions were stored in what is called as ‘registers’ and the control unit used to process this in a sequential manner – which means one at a time. In this architecture the instructions were encoded into numeric form and the data as well as the instructions were then stored in the memory. The Von Neumann Architecture is important because it led to the development of the earliest computers. Even the computers we see today, that are fifth generation and have a drastically different architecture, draw their parallels from Von Neumann Architecture. Obviously there has been lot of improvements. However, the base of having memory, control unit, input / output devices still remains integral to all the machines. Von Neumann architecture can hence be easily regarded as mother of all computer architectural designs. 2. Explain what a system bus is and why it is needed. The system bus is the pathway over which the data travels between the CPU and the rest of the components on the motherboard. The system bus speed is defined as the capacity to move the data through the system, as it is the speed that connects the different parts of the system. The front-side bus (FSB) is that part of the bus which is responsible to carry the data between RAM and the CPU. FSB is the part that usually has the greatest effect on the performance of the system. A system with high-performance processors and components would need to have a fast front-side bus. Bus speed is quite important and can have a significant impact in the performance of the machine. The data in a system is stored, manipulated and processed in the system memory. The system needs to move this information in and out of memory, and at the same time, a track of which data is stored at which location need. This entire info travels using the system bus. If the bus speed is low, there will be a very low transmission data speed, leading to the computer working very slowly. We know that in all the modern systems that we use, the processor is running at a speed that is much faster than the memory bus. If we compute the ratio of processer speed to bus speed (something called as bus multiplier), we will find that the lower the multiplier the better it is. If the multiplier is large, it would mean that the bus speed is slow as compare to the processor speed, in which case the processor will remain idle. On the other hand, if the bus speed is higher, then more data can be fed to the processor resulting in lower latency (time to start a request). 3. Summarize the use of Boolean operators in computer-based calculations. Boolean Operators are the most popular operators used for computer based calculations. Boolean operators are simple words (AND, OR, NOT or AND NOT) which are used to carry out these calculations. Together, these keywords help in finding, joining or excluding a particular keyword in a search and hence arrive at results efficiently. These operators and their use can greatly help in saving time by doing searches for getting to ‘on-target’ results – which are more relevant and accurate to the questions/needs that are posed. Every different search engine makes use of Boolean operators in varying fashion. While doing Boolean based calculations, a lot of proximity operators can be used to combine strings which can then help with the search. A brief overview of various operators is given below:- AND This Boolean operate requires both the terms to be in each item returned. For example, if only one of the term is contained in the document and the other is absent, the item is excluded OR This Boolean operator would return either term (or even both the terms) NOT While using this Boolean operator, the first term is searched, and then any records containing the term after the operators are subtracted from the results. Using Parentheses to include different strings will help in giving more customized and accurate results for the operation. 4. Categorize the various types of memory and storage. Computers need to have a storage space and memory units to store information and to run programs. There are various types of memory and storage, with various specifications and different purposes. These different types of memory and storage are:- Random Access Memory (RAM) RAM stores the data on a temporary basis, and as such it can be quickly/promptly accessed by the processor. This information, which includes both the application data and the data related to operating system, is loaded from the hard disk of the computer. The catch however is that as soon as the system is switched off, all the stored information is lost. Read Only Memory (ROM) Unlike RAM, ROM is active, even if the system is turned off – thus making it somewhat a permanent non-volatile storage memory. The contents of ROM cannot be modified. ROM has all the data which should be present so that the computer can carry out the normal functions.. Cache Cache is a more responsive memory than RAM. The CPU, in case of Cache, for finding the required information the CPU first searches the cache memory before searching the central memory storage area Computer Hard Drive This has a set of devices that are integral components of data storage components in the CPU. This particular memory has different ranges and a particular user may chose the size of the memory. The hard disks can store a very large amount of information, including photos, videos, music, documents, programs and more and this memory remains even after your computer is turned off. External hard disks An external hard disk is a great way to store more digital photos, videos, music, and other large files. It can add huge volume to the storage space on your computer’s internal hard disk. Flash Memory Unlike the other storage and memory options, this is a portable storage and felicitates a convenient data transfer between two computers. Easy deletion and re-programming of data is possible as per the user’s requirements. References Backus, J. 1978. Can programming be liberated from the von Neumann style? A functional style and its algebra of programs. Communications of the ACM 21, 8, (August), 613-641. Myers, G. J. 1982. Advances in Computer Architecture. John Wiley & Sons, New York. von Neumann, John (1945), First Draft of a Report on the EDVAC, retrieved August 24, 2011 Linda Null; Julia Lobur (2010). The essentials of computer organization and architecture (3rd ed.). Jones & Bartlett Learning. pp. 36,199–203. ISBN 978-1-4496-0006-8.

Households and domesticity in ancient world

How Valid is Mazarakis Ainian ‘s Hypothesis that Rulers ‘ Dwellings in the Early Iron Age were the Forerunner of the Urban Temples of Later Periods?In this paper I am traveling to review Mazarakis Ainian ‘s averment that there is a strong nexus between swayers ‘ homes and early temples in both map and architecture. I shall get down by placing what it is that separates a swayer ‘s home from the remainder of a community and shall so seek to place why a house would be used as a temple and the grounds for why there would hold been the passage to a dedicated spiritual edifice.House types of the Early Iron AgeThe period of the Early Iron Age ( EIA ) covers about 1100-700 BC and encompasses the so called ‘Dark Ages ‘ which followed the Mycenaean prostration and which ends in the passage to the Early Archaic period of the seventh century. It can be divided into the Protogeometric and Geometric periods of 1100-900 and 900-700BC severally. It is Mazarakis Ainian ‘s chief statement that due to the evident absence of temples of any sort within colonies prior to the mid eighth century BC, swayers ‘ homes alternatively served as Centres of communal cult ( 1988: 106 ) . It would hence be utile to look at the scope of house signifiers known from this early period, to place what separates elect lodging from other constructing types and besides the grounds they contain to propose ritual or spiritual activity. Although there are comparatively few colony sites staying, peculiarly 1s incorporating identifiable house remains or foundations, in comparing to subsequently periods in the Grecian World, Lang recognizes two chief types of house agreement ; detached and agglomerated. Both types of colony normally show that they were unplanned, having irregular street layouts which most frequently follow the local topography ( Lang 2007: 183 ) . The colony of Zagora on the island of Andros is demonstrative of the agglomerative house type while Emporio on Chios shows detached. This may nevertheless be brooding of colony size ; Zagora may good hold begun with a degage house agreement but its location on a drop top tableland and ensuing bounds on infinite, any addition in population may hold required new houses to be built in close propinquity to bing 1s. The alteration from little to big bunchs of houses can be seen in the programs drawn of the EIA and Archaic remains at the site ( fig. 1 ) . This has nevertheless led to several bookmans proposing that the house layout of Zagora reflects an early illustration of the courtyard house prevalent in the Classical Period ( Coucouzeli 2007: 169-181, Morris 1998 ) . The statement for this does non look wholly convincing, but I shall non turn to it farther in this paper. House types within these agreements besides varied. They were most normally composed of one or two little suites with rectangular, egg-shaped, apsidal or the somewhat less common round land programs ( Mazarakis Ainian 1997: Ch. 1 ) . The agglomerative colony lent itself best to rectangular land programs as seen with Zagora ( figure 1 ) . Geographic location appears to hold played a portion in the distribution of the different house types with, for illustration, egg-shaped edifices of the Geometric Period being chiefly found in Attica and Euboea, the East Greek islands and West seashore Asia Minor but seldom identified elsewhere ( Mazarakis Ainian 1997: 86 ) . It is the edifices of apsidal and rectangular programs that Mazarakis Ainian suggests were the ancestors of the Archaic temple and the most preferable designs for swayer ‘s homes. They can be divided into two groups ; those with a closed frontage are classified as ‘oikoi ‘ and those with an unfastened frontage are known as anta edifices ( 1997: 259 ) . At many of the colonies there is normally a home that stands out in footings of size, program and location from all others in the locality and it is these that are assumed swayers ‘ homes. Figure 2 high spots this in a comparing of elect homes of certain type, dwelling of a chief room with smaller rear chamber, and other domestic edifices of similar form.The House as TempleThe extent to which these likely elite houses show similarity in signifier and map to the first urban temples will now hold to be considered. To get down to reply this, the grounds for why these houses would be used as focal point of ritual ac tivity in the first topographic point demand to be looked into. M. Ainian calls these edifices swayers ‘ homes, but who were these powerful work forces and how far would their power have extended within their community? Mazarakis Ainian suggests that the swayers who inhabited these homes would hold been work forces who came to power on either a familial footing or through possessing desirable personal virtuousnesss ( 1997: 270 ) . In anthropological footings this would do them either heads or large work forces. He proposes that in some countries these powerful work forces may hold had their beginnings as local governors in the Late Helladic IIIB Period, and so would hold maintained control of little colonies after the Mycenaean prostration. In most countries colonies would hold been little made up of one or two drawn-out households, with the caput of the dominant or possibly oldest family going responsible for the direction of communal personal businesss ( Mazarakis Ainian 1997: 375, 393 ) . Thomas and Conant express it good: The community is virtually an drawn-out household, and the small town leader, the caput of the most of import household. ( Thomas and Conant 1999: 52 ) This reflects what is thought from Homer ; that the Oikos consisting of drawn-out household of possibly three coevalss was the basic ‘kinship, residential and economic unit ‘ with any figure of oikoi doing up a community ( Donlan 1985: 299 ) . It would merely look logical that as portion of his control of communal responsibilities the ‘chief ‘ would besides be in charge of spiritual cult pattern. When the colony was little and lone consisting of the one affinity group the ideal topographic point to idolize a divinity or ascendant would hold been within his place. As the colony grew possibly this pattern continued as tradition. It is M. Ainian ‘s position that by literally lodging spiritual pattern the swayer was keeping his prestigiousness and control within the community ( 1997: 393 ) . The control of faith by a individual swayer, or double swayers in this peculiar instance, was continued into subsequently periods by the male monarchs of Sparta who cont inued to move as main priests, retaining their spiritual function ( Mazarakis Ainian 1988: 118 ) . This would look to propose that spiritual responsibilities would and could hold been controlled by the colony leader. There would therefore look to be several strong accounts as to why a swayer ‘s house would hold come to be used as a precursor to the temple. The archeological grounds is largely in support of this position, with domestic and ritual artifacts frequently found in association. Nichoria, a site in Messenia is a good illustration of this. At this site two peculiar house remains, known as unit IV-1 and unit IV-5, stand out from the remainder of the homes in the locality. As a consequence it could be said with comparative certainty that they held some particular importance within the community. Both were rather big apsidal edifices surrounded by little seemingly low position apsidal huts. The first, IV-1, has been dated to the tenth century BC while IV-5 most probably replaced it in the 9th. IV-1 is the most complete of the constructions and digging found that it contained a paved circle raised on a dais and covered with a bed of burned stuff ; nearby an sum of animate being bone was besides recovered. This suggested to the excavators that it may hold been a temple, with the paved circle operation as an communion table. Other di scoveries of a domestic nature were besides found nevertheless, proposing that it was possibly of importance both as a home and for its ritual significance ( Lukermann and Moody 1978: 94 ) . Ritual banqueting was another facet of ancient Greek spiritual pattern that M. Ainian identifies as perchance holding a case in point within the swayers ‘ home. Whitley though argues that the big sums of animate being castanetss and imbibing vass in association with fireplaces and benches in some homes does propose banqueting, but for the intent of doing bonds of commitment and beef uping authorization within the community ( Whitley 1991: 185 ) . Mazarakis Ainian does non deny that banquets were most likely taking topographic point for these grounds, but besides tenuously suggests that they would hold been held for ritual intents ( 1997: 379-80 ) . The grounds he cites for this nevertheless is limited at best, and he does rely somewhat on justification from the Homeric heroic poems in this peculiar country, despite his unfavorable judgment for other bookmans on this point. I am nevertheless inclined to take up his point of position in this affair. Although it is certain that fe asts did happen in swayers ‘ homes, the grounds available makes their purpose hard to find, but as antecedently argued, the swayer took on the function of ‘priest ‘ which makes it likely that some signifier of ritual dining must hold taken topographic point within his house alongside the other signifiers mentioned. The architectural similarities between swayers ‘ homes and early temples besides give acceptance to M. Ainian ‘s hypothesis. They portion similar land programs, being largely rectangular or apsidal and holding the entryway in the short side, significance that every cult edifice of the Late Geometric Period had an architectural opposite number in a domestic edifice of the same or earlier day of the month ( Mazarakis Ainian 1997: 388 ) . Apparently so this demonstrates really close ties between the edifice types that must certainly stand for a continuance of tradition. Snodgrass nevertheless does foreground that shrines may hold existed as separate entities in earlier periods as direct ancestors of the classical temple, but because architectural criterions were lower they can non be differentiated from domestic constructions ( Snodgrass 1980: 58 ) . Some edifices, such as edifice C at Koukounaries, appear to portion greater similarity with banqueting halls than with abodes as they consist of merely the one big room without any noticeable divisions ( figure 3 ) . A individual unfastened infinite like this would look more ideal as a topographic point for banqueting than as a life infinite for the elite. This would propose a remarkable function and specific intent for these peculiar edifices instead than holding the double intent of brooding and Centre of cult that is cardinal to M. Ainian ‘s statement. If this was the instance so the temple, which fulfilled the function of communal banqueting hall and garnering topographic point in the Archaic Period, could be seen as holding its beginnings as a typical, separate construction in an urban scene at a much earlier day of the month. Lang though believes that EIA society would non hold been developed plenty socially or economically to let for the building of public edifices of remarkable map ( Lang 2007: 186 ) . Ideas of public and private infinite had non been developed and so the separation of domestic and sacred would non hold been necessary ; the demand for a typical temple edifice within the confines of the colony would non hold existed. Small discoveries from within many of the big constructions suggest a scope of domestic maps took topographic point within, instead than the remarkable grounds of dining that would be expected from a banqueting hall. The bulk of edifices believed to be swayers ‘ homes are divided into compartments or suites with edifice C at Koukounaries being one of merely several exclusions to this ( Mazarakis Ainian 1997: 271 ) . His most convincing statement is that without these being classed as places of governing households, there would be small archeological grounds to propose Grecian society was stratified as opposed to classless during the EIA ( 1997: 271 ) . It would therefore look improbable in visible radiation of the grounds that temples would hold existed in their ain right during in urban contexts during this period. Rulers ‘ homes apparently would hold filled the function finally played by the temple, with the leader, the head or large adult male, executing the responsibilities of priest.Passage to TempleIt does look that swayers ‘ homes would hold been the Centre of at least some sort of ritual spiritual activity within EIA communities. So why was there the passage to the separate urban temple at the terminal of the 8th and beginning of the seventh century? These new temples, in the beginning at least, would hold carried out the same spiritual map as the houses of the elite had done, but were merely designed for this remarkable intent. This alteration must certainly hold represented new thoughts emerging of dividing public and privat e infinite and in bend reflect societal, political and even economic alteration. Prior to the mid eighth century, temples as edifices in their ain right merely appear to hold existed at extra-urban sanctuaries ; that is those which are outside any peculiar colony. One illustration of such a edifice is the rural shrine at Pachlitsani Agriada near Kavousi on Crete ( Mazarakis Ainian 1988: 116 ) . The edifice contained a bench on which idols stood and besides the remains of several graven images, perchance dedications to the goddess Eileithyia ( Mazarakis Ainian 1997: 212 ) . It is dated tenuously from the manner of the graven images to the Protogeometric at the earliest and the bend of the 8th/7th century at the latest, with M. Ainian preferring the earlier day of the month. There was hence a case in point for edifices that were built for the exclusive intent of worship, either to a God, an ascendant or hero, but non within a colony. As has been mentioned the map of a temple was carried out by the swayers ‘ home and so there was no demand for such a edifice u ntil about 750BC.From so onwards this position changed and temples began to look in a figure of urban colonies across Greece. Of class the alterations taking topographic point did non make so at the same time across the full Grecian Universe, but 750BC appears to hold been the turning point from which the temple finally dominated as the primary focal point of spiritual cult. Mazarakis Ainian suggests that the passage to temples occurred as a consequence of political and societal alteration ; specifically the diminution of the monarchal system. He proposes that when the so called ‘basileus ‘ , the leader of the community, had control over the direction of communal personal businesss including spiritual facets, the sacred and non sacred were non separated. It is his sentiment therefore that the rise of temples from the mid eighth century was a direct consequence of the abolishment of monarchy in favor of an blue system. The former leader would hold lost many of his powers and in peculiar the control of cult activity ( Mazarakis Ainian 1988: 118 ) . This implies that control would hold passed to the ‘state ‘ as it existed at the clip, followed by the separation of the every-day into public and private, sacred and non sacred. This is one possible account as to the passage of cult from swayers ‘ brooding to temple and it is closely linked with the other chief account ; the rise of the polis, which shall be discussed shortly. Harmonizing to M. Ainian, the building of temples meant the remotion of cult from private to public control and so besides implied the remotion of power from the single i.e. the colony leader. Although it is widely held that power did bit by bit go more widely distributed between a figure of elect as opposed to being held by one adult male, and is seen in the archeological record by the progressively hard undertaking of placing swayers ‘ homes from the architectural remains of this period, it could non hold been the instance everyplace as evidenced by the continued presence of sovereign into the Archaic Period and beyond ( Mazarakis Ainian 1997: 382 ) . His logical thinking does non take into history that temples themselves, as monumental constructions, could besides be interpreted as shows of authorization and wealth of a high position person in the same manner swayers ‘ homes had done, while possibly at the same time in other countries stand foring competition between c ommunities and a show of the corporate power of the ‘state ‘ . The best counter-argument to his position must certainly be the instance of Sparta, as a good documented metropolis where the establishment of kingship was maintained, yet besides featured temples. He argues that for monumental temples to be constructed it required communal consensus, attempt and resources that would non hold been possible under a individual swayer ( 1997: 384 ) . Yet, by his ain statement, the earliest temples frequently resembled swayers ‘ homes in form every bit good as map, and so the really first temples at least could hold been constructed utilizing bing resources and work force ( 1988: 116 ) . He is nevertheless right in proposing that a swayer at the degree of ‘chief ‘ would be improbable to command adequate power in order to build a truly monumental edifice of any sort. The ‘Heroon ‘ at Lefkandi may be the exclusion to this ; at 47 meters long, 10 meters broad and dating to c.950BC it was bigger than anything else built in Greec e for more than the following 200 old ages. It has been suggested that this excessively may hold served as a home before being converted into a funerary construction ( De Waele 1998: 384 ) . It would once more confute M. Ainian ‘s theory as it was most probably constructed to house the people finally buried within it instead than for the broader community, but within the range of this paper shall be treated as an anomalousness. This aside so, it would look to come down to a inquiry non of who was in charge, the person or the many, but the phase of development as a society that they were at. Sparta was able to hold temples even under a dyarchy because it had developed into a polis and accordingly was at a phase of political development that allowed for the separation of the sacred and the non sacred, the populace from the private. It has even been argued that it was a necessary demand for the development of the metropolis province. Starr asserts that the outgrowth of purpose built temples indicates civic integrity merely possible through the societal construction and centralized authorities of the polis ( Starr 1986: 39 ) . Thomas and Conant agree to an extent with this position, proposing that spiritual commonalty would hold contributed towards the turning coherence of colonies and added to the sense of community beyond affinity groups. But they go farther in suggesting that this manifested itself in the bu ilding of grander constructions to honor the Gods and hence played a important portion in the development of the community and individuality of the polis ( Thomas and Conant 1999: 138-9 ) . From these two statements the inquiry is formed as to whether the temple was a consequence of the rise of the polis, or if the polis was merely possible through the creative activity of, or at least the societal, political and economic conditions necessary for the building of, the urban temple. To decently reply this would necessitate an in deepness expression into the rise of the polis which is beyond the bounds of this paper, but no affair what the reply it is clear that the outgrowth of both were inexorably linked. If, as harmonizing to Mazarakis Ainian, it was the displacement from monarchy to shared regulation that led to the demand for temples so it would go forth those metropoliss that did non travel through this political alteration as exclusions to the regulation. To give him the benefit of the uncertainty, what he is most likely seeking to state is that urban temples were a phenomenon of ‘state ‘ regardless of its signifier of authorities every bit long as the power was shared in some manner. I would therefore suggest that his usage of the term ‘monarchy ‘ is misdirecting in this context as he alternatively seems to be mentioning to the alteration from chiefdom degree regulation to that of province degree ; therefore indirectly besides back uping the thought that the beginnings of the polis was the ground for alteration.DecisionsSo is Mazarakis Ainian ‘s hypothesis valid? The grounds for the period he is analyzing is comparatively limited, embracing as it do es the so called Dark Age of Greece, but what is known from the archeological record does non look to confute his decisions. That is non to state nevertheless that it to the full endorses him either. In several illustrations presented the archeology could be interpreted in a figure of ways but would look to back up his statement through other indirect associations. This can peculiarly be seen in the grounds for banqueting within swayers ‘ homes which does be, but its ritual nature is difficult to find. Its reading as such is largely dependent on whether the colony swayer genuinely took on the mantle of priest as argued. Although there are several separate and valid statements in support of his point of view, in my sentiment if merely one facet such as the degree of authorization of a colony leader was thrown into uncertainty, the other statements would go well weaker. Despite this, holding considered the chief points of Mazarakis Ainian ‘s statement and the available grounds I have drawn similar decisions, and would therefore back up his hypothesis that swayers ‘ homes were so a precursor in both signifier and map of the early temple.BibliographyCoucouzeli, A. 2007. From Megaron to Oikos at Zagora. In R. Westgate, N. Fisher and J. Whitley ( explosive detection systems ) , Constructing Communities: House, Settlement and society in the Aegean and Beyond, 169-181.British School at Athens.Lang, F. 2007. House-Community-Settlement: The New Concept of Living in Archaic Greece. In R.Westgate, N. Fisher and J. Whitley ( explosive detection systems ) , Constructing Communities: House, Settlement and society in the Aegean and Beyond, 183-193. British School at Athens.Lukermann, F. and Moody, J. 1978. Nichoria and Vicinity: Colonies and Circulation. In G. Rapp andS. Aschenbrenner ( explosive detection systems ) , Excavations at Nichoria in Southw est Greece: Volume I. Minneapolis: University of Minnesota.Mazarakis Ainian, A. 1997. From Rulers Dwellings to Temples: Architecture, Religion and Society in Early Iron Age Greece 1100-700BC. Jonsered: Paul Astroms Forlag.Mazarakis Ainian, A. 1988. Early Grecian Temples: Their Beginning and Function. In R. Hagg, N. Marinatos and G. Nordquist ( explosive detection systems ) , Early Grecian Cult Practice, 105-119. Capital of sweden: Paul Astroms Forlag.Morris, I. 1998. Archaeology and Archaic Greek History. In N. Fisher and H. new wave Wees ( explosive detection systems ) , Archaic Greece: New Approaches and New Evidence, 1-91. Swansea: The Classical Press of Wales.Snodgrass, A. 1980. Archaic Greece: The Age of Experiment. London and Toronto: J. M. Dent and Sons Ltd.Starr, C. G. 1986. Individual and Community: the Rise of the Polis 800-500BC. Oxford: Oxford University Press.Thomas, C. G. and Conant, C. 1999. Citadel to City State. Bloomington and Indianapolis: Indiana University Press .Whitley, J. 1991. Style and Society in Dark Age Greece: The Changing Face of a Pre-Literate Society 1100-700BC. Cambridge: Cambridge University Press.

Sunday, September 15, 2019

Price Fixing

The case was released in the mid-2006, where the Federal Trade Commission has declared that they are challenging the members of the Puerto Rico Association of Endodontists, Corporation or the PRAE (Commissions, 2006). This is because of alleged price-fixing collaborations that they would be charging on several insurance policies and dental services that they offer. They have collaborated and made agreements with 30 other competitors, wherein they fixed their prices at the expense of their consumers. Because of this, the FTC was forced to file a complaint against this company since it decreases the competition between these companies, thus higher costs will be imposed on the consumers. This is a clear violation of the Federal Trade Commission Act, Section number 5. In order for this matter to be resolved, The Puerto Rico Association of Endodontists, Corp. will have to refrain from involving in matters that promote anticompetitive conduct in the coming years. Through this, the Federal Trade Commission will be able to make sure that these dental services and other necessary health care issues will be given and addressed for the consumers at prices that they could afford. Keeping a competitive environment in the aspect of health care will open up better opportunities for the people, along with lower competitive prices. Letting healthcare be monopolized will lead to higher pricing and less maintenance, and would really be a burden to the people, the consumers. That’s why these health care providers and producers should not act as one; they should not collaborate with each other in their pricing, because it takes away the aspect of competitiveness between them. The complaints against Puerto Rico Association of Endodontists, Corporation shows that in the year 2003, the company has already began its bargaining with their competitors, thus resulting to the drastic increase in five dental plans already. Another increase occurred during 2004, wherein the prices also went up because of their bargaining. Because of these actions the ones who were jeopardized were the people; they were the ones who carried the burden of increased rates, since these health care issues is a necessity for everyone. The Federal Trade Commission analyzed that these drastic changes in prices have no whatsoever effect on the quality of services offered by the company, thus the additional prices were not really justifiable. It doesn’t lead to a better quality of health care, thus, it is only a waste in the part of the consumers. Given the situation, the Federal Trade Commission proposed a consent order which will be solve the problem at hand. This will hopefully relieve the impact of the alleged anticompetitive actions by the Puerto Rico Association of Endodontists, Corporation and further prevent it from happening again. It would then hinder the company to have any settlements or agreements with other endodontists and negotiate with any payor on the services that they offer, except properly arranged by the organization. Reference: Commissions, F. T. (2006). FTC Charges Puerto Rico Endodontists With Price Fixing.  Ã‚   Retrieved August 4, 2007   

Saturday, September 14, 2019

Qcf Support with Nutrition Essay

1.3Describe ways to resolve any difficulties or dilemmas about the choice of food and drink. * Giving them two or more choices and let them decide what they like, giving more details about the food will help them to choose. * Explain individuals about the importance of a healthy diet and encourage and support the m to choose healthy options and alternatives. * Explain individuals about the consequences of a poor diet choice. For example, obesity can lead to heart disease, varicose veins, diabetes and arthritis. High cholesterol and diets high in salt can lead to heart attacks and strokes. 1.4Describe how and when to seek additional guidance about and individual’s choice of food and drink. * When people reluctant, or refuse to eat certain types of food which have been noted in their support plan as a requirement for their condition. For example when an individual need to have a diabetic diet, a weight-reduction diet or gluten-free diet, if someone having swallowing difficulties , in such situations if someone is determined to ignore medical advice and to follow a different diet, this should be reported and discussed among the care team and the medical staff. * If the person have full mental capacity to understand the consequence and still ignore medical advice, it’s their choice and they have right to follow what they prefers * For children, people who are very confused and severely demented, they don’t have the full mental capacity to choose right diet for them and it should be discussed with care team and medical staff to decide what best for the individual’s best interest. 3.1Describe factors that help promote an individual’s dignity, comfort and enjoyment while eating and drinking. * It should be a safe, hygienic and pleasant place for people to eat food. Make sure the place is warm and have enough light, no noise distractions. * Let them decide where they like to sit when they having their meals. Some people like to site in the dining room with others, they will like the company and like to have a little chat each other while they eat. Some people like to have it in a privet place like their own room, for example if a person has difficulties which will require assistance they might not want others to see them while having meals. * Some people will need special aids to eating and drinking, for example, for example in the case of an individual with an arthritic condition provide cutlery with large handles which will help to hold them properly. * If a person needs feeding, make sure to give enough time for them to chew and swallow the food. * Presentation of the food will improve appetizing and more attractive and more likely to be eaten and enjoyed. 4.1Explain why it is important to be sure that an individual has chosen to finish eating and drinking before clearing away. Clearing away when a person has not finished their meal does not demonstrate respect and it reflects negatively on the overall service. Sometimes people will put their cutlery down and have a rest during a meal, and it may look like they have finished, but they may wish to continue eating after having a rest. 5.1Explain the importance of monitoring the food and drink an individual consumes and any difficulties they encounter. * It is important to pass on information and record if necessary about how much people are eating and drinking and any problem they might had while they were eating. * If a person is at risk of malnutrition, recording their dietary intake will show problems early on and action can be taken to prevent the situation getting worse. * Recording fluid intake and output can give a good indication about how well the heart and kidneys are working. * Recording difficulties of eating and drinking will help to identify chewing and swallowing difficulties and it will help to decide how to prepare food in a way that they can consume, for example choosing soft or pureed diet, cut vegetables and meat in to small, thickened fluids.

Friday, September 13, 2019

Human Resource Management (HRM) Essay Example | Topics and Well Written Essays - 500 words

Human Resource Management (HRM) - Essay Example The Human resource is a support activity that helps the prime activities in day-today performance. It recruits people for other departments and activities. Not only this, they also keep measuring the performance of each employee working in different department for different activities. It fits into the general function by providing skilled employees according to the demand, trained them and measures their performance with time. HR department update each department about the performance of their employee's. It actually supports other primary and support activities. Answer: the major function that the HR department should perform is to recruit the best employee's required for different job positions in the firm. Other than this they must keep the firm updated with the latest techniques that must be acquired to train, develop and measure the employee's performance. The prior activity, on which the HR must emphasis is the best recruitment techniques enabling to provide skilled employees, trained them with time and measures their performance. Their main activity of the HR is to maintain and manage the human capital of the firm. Answer: the formalizing the personnel directly affect the decentral

Thursday, September 12, 2019

Human Resources Functions Essay Example | Topics and Well Written Essays - 2000 words

Human Resources Functions - Essay Example To perform its add value function, the human resource planning should be fully integrated with an  overall organizational strategic plan, especially the firm's growth objectives. Outside influences f economic conditions, technology, the labor market, and so on should be given adequate consideration when developing the human resource plan. Changes in job design should be explicitly recognized in the plan. It should be kept flexible and adaptable so it can change as conditions change. Staffing is the process f hiring people to perform work for the organization. It comprises two major activities: recruitment and selection. Recruitment is the set f activities an organization uses to attract job candidates who have the abilities and attitudes needed to help the organization achieves its objectives. Selection is the process f choosing individuals who have the necessary qualifications to perform a particular job well. These two activities are key human resource activities in every organization. And these are continuous processes in organizational life. (Diallo 2003) Staffing is a mutual matching process: organizations seek individuals who will help them achieve goals such as profitability, growth, and in some cases survival; individuals seek organizational that will help them achieve goals such as fulfilling needs and obtaining rewards.   Staffing is a mutual matching process: organizations seek individuals who will help them achieve goals such as profitability, growth, and in some cases survival; individuals seek organizational that will help them achieve goals such as fulfilling needs and obtaining rewards. HR must achieve both types f fit in order to be maximally effective. A better job f recruiting and matching employees to jobs will mean lower employee turnover and greater employee satisfaction and organizational effectiveness. Moreover, HR should pay attention to align their recruitment and selection practices with their business strategy(s) and organizations must have the human capabilities that enable them to effectively implement their chosen strategy(s). Some organizations even consider their human resource talents as a source of competitive advantage and adapt business strategies to fit those organizational capabilities. With the anticipated shortage of new entrants to the labor force in the next decade, staffing will be a key issue for HR for some time to come. This is especially true during these hard financial times when the compensation and benefits you can provide to attract and retain staff are limited. HR professionals must work to develop training, leadership, diversity, and work/life programs to turn their organizations into places where employees want to stay. New studies and research back up what HR has been saying for years: The organizations that treat their employees well, give them opportunities, and are flexible are the ones that will keep their key talent.

Wednesday, September 11, 2019

Information System Essay Example | Topics and Well Written Essays - 1250 words

Information System - Essay Example and, (ii) information dissemination to patients about their treatment modules, scanning procedures, precautions, preventions, and costs of treatments. This essay discusses the usefulness of our hospital’s information system on our work as a nurse and on our clients, the patients. Over the last few decades the information technology has progressed by leaps and bounds. Along the technology has grown the number of IT solution providers, the large multinationals, medium and small, and those working in specialised niche areas. When selecting an IT product or application the big company is not necessarily the best. The wisdom instead lies in selecting a company which provide the best solution to a specific need, at a reasonable cost. The ‘best of breed’ approach is therefore a strategic approach to select the best product for each solution, from a variety of companies, instead of buying everything from one company. This approach invariably gives optimal solution in each area, richer functionality, and thus establishes business linkages with more companies. Our hospital therefore uses the ‘best of breed’ approach for development and functioning of its information system. The ‘best of breed’ approach is, however, beset with its own problems as compared to the approach of selecting integrated systems that provide multiple applications with a common database, integrated sharing, convenience, and consistent user interface. A comparison of the two approaches is worthwhile to find out the comparative value of the two approaches: (i) Cost: Specialized features of ‘Best of Breed’ applications provide competitive advantage which serve to cut costs and increase revenue. The systems’ advance features compensate for higher up-front and on-going costs as against the integrated systems which may have lower licensing costs, may not require costly interfaces, and overall may be less expensive. Shared data in integrated systems also reduces