Monday, September 30, 2019

Witness 1985 Short Story

Carter didn’t recognize the room he had just woke up in. Confused he sat up and looked around, his eyes only taking a moment to adjust to the dimly lit surroundings. The room was very plain and almost completely bare aside from a white desk he sat behind and single light bulb that hung low from the ceiling. Seeing a door out of his right eye he went to move for it, only then noticing the handcuffs restraining both hands to where he sat. â€Å"It must be cemented to the ground†, he thought, because no amount of wriggling on his behalf could move it even an inch. â€Å"Goddamit! Where the hell am I?† he shouted at the cement wall in front of him, scanning the room for anything that might give away his location. He didn’t appear to be hurt apart from a dull throbbing at the back of his head –the likely source of his unconsciousness – and a small cut on his lip that filled is mouth with the taste of salt and rust. His police badge was still clipped to his shirt and it too appeared undamaged. â€Å"Hey, somebody help me! Can anybody here me!† he yelled. â€Å"Keep it together, Carter, he thought. The last thing I need to do right now is panic. What had happened? His memories before had woken up here were nothing but a haze. Closing his eyes tightly, he tried to picture where he had been before he had woken up here. The memories started to trickle through the darkness of his mind, gradually forming shapes and images until it finally washed through him like a wave and he could remember. It had started with a phone call â€Å"Did you deliver the kid’s interview to Shaefer?† the John had asked from the telephone. It was the middle of the night and the call had been a rude awakening for Carter. The Amish boy had been the only witness to a police officer’s murder, but Carter didn’t know why the interview was so important. â€Å"Nah I didn’t get around to it,† said Carter sleepily, stifling back a yawn. â€Å"What’s goin’ on man? â€Å"I haven’t got time to explain,† came Book’s exasperated voice. â€Å"I want all the paperwork on the Lapp case to disappear. I need it done tonight, do you understand?† â€Å"Do you know what you’re telling me to do, John?† he asked, shocked and now very much awake. â€Å"Just do it, man,† retorted Book. â€Å"I’m gonna disappear for a couple of days†. â€Å"What’s going on, man?† asked Carter alarmed. â€Å"What is happening?† â€Å"I’ll call you when I can,† said Book. â€Å"And be careful. Schaefer’s in this too†. Book hung up leaving Carter utterly astounded. It was one thing for McFee, an esteemed narcotics detective, to be involved in this drug scheme as well as the murder of a fellow officer, but now their Chief of Police as well. What was he going to do? He went to the station that night to get the files. The file room was deserted but that didn’t stop him looking over his should every three seconds. The paper shredder was waiting in his study when he got home. To Carter it looked more like a dangerous weapon he was about to commit some awful crime with. â€Å"What the hell am I doing?† he said under his breath â€Å"This is against the law.† How much was he risking for Book and the Lapps? Going to prison, certainly, but perhaps something even worse? He couldn’t help but think what Schaefer and McFee would do if they found out. At that moment Carter looked down at his badge. Even upside-down he could read the brass coloured motto engraved into it. â€Å"Protect and serve,â€Å" he said firmly. After a brief pause Carter turned on the shredder. â€Å"You owe me one, man,† he muttered to himself as he pushed the files into the machine. The next few days at the station were spent with his head down. Luckily, without his Book around, Carter was busy with both of their cases, giving Schaefer only a couple of brief opportunities to interrogate him. Each time Carter had played dumb, Book had up and ran without telling him anything. Three nights after receiving the call from Book, Carter was called out for duty. The alley was dark and deserted as he walked along; littered with broken glass and old newspapers that fluttered in the cold evening breeze. Carter pulled his coat tighter around his body, but I could do nothing to keep him from shuddering. A drop of rain landed silently on his nose. He had live in Philly long enough to know a bout of thunder and lightning would soon follow, but he was too preoccupied with the storm raging in his own mind to take much notice. He had been called out to investigate one of the slum-like apartments that filled the alleyway: a possible homicide perp. An automated light switched on as he stopped outside the apartment, bathing him in its brilliance. It distracted him enough so that he did not notice the figure that step out from the shadows behind him, hearing only a whoosh of air as something heavy was brought down on his head. Clack! Clack! Clack! Carter’s eyes flew open as he heard the sound of approaching footsteps. The door opened, and in walked Schaefer followed closely by Mcfee. He expected them to be behind his kidnapping, though he thought they probably had some hired crony knock him out. Neither men were smiling and Carter could feel their eyes shooting bullets at him. Mcfee was holding something heavy in both hands, though looking into the shadows Carter could not make out what it was. Schaefer approach the desk and looked down on Carter with an exasperated expression. â€Å"You knew you couldn’t avoid me forever,† said Schaeffer, slowly circling Carter. â€Å"Why don’t you tell me where he is, Sergeant? â€Å"You know, don’t you?† Carter stared forward, hardly daring to breathe. â€Å"I just want to talk to him: make him see sense,† continued Schaeffer. â€Å"I know he’s with the Amish. God, I’d do anything to see him now. Can you imagine John at a prayer meeting?† he said, chuckling. â€Å"Go to hell,† spat Carter. â€Å"I was afraid you might say that,† replied Schaefer. â€Å"Mcfee, bring it over hear†. Mcfee did has he was told and brought the object over to the table, setting it down with a dull thud. Carter’s stomach fell when he saw what it was. It was a car battery. He was full of terror once more at the sheer thought of being tortured. He had to do something, anything, to escape this fate. He did his best to keep his composure. â€Å"It’s called a â€Å"picana† and it can deliver twelve thousand volts of electricity†, explained Schaefer. â€Å"It is very painful, you can trust me on that, so just tell me where he is so we don’t have be unpleasant.† Carter said nothing, instead looked him straight in the eyes, noticing that Schaefer failed to meet his gaze. â€Å"Lost the meaning, did you, Paul?† said Carter. â€Å"What,† responded Schaefer. â€Å"Isn't that what you used to say about dirty cops?† explained Carter. Somewhere along the way they lost the meaning? John told me about it. He also told me that you taught him everything about being a cop. I guess you can’t teach someone how to be a scumbag.† In that instant, Schaefer could see Book sitting in front of him and he was brought back ten years when John had been fresh out of the academy and where he still lived for the law. But those days were over. Schaefer leaned over the desk towards Carter until his face was only a foot away, blocking out the light, so that Carter could see every wrinkle on his aging face. â€Å"You can, believe what you like about your precious hero, John Book, but he’s no better than the rest of us.† This could be my chance thought Carter. He looked at Schaefer for a moment and then spat a round ball of saliva into his eye. â€Å"You’re not a man,† said Carter. You’re nothing but a worthless piece of garbage. Carter could see that his comment had hit home. A look of pure loathing entered Schaefer’s face and, like lightning, he pulled out his gun and pull the trigger. In the split second it took for the bullet to hit him, a million thoughts rushed through Carter’s head, but is felt the hot fire in his chest and the darkness closing in, one overrode them all. He had done his duty. He looked up at Schaefer and saw the regret in his face at what he had just done. â€Å"Protect and serve,† he whispered finally, and closed his eyes. Composition Questions 1. Which task option did you choose? I chose the insertion of incident / episode; 1. (i) Describe the setting(s) (ii) How is the setting made significant? The story is set, for the most part, in the room of an old warehouse. The setting is significant because it is very separate from the rest of the world, just like to Amish and the corrupt police force. 1. Describe the character(s) – no more than three main characters (advise one or two characters) by: 1. Sergeant Carter 1. Authorial description: a honourable cop who is looking to protect and serve the innocent and defend anyone against the corruption of the police 2. Dialogue: Carter’s dialogue will reveal that he is a self-assured, confident policeman who will stick up for what he believes in 3. Action and interaction: the way Carter acts when he is captured will show that his is courageous is the face a danger and will do anything to fulfil his duty. 4. Other characters opinions of the person: The conversation between Book and Carter shows that Book trusts his partner whole-heartedly even with the whereabouts of his hiding place. Paul Schaefer on the other hand respects Carter’s integrity but at the same time loathes him for the fact that he has not become corrupted. 1. Narrative elements: 1. Establishment: The establishment takes place after Carter wakes up in the warehouse. It shows the call from Book 2. Complication: Carter finds out that Scahefer was involved with Zenovich’s murder and must destroy the Lapp families file so they can not find them or Book 3. Conflict: After avoiding Schaefer at the station he is called out at night to a fake perpetrator and is then knocked unconscious 4. Climax: McFee and Schaefer come to the warehouse to question and torture Carter in order to find the whereabouts of Book. 5. Resolution: Carter realises he will betray Book and the Lapps if he is tortured so he find a way to anger Schaefer enough so that he will kill him first. He manages to do this a dies at peace knowing he has done the right thing 5. How did you use description in the story to create a dominant impression? Giving a description of the room in which Carter had been imprisoned as well as the dark alley in which he was assaulted help create a dominant impression. 6. How did you use foreshadowing by: reactions, sentence and phrase length, motifs, images or symbols? I primarily used the motif and symbol of the police badge and police motto to create foreshadowing. Carter didn’t know if he do what he required to be law, or what he was required to do as a police officer. Then he looked at his badge and saw that he needed to protect and serve. He could have chosen to save his own life by turning book in, but the audience knew this would happen after he looked at the badge. There was also some dialogue use in which he ask rhetorically what Schaefer ad Mcfee would do to him if they found out. When he is walking down the alley, it is cold and about to storm which is a foreshadowing that he is about to be captured but also shows the helplessness of his situation. 7. What is the invited reading of your story? How do you use story elements (incident, statements, actions, reactions, motifs) to make the reader interpret an idea, a person or an event favourably, or less favourably? I invited the reader to look less favourably upon the theme of police corruption by using the phone call event between John and Carter as well as implying that Schaefer has tortured people before. 1. Which point of view narration did you develop (first person central; first person limited; third person limited; third person omniscient)? Which difficulties did you encounter in trying to produce this point of view? For almost the entirety of the story I used a third person limited narration, or at least it seemed I did; however at the end I give a brief perspective of Schaefer that make to story third person omniscient. It was difficult to change the perspective from one person to the other, as it seemed to give too much information to the audience. 1. Which purpose did direct speech serve in the story’s effect? Some of the dialogue was very strong and it was used to highlight the drama of certain scenes as well as the over all story. 1. Where have you used crosscutting and/ or flashback? The story starts off when Carter wakes up and realizes he has been captured. He then tries to remember what has happened the last few days and it flashes back to a phone call he had with Book. It then describes the events that lead up to him being captured and the cuts back into the scene in which he is captured. Schaefer has a brief cross-cut when he remember Book when he started on the force 1. Give examples of your use of pathetic fallacy. The room in which Carter is bare and dark, which shows the mood of that he is in at this point. When he is walking down the alley, it is cold and about to storm which is a foreshadowing that he is about to be captured but also shows the helplessness of his situation. 1. Have you settled on one incident or episode (see task options) in which flashbacks are used, including one or more voices conveyed by reported thinking or by direct quotation? Yes I decided to insert a episode in which the murder of Carter takes place. I use the reported thought of Carter and Schaefer as well as the dialogue of Carter, Book and Schaefer. 1. Did you unify the parts of the story by motif, symbol, event or juxtaposition? The symbol of the police badge and the motif of the police motto, â€Å"protect and serve†, run through the story. There is also a constant juxtaposition of light and darkness in respect to the good and bad cops.

Sunday, September 29, 2019

Impact of Job satisfaction on employees Essay

The purpose of this study was to investigate the impact of motivation on job satisfaction (dissatisfaction) of journalistic employees employed by the national public broadcaster. The idea was to profile factors causing high motivation and job satisfaction and also to profile those factors that contribute low motivation and dissatisfaction at work. The rationale for the study was simply an observation that some employees seem better adjusted and happy at work and are able to cope well with the demands of the working environment while others are not. Another observation is that management seem not to be aware of what motivates their subordinates and to strategically utilize those motivational tools to maintain high levels of job satisfaction (or at least low levels of job dissatisfaction), high productivity and morale. The target sample was all journalistic staff working in the television and radio news rooms of the national public broadcaster in South Africa. The profile of the respondents included a variety of ages, gender, races, educational backgrounds, different work locations, different marital statuses and managers and non-managers. Data was collected using a questionnaire that was randomly distributed at Head Office in Auckland Park and to all the nine regional offices of the SABC. The major findings of this investigation was that three motivational factors, namely achievement, recognition and work itself cause 88% job satisfaction; while hygiene factors cause 12% job satisfaction. At the same time the research also found that three hygiene factors, namely supervision,  company policy and administration and  interpersonal relations with supervisors cause 60% job dissatisfaction; while motivational factors, namely achievement and recognition cause 40% job dissatisfaction. These results reflect the work attitudes of employees at the time of this research. The study illustrates that when employees are happy and satisfied in their  jobs, their level of motivation is high and they perform at peak all the time. On the other hand, when employees are unhappy and dissatisfied at work, their level of motivation is low and they don’t perform at peak level. The study recommends strategies of how management can utilize achievement, recognition and work itself as a tool to keep employees motivated and satisfied in their jobs. It also recommends ways by which management can eliminate low motivation and job dissatisfaction amongst employees by improving management skills, knowledge and competencies of managers, building relations between managers and subordinates and also improving the quality of internal communication with employees especially on policy and administrative matters. Lawler (1973) in Dipboye, Smith and Howell (2000) incorporated the concepts of attained versus desired needs in his model of facet satisfaction. This model is an extension of the Porter-Lawler (1968) of motivation explained above. It is a facet satisfaction model because satisfaction with various components or facets of a job, such as supervision, pay, or the work itself, is considered. Lawler’s model specifies that workers compare what their jobs should provide in terms of job facets, such as promotions and pay, to what they currently receive from their jobs. However, simple need comparison theory is extended by also weighing the influence of certain worker characteristics (such as skills, training, and age) and job characteristics (such as degree of responsibility and difficulty). In addition, the model draws concepts from the equity theory of motivation by assuming that workers ultimately determine their job satisfaction by comparing their relevant job inputs and outputs to referent (comparison) others (Dipboye, Smith and Howell, 2000:149-150). Adapted: Figure 2.2

Saturday, September 28, 2019

Legal Issue Essay Example | Topics and Well Written Essays - 750 words

Legal Issue - Essay Example In turn, a disability is (A) a physical or mental impairment that substantially limits one or more of the major life activities of such individual; or (B) a record of such impairment; or (C) being regarded as having such an impairment.[5] The EEOC defines "a mental impairment" as "any mental or psychological disorder, such as mental retardation, organic brain syndrome, Bi-Polar Disorder II, emotional or mental illness, and specific learning disabilities,"[6] for purposes of the ADA.[7] Thus, the question becomes whether this impairment substantially limits a major life activity.[8] Interacting with others is a major life activity under the ADA Interacting with others is indisputably an activity of central importance to daily life, and the EEOC has recognized it as a major life activity in its compliance manual.[9] Additionally, interacting with others is considered a major life activity under the Rehabilitation Act, and such recognition under the ADA would serve the legislative purpose of rectifying stereotypes about the mentally disabled.[10] Neither the Supreme Court nor the Second Circuit have addressed the issue of whether interacting with others is a major life activity.[11] The only circuit to have squarely addressed the issue has adopted it as a major life activity,[12] and no circuit has held that interacting with others is not a major life activity.[13] An Appellate Court has de novo review of a lower court's conclusion that the ability to interact with o thers is a major life activity.[14] In Toyota, the Supreme Court explained that "the term major life activity as used in the ADA, refers to those activities that are of central importance to daily life."[15] Because major life activity is not defined in the ADA, it should be construed according to its ordinary and natural meaning.[16] The plain meaning of the word "major" denotes an activity that is important and significant,[17] as well as basic. It is an "activity that the average person in the general population can perform with little or no difficulty."[18] Interact is defined by the dictionary to mean to "act upon one another."[19] Interacting with others is an important and significant function and "easily falls within the definition of 'major life activity.'"[20] - quoted properly referenced It is necessary for

Friday, September 27, 2019

Managing Change Research Proposal Example | Topics and Well Written Essays - 1000 words - 1

Managing Change - Research Proposal Example n being that, with change a company gains new perspectives on its operations, develops new ways of managing itself which are intended to make a positive impact. Several organizations go through various types of changes, either as dictated by their markets or their own growth definitions. Examples of common changes are such as: Changes in a company’s corporate strategies, privatization of a company, merging or internalization and such. In these changes, a company will tend to focus on how it will grow and be able to get high returns in revenue. Other than revenue, focus may be on employee relations, management structuring, and market target and competitively in market space. Fitting into these changes will often be dependent on the reason for making the changes. In situations where companies are forced to make changes, there is usually difficulty in adjusting to their new environment. Difficulties in adjusting may hinder company growth and performance in achieving the goals set. However, a company’s management may actively be involved in the process, making every employee fit in to the changes occurring. The following proposal will cover a case on The Gulf Cooperation Council (GCC). The GCC covered banks in six countries – Qatar, Saudi Arabia, Oman, Kuwait, United Arab Emirates and Bahrain. The reason for choosing the GCC as the case for this assignment is from the recent trends in the organization. In the recent years, banks in in the above named countries have started to change their mode of operation. The change has greatly been influenced by economic forces surrounding this countries. That is, taking an example of a bank in the GCC, the traditional way of operation focused on oil-driven markets and governmental organizations. Telecommunications, tourism and other government based organizations had taken over the markets in the countries mentioned above. Banks would focus on these areas, ignoring other emerging and potential economic areas. In the recent

Thursday, September 26, 2019

Key Features of E-Business Environment Term Paper

Key Features of E-Business Environment - Term Paper Example This essay stresses that business-to-business is a kind of dealing in which the dealing of services or goods is carried out among companies. In case of our online DVD Shop business, we will use B2B that will describe e-communication between enterprise and business to detach it from business-to-commerce type dealings, however at present it is as well employed for marketing reasons. In this scenario, the online business deals with business model that we are going to implement are online selling in which a customer pays for its desired products. This paper makes a conclusion that after designing and developing the web site, it should be accessible to the people. A web hosting service provider provides hosting services by means of WWW. Additionally, there are different packages depending upon the requirements of the site owner. The companies that offer such hosting services are acknowledged as web hosts who, basically, rent out their domain at some specific charges. However, charges can be paid monthly or annually, depending on the customer’s requirements. Web hosts can also provide data center space and connectivity to the internet for servers. There are many free and paid web hosting providers offering these services. For our Online DVD Shop business we will evaluate the requirements to choose what kind of hosting should we use? The web design of our online DVD shop will completely follow the basic rules of HCI (human computer interaction) and usability.

Wednesday, September 25, 2019

What are the main features of Charismatic Leadership Essay

What are the main features of Charismatic Leadership - Essay Example They manifest such powers that are thought to rise above the rational and normal. They are believed to have magical or oracular qualities that are based on ability to foresee events. They emerge from ordinary population, announce themselves as saviour and people consider them valid. Leader may prove his legitimacy by demonstrating his extraordinary experience, predicting future or by putting forward his unique vision, prophecy or inspiration. Such proves makes his charisma unquestionable and win devoted believers for him (Morrison 2006, p.365).Max Weber defined charismatic leadership as: â€Å"Rests on devotion to the exceptional sanctity, heroism or exemplary character of an individual person, and of the normative pattern or order revealed or ordained by him† (cited in Kronman 1983, p.47). ‘There is authority of the extraordinary and personal gift of grace (charisma), the absolutely personal devotion and personal confidence in revelation, heroism, or other qualities of individual leadership. This is ‘charismatic’ domination, as exercised by the prophet or-in the field of politics-by the elected war lord, the plebiscitarian ruler, the great demagogue, or the political party leader’(cited in Gerth, Mills & Turner 1991, p.79). ‘There are, however, some characteristics that make an NRM more visible and, thereby, significant as an NRM. One may find, for example, the first generation enthusiasms, the unambiguous clarity and certainty in the belief system, the urgency of the message, the commitment of life-style, perhaps a charismatic leadership, and, possibly strong Them/Us and/or Before/After distinctions-all of which are, of course, liable to undergo significant change within a single generation’. Charismatic leaders have the capability to create social revolutions. They become change agents as they confront and transform traditionally accepted ideas and beliefs, they

Tuesday, September 24, 2019

Someone I Admire Essay Example | Topics and Well Written Essays - 1250 words

Someone I Admire - Essay Example Guglielmo was involved in a scandal called the Italian Navy Coherer Scandal; it is believed that he stole the work of Jagadish Chandra Bose, an Indian who is very renowned for his contribution in the field of Science. This happened because Jagadish Chandra Bose’s work could not be accepted because of the British rule, the British Administration made sure that his work never got published and it is very strongly believed that Guglielmo stole the work of Jagdish and came to the limelight. Guglielmo had a keen interest in Science and especially in Electricity right from the early years. During the time of Guglielmo the invention of the electromagnetic waves took place and this was invented by Heinrich Hertz. The death of Hertz threw more light upon his discoveries, and this further intrigued Guglielmo, who got very motivated and decided to invent something unseen by the world. He conducted experiments by setting up his own devices and material required to carry out the experiment . His main goal was to use radio waves to create wireless telegraphy. This meant that the transmission of the wireless messages got across without using any wires. The Development of the Invention  This was not a new subject that Guglielmo was working on, research had been already done on this subject, and he just utilized whatever had been researched about the subject. Guglielmo used many important parts in this experiment. Parts like oscillator, spark producing radio transmitters, a telegraph key were used in his experiments. Other researchers also used the spark-gap transmitters, but they could not get the transmission to cover a long range, the transmission usually covered a few hundred meters. The case was no different for Guglielmo; he also got limited transmission when he first attempted the experiment. But at a later stage he experimented outdoors, he increased the length of the transmitter and the radio antenna, which resulted in a very big success. The transmission impro ved drastically and he was able to transmit signals with a range of roughly about 1.5 kilometers. He concluded that he required funding to invent a device which could take this forward. He believed that this experiment would be very useful if it becomes an invention to the military personnel as they would be able to transmit signals easily. When he was close to inventing what he had dreamt of all his life, he realized that Italy was not the right place to be in. He moved to London along with his Mother at the age of 21 to pursue the invention. 1897 was the year when Guglielmo sent the first ever wireless communication and this was done over Sea. The approximate distance covered by the signal was about 6 kilometers; the message which he sent read â€Å"Are you ready†. This was a good enough invention to receive international attention; this work quickly caught the eye of the international people associated with the same field. â€Å"Marconi sailed to the United States at the invitation of the New York Herald

Monday, September 23, 2019

Liberty and Government Term Paper Example | Topics and Well Written Essays - 1250 words

Liberty and Government - Term Paper Example But when it comes to good government, another fact about British government is that it is among the group of highest performing countries in the world. In order to analyze Britain with reverence to good government let us first point out the basic requirements that a government need to become a good government and that are: People who are elected or appointed should know their roles and job in order to maintain good accountability. Whereas, good people here mean to empower the front line who can administer well in political context and good process is better policy and law making. Trust between those who are governed and those who govern will maintain the good standards. Moreover outcome of the actions will prove that government was performing well. People being the majority have the right to opt, modify or eradicate their government which actually is the soul of democracy. It is though difficult for a government to take care of freedom of every individual as it some how can affect others emotions and one of the most sensitive matters is to make a policy to provide religious freedom to every individual especially in a religion that seize abundant sects like Christianity. After the revolution American puritans strove hard to create a pure church and a thoroughly Christian society. Puritanism is the most criticized religion in American history and their self righteous attitude was a cause of English civil war and American Revolution. Puritan basically was a name given to people who criticized or wished to purify the Church of England by Anglicans. Puritans were divided into two groups: Separating puritans Non separating puritans The basic difference between both groups is that one believe that Christians church of England is corrupt and puritan should separate themselves from it where as the other believe that they should not separate themselves but should reform the church respectively. John Winthrop was the member of puritan faction with in the established church of England and had given the suggestions to make colonies. He wanted to transform the world by making an ideal colony. As Winthrop believes that love is the most important element that binds the whole body together so he wanted to make a system where every body should respect and care for each other. Moreover Puritans no doubt have developed the improved education system of England. Apart from Winthrop there were some other important entities who believed that Puritanism should be practiced as a religion and those who did so are supporting devil. John Cotton was among such people. He was puritan minister and was of the same view that Winthrop was that is to become a "city upon the hill" Thomas Jefferson has criticized such thinking of Puritans and believes that no one can force any one to follow a particular

Sunday, September 22, 2019

William Carlos Williams Essay Example for Free

William Carlos Williams Essay The poem that I like the best was â€Å"Catch† by Robert Francis. I thought this poem was the me of my childhood and it represents what poetry should be. The imagery in this poem was great; it took me back to when I was a youngster when I and my brother would play catch for hours. We would throw the ball every way possible to make it more challenging and fun to play just like the poem described. The third line in the poem says â€Å"Teasing with attitudes, latitudes, interludes, altitudes† really grabbed me with the use of assonance’s and the hard T and L sounds gave the poem intensity. I also like how the poem represents how poetry should be. For example, line 10 says â€Å"Over his head, make him scramble to pick up the meaning.† Poetry is supposed to be challenging, surprise the reader and makes them think what the deeper meaning is; which creates interest. If poetry was simple and easy to read it would be a short narrative story and be engaging or satisfying. The poem was a great representation of what poetry should be and brought me back to my childhood which is why I chose it to be the best. The poem I liked the least was â€Å"The Red Wheelbarrow† by William Carlos Williams. I liked it the least because I couldn’t find a deeper meaning of the poem. All I got from it was an image of a red wheelbarrow with rain water glistening on it sitting beside white chickens. I’m sure Williams wanted the reader to get deeper meaning out of the poem than just an image. I went through the five questions and tried to decipher the meaning of the poem and still came up with nothing. Why does so much depend on a red wheelbarrow? Does he have a bad back and depends on the wheelbarrow to haul stuff around to make a chicken coop for the chickens to survive? I have no idea. The poem has interesting diction but I thought it was vague which is why it is was my least favorite poem.

Saturday, September 21, 2019

Literature review compilations Essay Example for Free

Literature review compilations Essay 1. Rao, V. (1993). The rising price of husbands: A hedonic analysis of dowry increases in rural India. Journal of Political Economy, 666-677. Motivation and objective : Attempts to investigate the reasons behind the increase in dowry . Methods : It adapts Rosens implicit market model to the Indian marriage market and tests predictions from the model with data from six villages in South Central India and from the Indian census Theories : Using utility function, U is assumed to be maximized, given that U is the utility function which represent the household preferences. The function will be U = U(X,W,H). Where X refers to consumption of goods, W refers to the desirable traits of the bride and her family and H is traits of the groom. Main Findings : It is found that a marriage squeeze caused by population growth, resulting in larger younger cohorts and hence a surplus of women in the marriage market, has played a significant role in the rise in dowries. ( Surplus of women over man at marriageable ages) 2. Skogrand, L. M., Schramm, D. G., Marshall, J. P., Lee, T. R. (2005). The effects of debt on newlyweds and implications for education. Journal of extension, 43(3), 1. Motivation and objective : Examines the relationship between newlywed debt, selected demographic variables, and newlywed levels of marital satisfaction and adjustment.. Methods: A 38-item survey was mailed to a random sample of 2,823 newlywed couples in a western state. The couples names were randomly chosen from the marriage licenses that were filed within the state during a six-month period. Husbands and wives were asked to complete their surveys separately.The response rate was 40%, with 1,010 couples responding. Theories and tools : Marital satisfaction was measured using the Kansas Marital Satisfaction Scale (KMSS) (Schumm et al., 1986), and marital adjustment was measured using the Revised Dyadic Adjustment Scale (RDAS) (Busby, Crane, Christensen, Larson, 1995). The KMSS and RDAS are established measures for assessing marital satisfaction and adjustment, both having correlation coefficients above .78. Main Findings: The findings from this study indicate that entering marriage with consumer debt has a negative impact on newlywed levels of marital quality. The large majority (70%) of newlyweds in this study brought debt into their marriage relationship. This amount of debt, along with other expenses associated with couples beginning their lives together, are likely to  distract couples from the developmental task of building a strong marriage relationship during the first few months and years of marriage Policy recommendation: .- Because many individuals marry with no more than a high sch ool education, educating individuals about debt and its potentially negative impact on marriage relationships should begin in high school. This may be one way to help couples achieve healthier marriages 3. S. Dalmia (2004). A hedonic analysis of marriage transactions in India: estimating determinants of dowries and demandfor groom characteristics in marriage. Research in Economics 58 (2004) 235–255. Motivation and objective : This paper uses data from a retrospective sample survey to develop and test a framework capable of explaining dowry exchange and groom selection in India. Methods: Using a sample of 1037 households between 1956 and 1994, this paper develops and tests a framework capable of explaining marriage transactions and groom selection in India. Theories and tools : It adapts Rosen’s (1974) implicit market model and takes the view that dowry is a simple economic transaction that functions to ‘equalize’ the value of marriage services exchanged by the households of the bride and groom. Main Findings: Consistent with ethnographic evidence, results indicate that dowries are higher in regions more to the north. Most importantly, contrary to popular belief, it is found that holding groom characteristics constant, real dowries have decreased over time. Finally, in estimating the parameters of the demand functions for a set of groom attributes, results show that the most important determinants of demand for various groom attributes are price of the attribute, bride’s traits, and the socio-economic status of the bride’s h ousehold 4. Siwan Anderson (2007). The Economics of Dowry and Brideprice. Journal of Economic Perspectives—Volume 21, Number 4—Fall 2007—Pages 151–174 Motivation and objective: This paper first establishes some basic facts about the prevalence and magnitude of marriage payments. It then discusses how such patterns vary across countries depending upon economic conditions, societal structures, institutions, and family characteristics. Theories and tools: The descriptions of marriage payments in this paper are synthesizedfrom a patchwork of studies across periods, places, and even epochs, and there are doubtless numerous cases which remain undocumented.  Discussion: Economists’ interest in marriage payments partly stems from their potential to affect the wealth distribution across generations and families. However, economic analysis has not directly investigated these welfare impacts of marriage payments. In this respect, marriage transfers which are destined for the couple, either in the form of dowry or dower, may function differently from those which are paid directly from one set of parents to the other, like bride price or groom price. The former payment is an intergenerational transfer. The latter forms a circulating fund, with receipt for marriages of one gender being used to pay for marriages of children of the other. 5. Sarwat Afzal Imtiaz Subhani (2009). To Estimate An Equation Explaining The Determinants Of Dowry. Iqra University Motivation and objective : The focus of this study is to estimate an equation explaining the determinants of dowry. Methods: The data of 140 respondents is used to examine the variables to determine the dowry size, data set on bride-groom characteristics and dowry. The study has been focused on analysis that dowry paid is dependent on which variables Subject in the rural subcontinent. Since the objective of study is to estimate the equation explaining the determinant of dowry so all the variables given in the data are takes as independent and the dowry paid is taken as dependent variable. Theories and tools: This paper determine the determinants of dowry, using multiple regression analysis, the author used the ANOVA table, R2 value to tabulate the determinants of dowry price. Main Findings: This research suggested that dowry paid is based on the status and the affluence of husband’s family as well as the education of the husband’s father that are the important determina nts of the incidence of dowries. The influence of husband’s father education is accounted as a predictor for the system of dowry paid 6. Edlund, L. (2006). The price of marriage: Net vs. gross flows and the South Asian dowry debate. Journal of the European Economic Association, 4(2†3), 542-551. Motivation and objective : The rise in dowry payments in India has been taken as evidence that women increasingly are at a disadvantage on the marriage  market and must pay for marriage. Moreover, high dowries, it is argued, add to the plight of parents of daughters and have thus contributed to the scarcity of women (brides). However, the logic is curious, and, this paper argues, flawed. The term dowry can mean different things, and it may be useful to distinguish between the assets the bride brings at the time of marriage (gross dowry) and those netted against the groom payments (net dowry). The former is what is generally meant by dowry, while the latter is a concept used mainly by economists Methods: Data are from a retrospective survey of marriages conducted in 1983 by the International Crops Research Institute for the Semi- Arid Tropics (ICRISAT). These data have been used in a number of studies of South Asian dowry inflation. ICRISAT conducted a stratified random sample of 40 households each from six villages in South-central India. The first household married in 1923 and the last in 1978. Main Findings: Empirically, the paper has shown that in a much-used data set on dowry inflation, net dowries did not increase in the period after 1950, belying claims of recent increases. Moreover, variables designed to capture marriage-squeeze or male relative to female heterogeneity failed to move dowries in the expected direction. 7. Balwick, J. (1975). The function of the dowry system in a rapidly modernizing society: The case of Cyprus. International Journal of Sociology of the Family, 158-167. Motivation and objective : The purpose of this paper is to examine the functional relationship between the dowry system and modernization for the country of Cyprus. Two inferences tried to be drawn in this paper are attempt to develop is two 1) the dowry system has served a latent function in encouraging a rapid rate of urban, Industrial, and technological development in Cyprus; and (2) that the rapid rate of technological development in Cyprus, along with new concepts of marital arrangement, are weakening the importance of the dowry system Methods: The analysis of this papers topic will begin by considering the function of the dowry system in Traditional Greek Cypriot society, move to a consideration of the function of the dowry system during rapid modernization, turn to a consideration of the effect of modernization upon the dowry system, and conclude by  speculating as to the possible effect which a decline in the dowry system will have upon marriage. Main Findings: modernization is a threat to the continued existence of the dowry system. The argument was made that, besides the major aspects of modernization themselves, the concept of romantic love, as a byproduct of a largely western stimulated modernization process, has been damaging to the dowry system. However, to so speculate about the future effects of modernization in Cyprus only points to the necessity for social scientists to utilize the situations created in developing countries to further examine the relationships between modernization and social structures. 8. Gaulin, S. J., Boster, J. S. (1990). Dowry as female competition. American Anthropologist, 92(4), 994-1005. Motivation and objective : The purpose of this paper is to prove that dowry as a reproductive tactic used by prospective brides and their kin to attract the wealthiest bridegroom. The authors attempt to explain not only the rarity of dowry, but also why it occurs in the societies it does. Methods and theories: The analysis of this papers topic will begin by considering the female-competition model. The female-competition model assumes that, in Homo sapiens as in other animals, the behaviors associated with pair formation can be interpreted as (possibly unconscious) reproductive tactics. The authors interpret the bias in marriage transactions as reflecting a bias in competition for marriage partners. Dowry is their dependent variable; the independent variables in the female-competition model are social stratification and marital form. They grouped the existing categories to create dichotomous variable. Main Findings: The female-competition model is correct; the authors would expect th e largest dowry payments to flow from the middle class to the elite, as women in the middle tier compete for husbands in the highest 9. Rao, V. (1993). Dowry ‘inflation’ in rural India: A statistical investigation. Population Studies, 47(2), 283-293. Motivation and objective : The author of this paper look more directly at the causes of the increase of dowry (investigate the reasons behind the rise in the real value of dowries in rural India)and use unique data collected from a small sample of households by the International Crops Research Institute for the Semi-Arid Tropics (ICRISAT). Methods and theories: The data used in this paper are from a random sample of 40 households, 30 cultivating and 10 laboring, per village, from six villages in three districts of rural South-Central India. The surveys were conducted by ICRISAT, the International Crops Research Institute for the Semi-Arid Tropics.15 The districts are Akola and Sholapur in Maharashtra state, and Mahbubnagar in Andhra Prades. A quadratic specification of dowry determinants is estimated. Correlations values between variables, OLS , and other statistical tools are being used. Main Findings: The empirical results support the hypothesis that the marriage squeeze has played a significant part in causing dowry inflation. The size of the dowry transfer also seems to be affected by hyper gamy, indicated by the difference in the amount of land owned by the parents of the respective spouses before the marriage. Due to the small size of the sample and the respondents lack of accuracy in reporting their ages at marriage, not much can be said about the impact of age or other potential determinants on the transfer. At the district level, however, the marriage squeeze does seem to matter in reducing differences in the ages at marriage of men and woman. 10. Teays, W. (1991). The burning bride: The dowry problem in India. Journal of Feminist Studies in Religion, 29-52. Motivation and objective : The author consider the issue of dowry, its roots in custom and religious tradition, as well the ways in which the dowry system has become a dowry problem with daily dowry deaths, usually of young and often pregnant women. Main Findings: Females being devalued in the Hindu world. The internalization of that devaluation is evidenced by the numbers of mothers-in-law and sisters-in-law who actively participate in dowry murder. Marriage has become a commercial transaction complete with bargaining. Traditionally dowries were limited by convention and caste-social realities, but now the demands are out of control. The growing trend of dowry murders only reflects the socio-economic crisis in India. 11. Zhang, J., Chan, W. (1999). Dowry and Wifes Welfare: A Theotrical and Empirical Analysis. Journal of Political Economy, 107(4), 786-808. Motivation and objective : This paper offers an alternative analysis. Where dowry are claimed to be not only increases the wealth of the new conjugal household but also enhances the bargaining power of the bride in the allocation of output within that household, thereby safeguarding her welfare. 2 hypotheses: Dowry increases the resources available to the bride’s new family; Dowry increases the bride bargaining position in the family, as well as her welfare. Methods and theories: This study uses data from the 1989 Taiwan Women and Family Survey,an island wide probability survey of women aged 25–60 years of all marital statuses and from different geographical locations. The female respondents provide socioeconomic information on their parents, their husbands, and themselves. An important feature of the data is that these women report transfers on dowries and bride prices related to their marriages. All these variables are then measured using statistical tools. Main Findings: The result supported the theoretical prediction that a dowry improves the wife’s welfare through both income and bargaining effects. The result also shows that a dowry is indeed a property under the wife’s control. Bride-price reduces the transaction cost involved in recovering the appropriate shares of marital output by each party, a dowry enhances the bride’s position in the household and safeguards her welfare. 12. Bishai, D., Falb, K. L., Pariyo, G., Hindin, M. J. (2009). Bride price and sexual risk taking in Uganda. African journal of reproductive health, 13(1). Motivation and objective : This study assessed the relationship of bride price to sexual risk taking based on a large, population based survey. Methods and theories: Data were collected on bride prices for 592 married women in 12 districts in Uganda in 2001. Controlling for covariates, we found that having had a bride price significantly lowered the wifes odds of sexual intercourse with a partner other than the spouse (OR= 0.222; 95% CI= 0.067, 0.737). Controlling for covariates, bride price increased the husbands odds of non-spousal sexual intercourse (OR=1.489; 95% CI= 0.746, 2.972). Main Findings: Bride price payment is statistically significantly associated with lower rates of non-spousal sexual contact in women, but is  not, statistically significantly associated with higher rates in men 13. Dalmia, S., Lawrence, P. G. (2005). The institution of dowry in India: Why it continues to prevail. The Journal of Developing Areas, 38(2), 71-93. Motivation and objective : This article empirically examines dowries in India and provides an institutional and economic rationale for the existence and continued prevalence of the system. Main Findings: Using data on marriage transactions and on the personal and family traits of marital partners the article demonstrates that payments of dowry serve to equalize the measurable differences in individual characteristics of the brides and grooms and their respective households. Thus, dowry qualifies as the price paid for a good match in the marriage market. Results also reveal that the form of inheritance system, the residence of the bride after marriage, and the gender ratio of marriageable women to men have no effect on the incidence and size of dowry 14. Diamond†Smith, N., Luke, N., McGarvey, S. (2008). ‘Too many girls, too much dowry’: son preference and daughter aversion in rural Tamil Nadu, India. Culture, health sexuality, 10(7), 697-708. Motivation and objective : The southern Indian state of Tamil Nadu has experienced a dramatic decline in fertility, accompanied by a trend of increased son preference. This paper reports on findings from qualitative interviews with women in rural villages about their fertility decision-making which is due to the dowry rate. Main Findings: Findings suggest that daughter aversion, fuelled primarily by the perceived economic burden of daughters due to the proliferation of dowry, is playing a larger role in fertility decision-making than son preference. 15. Rozario, S. (2002). Grameen Bank-style microcredit: Impact on dowry and womens solidarity. Development Bulletin, 57, 67-70. Motivation and objective : This article focuses on two specific problems connected with Grameen Bank-style microcredit in Bangladesh: its negative impact on women’s solidarity, and its consequences for the practice of dowry payments. Main Findings: Findings suggest that Unmarried women are not  accepted in the microcredit samities and so cannot receive loans. The argument is that they will get married and go away to their husbands’ village, then who will repay their loan? This denies any opportunity to marginal groups, like unmarried women and, of course, widows and abandoned women. Such policies also mean that unmarried women are made completely dependent financially on the mercy of their families. 16. Kazi Abdur Rouf, (2012) A feminist interpretation of Grameen Bank Sixteen Decisions campaign, Humanomics, Vol. 28 Iss: 4, pp.285 – 296. Motivation and objective : The purpose of this paper is to look at Grameen Bank (GB) Sixteen Decisions campaigns and its implications to feminism; and to examine the degree to which women borrowers of the Grameen Bank are empowered to participate in familial decision-making around dowry and teenage marriage and to develop their public spaces in the community. Moreover, the paper critically looks at the GB women borrowers development through the Sixteen Decisions Design/methodology/approach – The study uses multiple research methods. It reviews and analyzes GB Sixteen Decision texts and feminist literature, uses survey method to collect data from Grameen Bank micro borrowers in 2011 and uses secondary data. Main Findings : This study still finds the gender equality issues exist in the Grameen Bank Sixteen Decisions texts and the Sixteen Decisions campaign strategies for women borrowers empowerment especially due to the issue of dowry. Policy Recommendation: This critical analysis is very important to empower Grameen Bank women borrowers because the campaign should be made more effective in addressing womens issues like dowry-less marriage. Grameen Bank should revise the Sixteen Decisions texts and support borrowers in their anti-dowry and anti-teen age marriage campaign in Bangladesh. 17. Tenhunen, S. (2008). The gift of money: rearticulating tradition and market economy in rural West Bengal. Modern Asian Studies, 42(5), 1035-1055. Motivation and objective : This article examines the rise of dowry system injanta, a West Bengali village in the Bankura district, where the dowry payments are a relatively new phenomenon. The oldest generation in Janta had experienced times when no demands for money or other gifts had been made during marriage arrangements, but since the 1950S huge dowry payments have become the central financial transactions in the region. In addition to oral history interviews on dowry  practices, the author draws from his research on the changes in caste, gender and class relationships in the village. Findings : The gift of money does not merely represent class and economic identities, rather, its intr oduction is connected to a reconstruction of gender and caste identities as well. The article demonstrates how the giving of money has influenced other categories of gifts, while the market logic has drawn from cultural considerations. Yet, money is not the only agent in the process; gifts are essentially about constructing social and cultural identities: the interconnected domains of gender, kinship, caste and class. The introduction of the monetary gift has made it possible to make connections and set a price on different aspects of personhood facilitating and intensifying the connections between different discourses on personhood. 18. Shenk, M. K. (2007). Dowry and public policy in contemporary India. Human Nature, 18(3), 242-263. Motivation and objective :. This paper argues that a functionalist perspective on dowry could lead to improved dowry policy, and that an approach based in human behavioral ecology (HBE) is uniquely suited to this task. Design/methodology/approach – The author develop a behavioral ecology model of Indian dowry and test it with quantitative and qualitative data Main Findings : The author conclude that if dowry legislation is to achieve broad support or bring about effective social change, it must address and support the positive motivations for and effects of dowry and take a targeted approach to dowry violence, which is not uniformly distributed across regions, castes, or social 19. Rao, V. P., Rao, V. N. (1980). The dowry system in Indian marriages: attitudes, expectations and practices. International Journal of Sociology of the Family, 99-113.. Motivation and objective :The study examined the students expectations of dowry for persons with different educational background, their attitudes and feelings about the dowry system, and the practices of dowry payments in immediate and kin families Design/methodology/approach – The questionnaire method was used to collect data from a sample of 585 college students from  India Main Findings The study revealed that the average dowry expectation were not consistent With the number of years of education but were in line with the prestige of education. Non-Hindus, metropolitan residents, high socioeconomic status students, and medical students expected higher dowry than their counterparts. The majority of the respondents considered dowry unimportant in settling a marriage and felt that the present dowry system should be discontinued. However, most of the respondents brothers received dowry while their families gave dowry to their sisters. The kin families also practiced dowry payment at the time of marriage. The students seemed equalitarian in terms of control over the dowry as most believed that both husband and wife should decide how to spend it. Inconsistency in the attitudes are also observed as three-fourths of the sample considered dowry unimportant in the settlement of a marriage but nearly one-third of the males and 40 per cent of their parents expected to receive dowry when the respondents got married. 20. Freed, R. S., Freed, S. A. (1989). Beliefs and practices resulting in female deaths and fewer females than males in India. Population and Environment, 10(3), 144-161. Motivation and objective:. A preference for sons and the low status of females are implicated in the preponderance of males over females as reported in each census of India from the first one taken in the 19th century. A number of cultural practices, some of which are quite ancient, are involved in this such as sexual imbalance and dowry murder. This discussion is sees the determinants of female deaths in India. Design/methodology/approach – This discussion is based both on 19th and 20th century sources and on fieldwork conducted in the North Indian village of Shanti Nagar in 1958–59 and 1977–78. Findings : It is found that dowry act as one of the determinants that resulted in female deaths which is more commonly known as Dowry Murder Policy Recommendation: The modern Government of India has so ught to abolish dowry which would, presumably, put an end to dowry murder.

Friday, September 20, 2019

Why Did Boudiccas Revolt Fail?

Why Did Boudiccas Revolt Fail? I decided to research the question why did Boudiccas Revolt fail?; for my extended essay. I used primary and secondary sources. The books I used a range of sources from Roman era to the modern day historians. There was a period throughout history where they forgot about Boudicca this was the middle ages where roman history had waned at this point. My investigation scope was mainly limited to the military features but also considered political factors. The conclusions I arrived at in the End is that Boudiccas revolt failed, due to the military strength of the Romans full time army who trained everyday, the fact that Boudicca was against a undefeatable enemy, no matter how long she fought they would have always won even if meant sending reinforcements, and the final factor is that the Britons were given a false sense of security whilst dealing with the Romans as before the final battle the Romans had not considered her a threat worth dealing with so there was not much attention focused on her and her warriors. Introduction The Romans first invaded Britain under Julius Caesar in the year 55 BC; this however was unfortunate timing as the Roman battalions were called off to fight another war in Gaul at which point they didnt invade Britain extensively until AD 43 under the rule of Emperor Claudius whose general Aulus Plautius served as the first governor of Britain. The Roman army at the time had sent 40,000 men to take part in the initial invasion  [1]  . The Emperor not only sent foot soldiers but also sent Cavalry as well, many British tribes sought to make peace, for example the Trinovantes , while many went to war against Rome such as the Druids in Anglesey in Wales. These battles went on for many years and the Romans were never fully able to conquer Britain. The second contributing factor was Britain itself; at the time of the Roman invasion in 55BC Britain had already established economic and cultural trading patterns with Continental Europe. Boudicca one of the most revered women in history, l ed Britons in AD 61 to fight the Romans for their freedom. The key question for many historians is, why did Boudiccas revolt fail? In this essay I plan to give an answer of my own as to why the former mentioned happened. The Historical significance of this event is that a women who at the time were considered inferior, led the most significant rebellions against the biggest army the world has ever known. During the time of the rebellion the terrain of England would have been quite different than the one we have today it would have been practically all rural with only a few settlements every so often, until you reached Roman territory where the cities would have been built up. What makes Boudiccas revolt even more spectacular is that she managed two attack to main Roman cities, which no other Rebellion ever managed to do. Chapter 1 Boudiccas background Boudicca was born around 30AD, she lived in the Eastern side of Britain and was Queen of the Iceni, and her actual death is also shrouded in mystery. Tacitus states that she poisoned herself after her defeat at the army of Suetonius.  [2]  Dio Cassius relates that Boudicca fell ill and then died  [3]  . Wailing Street. Boudiccas revolt can be pinned back to the point of her husband, King Prasutagus death. Prasutages was able to claim Roman citizenship  [4]  , which allowed him to believe that once he died his Kingdom and its inheritors would be safe. Prasutages will, as Tacitus explains, split the Iceni territory in half, one-half for the Emperor Nero and the other for his daughters. This could be a reason as to why the Romans marched into the Iceni territory as they did. They did not see women as leader material so they believed that they could take the other half of the Iceni territory for themselves as they believed that with no male ruler it would descend into chaos. The Nobles of the land were evicted from their ancestral homes, and the Royals were treated like slaves. Boudicca was flogged while her two daughters were raped. Since she herself was not raped, David Braund suggests that she was an older woman  [5]  , which gives her rebellion from the Romans even more credit as this would have shocked the Romans even further since they believed that women were unable to fight, so an older woman leading a rebellion would be an alien concept to the Romans. This news would have quickly spread throughout the neighboring territories and would have led to even more resentment towards the Romans. Chapter 2 Roman Invasion of England Roman Occupation began in 43AD under the rule of Emperor Claudius; the Romans managed to take all of Britannia but were never able to take Caledonia. The reason for Romes invasion was to help Emperor Claudius secure his position in Rome as he faced opposition from the Senate. The reason for this was because the Army was the main artery of Rome and the army paid for themselves, war was very profitable. Roman culture reflected this as each leader needed to prove himself as an adept army commander, and for Claudius Britain was to be his military victory.  [6]  This was very different to the initial invasion by Julius Caesar, who planned to invade Britain for he believed that they were helping Gaul by supplying them with equipment. In late August 55 BC, 12,000 Roman soldiers landed about 6 miles from Dover. Caesar had planned to land in Dover itself, but had to change his plan as many Briton soldiers had gathered on the cliffs ready to fight off the invaders. Even so, the Britons fol lowed the Romans to their landing place and a fierce fight took place on the beach. The Romans were forced to fight in the water as the Britons stormed down the beach. Caesar was impressed with the fighting qualities of the Britons: The Romans were faced with serious problems. These dangers frightened our soldiers who were not used to battles of this kind, with the results that they do not show the same speed and enthusiasm as they usually did in battles on dry land.  [7]   However, the Romans fought off the Britons who withdrew. But it was clear to Caesar that the Britons were anything but a pushover and by the end of the year the Romans had withdrawn to Gaul. This invasion gave some breathing space for Gaul and they quickly revolted. This dragged and the Romans went into Gaul to crush the revolt. It is also clear that Britain was an afterthought due to three legions that had been destroyed in the Battle of the Teutoburg Forest by rebellious German tribesmen in 9 AD, and the Emperor Augustus concluded that the empire was overextended and called a halt to new wars of conquest. This war was a war of Prestige which Rome did not want to lose. Chapter 3, The development of the Rebellion After the treatment of Boudicca and her daughters, resentment towards the Romans grew even greater as the people saw just how the Romans were willing to treat their apparent friends as before King Prasutagus death the Iceni tribe were friendly with the Romans. This would have allowed Boudicca to amass an army fairly easily, mainly due to the fact that many tribes already disliked Roman occupation and were looking for a reason to go to war with them. Boudicca went from tribe to tribe with her daughters explaining to tribal leaders that Rome had gone too far and they must take a stand to prevent them from going any further. As Tactitus also mentions Boudicea, with her daughters before her in a chariot, went up to tribe after tribe, protesting that it was indeed usual for Britons to fight under the leadership of women. But now, she said, it is not as a woman descended from noble ancestry, but as one of the people that I am avenging lost freedom, my scourged body, the outraged chastity o f my daughters. Roman lust has gone so far that not our very persons, nor even age or virginity, are left unpolluted. But heaven is on the side of a righteous vengeance; a legion which dared to fight has perished; the rest are hiding themselves in their camp, or are thinking anxiously of flight. They will not sustain even the din and the shout of so many thousands, much less our charge and our blows. If you weigh well the strength of the armies, and the causes of the war, you will see that in this battle you must conquer or die. This is a womans resolve; as for men, they may live and be slaves.  [8]  This proved to the Britons that Boudicca was extremely serious about rebelling over Roman authority and she was confident that she would be able to successfully rebell against the Romans. She believed this to be possible if she could inspire the hearts and minds of all Britons. The reaction from the Romans during this inital uprising from Boudicca was minimal, it was unnoticed in Ro me as they had the worlds largest empire to control. This could be another possible reason as to why the inital stages of the Rebellion from Boudicca was so successful, but once the Romans took notice the tables were quickly turned. Chapter 4, The importance of Colchester and Londinium During Bouddicas revolt it was clear that Rome wasnt giving much oppostion  [9]  this would have encouraged her and her warriors to start making bigger attacks on Roman territory and this clearly happened. Boudicca laid siege on the capitol of Roman Britain Camalodunum (Colchester). This town however was mainly run by old Roman Veterans who would have unlikely been able to fight. This lack of manpower and the fact that this city was a main artery for Roman Britain gave the Iceni and Boudicca the incentivite to destroy it. The 9th legion attempted to save the city but was ambushed by Boudicca and only a few survived  [10]  . The Army of Kelts set fire to the temple (which marked the conquest by Emperor Claudicus over Roman Britain) which burned everyone inside alive. After this victory Boudicca moved on to Londinium (London), the Roman general Gaius Suetonius Paulinus sent a few troops in time before Boudiccas very large army arrived, Tacitus then writes At first, he [Gaius Suetonius Paulinus] hesitated as to whether to stand and fight there [Londinium]. Eventually, his numerical inferiority and the price only too clearly paid by the divisional commanders rashness decided him to sacrifice the single city of Londinium to save the province as a whole. Unmoved by lamentations and appeals, Suetonius gave the signal for departure. The inhabitants were allowed to accompany him. But those who stayed because they were women, or old, or attached to the place, were slaughtered by the enemy. This shows that the Romans were not too desperate to defend their city and were willing to let the Iceni burn it to the ground, and allow the families to be slaughtered if they were unable to leave with the Romans. Following Tacitus description he then states that in retaliation for the burning of the city, the Romans slaughtered 70,000 Britons. Following this attack Bouddicas forces moved on to the city of Verulamium (St Albans) and destroyed it, through the two attacks on Londinium and Verulamium an estimated 70,000-80,000 were killed by Boudicca and her forces  [11]   Chapter 5, The military differences By the time the final battle occurred Boudicca had amassed an army of over 200,000  [12]  , however this number differs between certain historians. Tacitus reported that there were 100,000 Britons and Cassius Dio estimated 250,000. There were British sympathizers and family members standing behind Boudiccas warriors both historians do agree on this matter. The Britons brought their carts, and wagons were arrayed encircling the rear of the British position, forming a significant barrier to movement for the Britons when they needed to retreat  [13]  . The Romans on the other hand had a considerably smaller number of around 10,000  [14]  . Full time employed soldiers whose job was to fight, these men had an incredible amount of training and expertise and this would have come from the previous battles and wars throughout the previous centuries which allowed the Romans to perfect their battle formations and tactics. Whereas the Britons were mainly farmers and had little time to dedicate to learning how to fight successfully as a unit and as individuals, the Romans had mastered sword combat at an early age and every morning had a gruelling training session to constantly hone their skills. The Romans also did not have to worry about tending to their farms or families as the Britons did. According to Tacitus, Seutonius had a total of 10,000 including his 14th legion a vexillation of the 20th Legion, and auxiliaries. Other estimates put the Roman force at 7000-8000 legionaries and 4000 auxiliaries (including cavalry). Part of the Rom an armys training was a twenty Roman miles (18.4 miles) march (to be completed in five hours) carrying a full pack of weapons, shield, food rations, a cooking pot and a short spade, along with their personal kit.  [15]  This was then followed by heavy weapon carrying Roman soldiers who attended weapons training every morning. Roman soldiers practised hand-to-hand combat with wooden swords, spears and shields that were deliberately much heavier than those they used in battle. They trained with dummy swords and javelins made of wood.  [16]  The soldiers then practised Roman formations allowing them to work and move as one unit. The most formidable formation they used was the testudo (tortoise) in which the soldiers would bind together and lift their shields, interlocking them together. The soldiers in the back lines placed their shields over their heads to form a protective shell over the top of the men. The shields fitted so closely together that they formed one unbroken surf ace without any gaps between them. It has been said that it was so strong a formation that men could walk upon them, and even horses and chariots be driven over them. The Romans also used other formations such as The Wedge this was used to break enemy lines. This extreme training discipline compared to the lack of discipline in Boudiccas warriors gives the clear view that the Romans were going to win in the final battle. Although the Britons outnumbered the Romans greatly, the Britons were given a false sense of security . This was clear as Tacitus states that in the final battle all the Britons families had turned up to watch the Roman bloodbath. Up until the final battle, the Britons were constantly massacring the Romans, which included the 9th legion. This was due to the possibility that the Romans were not putting much effort into containing Boudicca because they did not see her as a threat; whereas the Druids in Anglesey and Gaul were bigger threats to the Roman power or their religion. Once Boudicca started attacking Roman towns and cities, the Generals of the region started to take notice and this was the turning point for Boudicca as the Romans started to put pressure and effort into removing Boudiccas threat from their land. However they lacked the superior discipline and tactics that won the Romans a decisive victory. However the chariots were exceptional. This description is how Julius Cae sar described the Britons chariot ability while during battle: Chariots are used like this. First of all, the charioteers drive all over the field hurling javelins. Generally, the horses and the noise of the wheels are enough to terrify the enemy and throw them into confusion, as soon as they have got through the cavalry, the warriors jump down from their chariots and fight on foot. Meanwhile, the charioteers then move away and place their chariots in such a way that the warriors can easily get back on them if they are hard pressed by the size of the enemy. So they combine the easy movement of cavalry with the staying power of foot soldiers. Regular practice makes them so skillful that they can control their horses at a full gallop, even on a steep slope. And they can stop and turn them in a moment. The warriors can then run along the chariot pole, stand on the yoke and get back into the chariot as quick as lightening.  [17]  while in truth by AD61 the chariot drivers were the r ich class and barely trained compared to the Roman charioteers. The main base of Boudiccas army was foot soldiers who were mainly poor peasants and were unable to spend most of their time training with swords and had to struggle to just make enough food to feed their families. In truth the army of Boudiccas while great in numbers was unable to fight as proved in their final battle agaisnt the Romans who were outnumbered 20 to 1. Chapter 6, Strategy and tactics Up until the final battle, which no one knows the place of, Boudicca and her warriors were easily defeating the Roman attempts to stop them. For example the ninth legion in the burning of Colchester. This was partly because Boudiccas battles happened when Suetonius Paulinus, the Governor of Rome, was away fighting the Druids in Anglesey, North Wales. This meant that the Romans who were left behind did not have a leader to tell them what to do. However, this was soon to change as General Suetonius Paulinus once hearing of the Iceni revolt came back to England and this was the turning point for Boudicca as the Romans quickly turned the tables. The battleground as previously stated is unknown but Tacitus wrote a position with a wood behind him (General Suetonius). This would have placed the Romans at the top of some sort of hill, which would have been in keeping with the standard Roman tactics. With the wood behind them, the Romans would have channelled the Britons so the Romans would o nly have to face Britons on one side. Behind the Britons was their family, as they had expected a Roman massacre, behind them was the bounty they had amassed from their previous raids. The Celts were very high on enthusiasm, people were shouting and music was playing everyone was enjoying the atmosphere. The Romans expectation towards this battle would have been very different. The Romans rallied around their commander, who delivered his speech convincing them that the battle could be won. Boudicca gave a final speech, and then the Celts charged towards the Romans.  [18]   The outcome was that out of 10,000 Romans only 400 were killed and all of Boudiccas warriors were killed, including their families and most of the Iceni tribe. Those who managed to survive and escape moved to Norfolk where the Romans kept a close eye on them. Boudicca was said to have poisoned herself after the battle had been lost to avoid Roman capture, however there is no mention of what happened to her daughters as they seem to have vanished from the history books. Tacitus says nothing of her burial. There is a story that she was buried at Stonehenge and its legendary circle of stones were set up by the Druids to mark her tomb. However there is no solid historical evidence over this period and it is most probably a myth. Conclusion In conclusion, the reason Boudicca lost against the Romans in her final revolt was due to a simple reason. Boudicca was up against the most formidable army the world has ever seen, and the Romans were never going to allow Boudicca to disgrace them and allow her to get away with it. Even if Boudicca had managed to defeat the Romans in her final battle it is most probable that the Romans would have sent reinforcements into Britain to wipe her off the face of the map. This was the key reason as to why Boudiccas revolt failed: Boudicca had set herself an unachievable goal and she was never going to come out on top, no matter what the outcome of her final battle was going to be.

Thursday, September 19, 2019

sure :: essays research papers

Abortion: Are you for or against?   Ã‚  Ã‚  Ã‚  Ã‚  Abortion is a major topic in the United States and all over the world. It is legal in the United States and some people would even say it is safe. There are many factors that go along with having an abortion.   Ã‚  Ã‚  Ã‚  Ã‚  One of the first factors to consider would be to ask is it safe? According to research published in the most recent issue of the Southern Medical Journal women who abort their babies are significantly more likely to die afterward then a woman who delivers. Researchers at the Elliot Institute in Springfield, Illinois, analyzed the death and medical records of 173,000 low-income California women, comparing those who had an abortion to those who had babies. The women who had abortions were nearly twice as likely to die within two years of having an abortion, and their risk stayed elevated for at least the eight years the study was continued. The women who had abortions were seven times more likely to commit suicide and are at a very high risk for depression.   Ã‚  Ã‚  Ã‚  Ã‚  Another factor to be concerned about would be your morals. What you believe in and how you were brought up should also persuade how you think. A girl I know from high school got pregnant when she Jaime Brubaker was only sixteen. She denied being pregnant to everyone. We all knew that she was, but she wouldn’t admit it. She carried the baby to a full term, and instead of telling someone so she could get help she had the baby in her bathroom at her home while her parents were at work. The baby died before anyone could get to the house to help. This doesn’t sound right at all. As Stephen L. Carter said in the essay The Rules about the Rules, â€Å"if we happen to do something wrong, we would just as soon have nobody point it out. If she had admitted she was pregnant she would not have been in that predicament. Now she has to live with this on her conscious for the rest of her life.

Wednesday, September 18, 2019

Lord of the Flies :: essays papers

Lord of the Flies In William Golding's Lord of the Flies the one good soul was found in Piggy. He wasn't violent and he was one of the only boys who tried to keep all of the other children civil by mimicking adults. Although Piggy had physical limitations that some say "prevented" Piggy from joining the other boys in savagery; he never possessed and evil spirit like Jack, Roger, and Ralph. "Shove a palm trunk under that and if an enemy came - look!" Jack noticed these things such as places to build forts, and weapons that can be made. While Piggy's main interests were in building shelters to be protected, and a sundial to know what time it was. There are may other things that Piggy did to attempt to bring order to the island just like a grown-up. When Jack was busy hunting pigs and dancing about in the blood that engulfed him, Piggy just wanted people to listen to him. He yearned for someone to listen to his ideas without asking questions: when he suggested moving the fire to the beach, he just wanted a ship passing by to see them. Piggy mimicked adults, he did not run about in a savage nature, he was good. Being the only boy that wasn't violent shows how diverse Piggy was from the other boys on the island. "I got the conch I tell you" Piggy screamed in attempt to gain the boys' lost attention, "I tell you I got the conch." Good finally prevailed and Piggy gained the boys' attention. Never once did Piggy resort to violence, even when his glasses were stolen, he proved he was above violence. Unlike Jack, Piggy never killed. Piggy never hunted or killed a pig, let alone hurt another human being, he used his mind not his size to get attention. Being the biggest boy on the island, he had the upper hand in any fight that would have gone his way. Piggy talked out his conflict; in his opinion violence was not an option. "I just take the conch to say this. I can't see no more and I got to get my glasses back. Awful things have been done on this island. I voted for you (Ralph) for chief. He is the only one who ever got things done.

Tuesday, September 17, 2019

Review of Heavy Oil: Formation, Properties and Recovery

Introduction Oils with highly high densenesss and viscousnesss are termed as heavy oils. They are composed of long and high molecular weight compounds. Heavy oils are categorized with scope that is less than 220API to 100API ( American Petroleum Institute ) gravitation. Heavy oils that are less than 100API are to be referred as the excess heavy oil or Bitumen. The fluctuation between the excess heavy oils and bitumen is non merely the affair of API gravitation or their chemical composings but their Viscosity. The excess heavy oil is a type of oil that may resemble pitch sand bitumens and do non flux easy. They are recognized as holding mobility in the reservoir when compared with pitch sand bitumen which is incapable of mobility under the reservoir conditions. The word pitch sand is used to depict the sandstone reservoirs that are impregnated with a heavy and syrupy black petroleum oil that can non be retrieved through good conventional production techniques. Bitumen, referred as native asphalt i ncludes a broad assortment of ruddy brown to black stuffs of semisolid, syrupy to brittle character that can be in nature with no mineral dross or with mineral affair contents that may transcend 50 % by weight. Bitumen is more syrupy than excess heavy oil at reservoir force per unit area and temperature conditions. Bitumen is immobile and excess heavy oils have some grade of mobility at reservoir conditions. The ultra-heavy or excess heavy oils are denser than that of H2O which has an API gravitation of 100API. While the gravitation units API, do non depict the whole fluid belongingss of the petroleum which is represented by the oil viscousness. Like some petroleums might be of low gravitation but they have comparatively low viscousness at reservoir temperatures when compared with lighter petroleums. Heavy oils occupies scope along the continuum between ultra-heavy oils and visible radiation oils. The above estimations are mentioned by the Energy Information Administration ( EIA ) . EIA revealed that there were 1646 billion barrels of proven militias in 2013. Globally, the recoverable militias of heavy oil and natural bitumen are equal to the staying militias of the conventional oil. Harmonizing to the informations analyzed informations Middle East states dominates in footings of the conventional oil militias while the South America, well the Venezuela leads the universe in footings of the heavy oil militias. Harmonizing to the above representations of conventional oil, heavy oils and bitumen sedimentations, the conventional oil production in Canada has diminution over the past few old ages from 1.2 million bd to 1 million bd including the visible radiation and medium classs oil every bit good as the heavy oil from Alberta and Saskatchewan Fieldss as of 2006. Harmonizing to the Canadian Association of Petroleum Producers ( CAPP ) , during the same period of five twelvemonth span from 2001 to 2006 the entire production from the mined oil littorals and oil littorals produced in situ by the assistance of Steam Assisted Gravity Drainage ( SAGD ) or may be through other methods increased from the 659000 bd in 2001 to 1.1 million bd in 2006 and this estimations might travel every bit high as 4 million bd in 2020. Russia has approximately 246.1 billion barrels of natural bitumen of which 33.7 billion barrels which is about merely the 14 % of entire is recoverable. The staying 86 % can non be rea listically recovered as they exists in distant countries or scattered in many little sedimentations. The nature of heavy oil is a job for recovery operations and for polishing due to high viscousness due to which makes the rendering recovery disbursal and the presence of sulfur content may be high and increases the disbursal of polishing the oil. When compared to conventional crude oil, heavy oil typically has the low proportions of volatile components with low molecular weights and well higher sums of high molecular weight compounds of lower volatility. The high molecular weight fraction of heavy oils are comprised of complex mixture of different molecular and chemical types incorporating a assorted bag of compounds which might non needfully be merely paraffin components or asphaltene components with higher thaw points and pour points that may greatly lend to hapless fluids belongingss and low mobility of the heavy oil. The presence of asphaltene components are non merely the primary cause for the high specific gravitation of the heavy oils nor are the premier cause for production jobs. It is besides indispensable to see the content of rosin components and aromatic components presence in the heavy oil during its recovery and production. Heavy oil, as a resource is ever overlooked due to its trouble and the higher production costs involved in conveying the heavy oil onto the surface from reservoirs. As described by the geochemists that when crude oil beginning stone is generated, the petroleum oil produced by it is non heavy but it becomes heavy after the significant debasement during migration and after the entrapment. Degradation occurs through a assortment of biological, chemical and physical procedures in the earth’s subsurface beds. Bacteria borne by surface H2O metabolise the paraffinic, napthenic and aromatic hydrocarbons into heavier molecules. Formation Waterss besides remove hydrocarbons by solution, rinsing off lower molecular-weight hydrocarbons, that are soluble in H2O. The petroleum oil besides finally degrades by the devolatilization if hapless quality seals allow lighter molecules to divide and get away. The heavy oil typically forms from the younger geological stone formations like Pleistocene , Pliocene and Miocene stones. Those reservoirs possess the tendancy to be shallow deepnesss and less effectual seals in the stone formations. By early periods of 1900s, new progressed oil recovery procedures were deevloped such as Cold Production which is a primary recovery procedure. By executing the Cold Production at reservoir temperatures, the recovery effeciencies range from merely 1 % to 10 % boulder clay it reaches the maximal economical recovery factors. Oilfield companies requires long term investing for heavy oil recovery and due to the ground that heavy oil creates conveyance troubles, is a more dearly-won and polishing techniques for bring forthing marketable merchandises. Therefore their engineering value is assessed by their ability for cut downing its entire cost. Most of the heavy oil Fieldss are shallow makes the boring costs non a dominant factor but the increasing factor of figure of many-sided Wellss and horizontal Wellss makes it to present some costs durng the development phases. Within these costs, the primary costs if for the doing the heavy oil to mobilise by shooting the steam required. Every part in the universe has oil possessing different physical belongingss and is at different phase of procedure adulthood, therefore every part uses different development and production techniques forheavy oil recovery. Mechanism of formation of Heavy oil: As the specific gravitation of reservoir oil lessenings with deepness, API graity additions with deepness. The ripening phenomenon of oil takes topographic point in beginning and reservoir stones which makes the kerogen bring forthing lighter oil with deepness in the latter. Hence, the mean tendency observed worldwide is that the higher API gravitation oil is found at th increasing depths though less oil is produced with deepness. This must be pointed out that these are general tendencies but there are exclusions. There are assorted procedures that change the original oil that is produced during the migration procedure of oil and due to its subsequent accretions. Different procedures inculdes the biodegradation, H2O lavation, oxidization, deasphalting/evaporation and discriminatory migration of the igniter constituents. Biodegradation of the petroleum oils can alter the composings and physical belongingss over a certain geological timescales. Different micro-organisms that are present in the deposits of the oil bearing stones and bearing the crude oil reservoirs. They utilize the hydrocarbons as the beginning of C for their metabolic procedures. That procedure may be aerophilic or anaerobiotic. Largely the hydrocarbons are oxidized into intoxicants and acids. Simple consecutive ironss are prefered, but as the biodegradation continues, more of the complex molecules are increasingly being consumed. The long chained paraffins are oxidized for giving di-acids. Similarly, napthene and aromatic rings are oxidized to di-alcohols. This biodegradation phenomenon consequences in the loss of saturated and aromatic hydrocarbon content, roll uping rosins and asphaltenes and besides lessening of API gravitation which autmatically defines as addition in denseness of the oil. The biodegradation procedure an go thro ugh if the reserrvoir temperatures do non transcend 800to 820. Heavy oils influence on Physical Properties of Rocks During Production:Heavy oils have a shear modulus, act like a solid at low temperatures.They are strongly temperature dependant.Gas coming out of the solution might be it smallest sums can bring forth a big geophysical signature.Heavy oils normally acts as the cementing agent in unconsolidated littorals.During the production, reservoir stone matrix is frequently changed structurally.Physical belongingss of the stones possesing heavy oils are largely teperature dependant and frequence dependant every bit good.Simple Gassmann permutation will neglect in heavy oil reservoirs.Crude oils which chiefly has hydrocarbons or the coompounds consisting H and C merely. Other elements such as S, N and O are besides present in small sums and are combined with C and H in complex molecules. As these oils get heavier and becoome more viscours, their composing becomes complex and they forms concatenation and sheet constructions with the addition in thir molecular weights. Heavy oil, unlike conventional crude oil can non be recovered as an accretion unless there is any reservoir trap and that requires the boundary between the cap stone or any other waterproofing agent, and the reservoir stone by and large be in a bulging upward projection form, but the exact signifier of the boundary varies widely. Many of the oil and gas accumuylations are trapped in the anticlines or domes, these constructions are more conviniently detected than any other types of traps. Heavy Oil Recovery Techniques: Surface excavation: Surface excavation procedure is a wide class of excavation in which dirt and stone overlying the mineral sedimentations are removed. It is the antonym of belowground excavation, in which the overlying stone is left in topographic point, and the mineral removed through shafts or tunnels. Surface excavation began in the mid-sixteenth century [ 1 ] and is practiced throughout the universe, although the bulk of surface excavation occurs in North America. Surface excavation consists of three chief stages. After depriving off and carrying the site’s peculiarly fertile overburden, the pitch sand which is in the signifier of an ore is removed utilizing prodigious power shovels and shit trucks. In the 2nd stage the ore is washed in hot H2O, bitumen, and mulcts. A dissolver is added to the mixture to advance seperation of the bitumen. eventually the residuary mixture of H2O and sand is normally transferred to big deposit basins. The clarate is recycled and the settled solids are used to make full the cavity at the terminal of extraction operations. At the surface, the sites are rehabilitated which includes replacing an replanting the fertile overburden that was stockpiled at the beginning of the the undertaking. Mentions:Schlumberger Oilfield Review Magazine, Autumn 2002

Monday, September 16, 2019

New York Stock Exchange (NYSE)

1)  Ã‚  Ã‚  Ã‚  Ã‚   The two leading stock exchanges are the New York Stock Exchange (NYSE) and the National Association of Securities Dealers Automated Quotations.   The NYSE began in 1792 with 24 stock owners gathering on Wall street to buy and sell stock. The stock exchange has the largest dollar volume of stock sales in the world, but the NASDAQ   has a larger stock volume. Membership in the NYSE is through â€Å"seats† and seat-holders are guaranteed the right to trade on the floor of the stock exchange.   The NASDAQ was established in 1971 as the first completely electronic trading forum. The NYSE was at the time the largest stock exchange in the world, but in the 1990s it was surpassed in stock volume by the NASDAQ. There are approximately 3300 companies traded on the NASDAQ;   there are 2,764 on the NYSE. 2)  Ã‚  Ã‚  Ã‚  Ã‚   If a firm’s shares grew from $1 to $2 per share over a 10-year period, the total growth over the course of the decade is 100 percent, but that does not mean that the annual growth would be 10 percent.   If fact, because annual growth is based on the beginning price, 10 percent annual growth is simply not a mathematical possibility. The math makes it more clear. If in the first year, stock is $1 then with 10 percent annual growth, the price would $1.10 at the beginning of the second year. During the second year, ten percent growth would add 11 cents to the share’s price. Share prices would increase 12 cents the third year and so forth. At the end of a decade with 10 percent annual growth per year, the shares would be $2.41. So, it is false to believe that 100 percent total growth in a decade, does not mean 10 percent annual growth. 3)  Ã‚  Ã‚  Ã‚  Ã‚   Simply because the returns of two stocks are negatively correlated does not necessarily mean that one of the stocks is a negative beta.   Though a negative beta would negatively correlate with a stock that performs well during market upturns, it is not required for the negative correlation. Two stocks can have little to nothing in common and both be dependant on the same sort of market action for growth. For example, stocks previously considered to be totally unrelated all perform poorly when the market takes a major downturn. High tech stocks, housing stocks and retail stocks can all be hit by a sharp market turn regardless of the limited correlation between these types of stocks.   A negative beta does not guarantee that the stock can hold steady during those severe drops.

Sunday, September 15, 2019

Myers-Briggs Paper

Mallory Simpson Psych 101: Myers-Briggs Paper Professor Baker 8/13/12 After taking the Myers-Briggs test, I am not at all surprised by the results I was given. 67% introvert is what I was distinctively ranked for personality type and I couldn’t agree more. Next on the list was 44% judging. This particular one leaves me wondering what type of judging? Is it being a judgmental person, or rather judging between the pros and cons of something, or maybe judging based on intuition or discernment. I think that a lot of people that know me would agree with this aspect also. 8% was the score for feeling. Although I agree with the order of the results, I would also put feeling number one. I am most definitely a feeling person. I would assume that this goes along with emotions also. Not only am I worried about how I may feel about a particular situation, I often wonder how the other person may feel as well. Lastly on the list I scored a 25% for sensing. When I think about the difference between an introvert and an extrovert, I think the biggest difference is the ability to sit back, relax, and see the bigger picture.A lot of introverts are quiet and observant and able to see things that an outgoing, always on the go, loud and talkative extrovert may miss. Of course, this may not be the case for every opposite, but I think for the majority it is true. An extrovert has the advantage to get out and seize the opportunity that an introvert may miss which is the biggest positive I see for an extrovert. The Myers-Briggs test was very insightful for me. â€Å"The wise of heart will receive commandments, but a babbling fool will come to ruin. † –Proverbs 10:8

Saturday, September 14, 2019

Management Models

Assessment Task One | Understanding the First Five Topics Competing Values Framework & The 4+2 Formulae The Competing Values Framework and the 4+2 Formulae are models that represent the management research perspective of balancing outward and inward development, and how important the equilibrium of both areas is, in the success and continued success of a business. The Competing Values Framework has been developed over 100 years of theoretical management models, with with each era having developed its own theories and practices born out of the period’s socioeconomic conditions.The Competing Values Framework is split into four main quadrants which re? ect the four main periods of prosperity and economic challenges. The quadrants re? ect the period’s dominant philosophy of management and represents the relationship within management, in regards to the degree of control and whether that control is projected internally or externally. In the extended research, the understandi ng of an inverse relationship of competing values has developed into an integrated management model. The inverse relationship between values represents the ‘push-and-pull’ of a successful management concept.The balance of each idea or value keeps the entity open to development of new concepts but also retains the checks and balances and inward e? ciency. The CVF represent a dichotomy of management values that in equilibrium are highly e? ective. In contrast to the Competing Values Framework the 4+2 Formulae was developed though the study of 160 companies over a 10 year period working with 50 academics and consultants with well recognised research tools. Their study of these companies was to determine what made them successful or what made them fail.The research into these companies was retroactive, starting starting in 1986 and selecting a variety of businesses with similar scale, scope and ? nancial means. The 4+2 formulae is a structured two tiered model, with the mai n principles of business; Strategy, Execution, Culture and Structure and the selection of two secondary business practises; Talent, Innovation, Leadership and Mergers & Partnerships. The 4+2 Formulae is a representation of the best practices of a successful business, it outlines the core components and practices these companies developed to become successful.This is formulae representation of a ‘recipe for success’. The formulae expresses that concept of the four main core values of a business and integration of a pair of focused expansion concepts into which new prospects can be developed. The di? erence between the research of the Competing Values Framework and the 4+2 Formulae is shown in how di? erent the concepts are. The CVF is a consolidation of four management models built over the last century and expresses the careful balance in values that lead to success.The concept of this framework is to express the sensitivity of a business in the amount of control applie d and the balance of further growth with management of e? ciency. The research of the CVF also focused on the models of management and the theoretical concepts of each era, developing and contrasting each theory with the next to develop a diverse understanding of the paradigms in which management is based. In contrast to the 4+2 formulae which focuses on the growth or recession of a business though it core business practices and varying practices in growth.The 4+2 formulae is structured to be set of core values with an integration of two secondary business practices primarily focused on growth. The research into the companies showed that the each successful company excelled at the four core practises and incorporated any two of the secondary. In summary the research of each model di? ers in that one focuses on model and theorem based argument (the ideas and concepts of business) and the other focuses on the execution of core values and the incorporation of secondary growth orientate d practices (the application of ideas). Although these models are di? rent in the way they express the concept of success the main core values of both are very similar. For example; the 4+2 formulae calls for the exemplarily execution of Strategy, Execution, Culture & Structure, these fall into the main quadrants of the CVF and also inversely linked to each other exhibiting the relationship between each. Strategy, re? ects the Rational Goal model of direction and clarity, the roadmap. Execution, re? ects the Open systems model of growth, innovations and adaptation. Culture is core of the Human Relations model, it represents the embodiment of people and the empowering of sta?.Structure re? ects the Internal Process, of control, the checks and balances, the re? nement of e? ciency. The similarities of the Competing Values Framework and the 4+2 Formulae is not surprising, they both come from the study of business values. The comparisons of the core values in the 4+2 formulae and the CV F show how closely related they are. The 4+2 formulae is a study of business practices and contrasting that to the CVF which is a study of business models throughout the last century, we can see that the models are sound being proven in theory and practice.The CVF a theoretically based model and the 4+2 a practice based model have overlapping values, making it a very sound model, as the theory is proofed by the practice. What makes these concept more concrete is the study of business in practice in a current economic period and applying a historic study of theories to that study, showing major similarities in those core values. This would substantiate soundness of both the Competing Values Framework and the 4+2 Formulae. The Compering Values Framework gives us the tools to develop and check our progress.It is a compass in giving us the direction required, while the 4+2 formulae is the roadmap, its structure allows us to progress through each stage and ? nd new avenues for growth and innovation. Using the CVF we can always check our performance and rede? ne our direction. Personal & Professional Leadership : Exploring informative detail & Key Concepts The comprehensive model of leadership expressed in ‘The importance of personal and professional leadership’ (Mastrangelo. A. Eddy, e. and Lorenzet, S. 2004), outline the e? ectiveness of a leader at an organisational level through the understanding of parallel leadership practices.Professional leadership and Personal leadership qualities run parallel to each other and both support and enhance the others ability to in? uence and cultivate willing cooperators. The article motif shows that leadership behaviour and actions are important in determining the e? ectiveness of the leader, and that a successful leader must be concerned with both task and peoplerelated issues. Professional and Personal leadership in the model is expressed as a integrated practice, as each component lends itself to the other; suc h ideas are expressed in the articles ‘The Theory of the Business’ (Drucker, P. 994) & ‘Trends that could shake up your business’ (Ofek, E. and Wathieu,L. 2010) . These articles express how e? ective leaders in? uence individuals to work cohesively towards organisational success. Leadership is as much about in? uencing others with a comprehensive understanding of business and business direction as well as in? uencing them though interpersonal relationships. Both articles place leaders in a position where knowledge of business practices, having a perspective and vision for organisational success, and growth are important in an individual’s perception of trust in a leader’s expertise.Individuals will more likely trust a leader who has the expertise, the insight and vision of growing and developing the organisation. Trusted leaders should have a more expansive way of thinking to engender changes within the organisation and the marketplace. The ma in concept of these two articles express that a leader requires the ability to have forethought and the ability to adapt to di? erent situations. Professional leadership requires leaders to be clear on direction, be able to develop strategies to follow and coordinate the uni? d energies of individuals toward organisational success. Followers require this foundation of expertise as re? ected by; Professional leadership is an essential step in the leadership process. It provides a foundation that leads to willing cooperation. ( Mastrangelo. A. Eddy, e. and Lorenzet, S. 2004, page 446) Druker, Ofek and Wathieu also hint that the e? ectiveness of these leaders are interrelated to the perception of the leader as a knowledgable and trustworthy person. Therefore the Professional leadership quality is symbiotic with the perception of the leader, which is also re? cted in our model: When an organisation has created a direction that promotes both individual and organisational success, values continuous improvement, makes it clear to employees their role is in helping achieve organisational success†¦ will likely lead to perceptions of expertise, trust, caring, sharing & morality. – (Mastrangelo. A. Eddy, e. and Lorenzet, S. 2004, page442) This gives a more informative depth to the model, as we can see how interactions of the personal side of leadership can a? ect the e? ectiveness of leaders. Personal leadership is an important re? ction of the person who is leading, ‘Discovering Your Authentic Leadership’ (George, B. Sims, P. McLean, A. and Mayer, D. 2007. ) details how the personal narrative can feed how genuine a leader is perceived. The story of David Pottruck former CEO of Charles Schwab shows us that one sided use of professional leadership is ine? ective. David saw his hard work and long hours as a positive way to ensure success and achieve results, however this only intimidated his colleges and lead to a mistrust between himself and his f ollowers. In this instance a leader who did not realise his e? ct on his followers or chose to ignore them was in the end ine? ective at leading. His pursuit of results and success alienated him from others and created an environment devoid of willing cooperation. In ‘Why should Anybody Be Lead By You? ’ (Go? ee, R. and Jones, G. 2000) the article asks why as a leader, do you have the privilege of leading? The article questions why and how a leader is successful and expresses that there are four qualities that successful leaders possess. This article’s concept re? ects trait theory to an extent, the article points out key traits that all successful leaders possess have but also speci? d that each quality is di? erent from one leader to the next. Go? ee and Jones argue that leaders need to bridge the gap between professional leader to personal leader. The article argues that the nature of using only professional leadership will lead to a perception of a ? awlessne ss, a leader who is ? awless in work would not need help or want it, thus alienating him from a cooperative environment. The article suggests that leaders bridge the gap, by selectively revealing ? aws, ‘Sharing imperfection is so e? ective because it underscores a human being’s authenticity’- (Go? e, R. and Jones, G. 2000, page 65). Showing your follower that you are genuine and approachable – human and humane’ – (Go? ee, R. and Jones, G. 2000, page 66). These ideas of allowing your followers to see a chip in your armour shows that you are willing to take one for your team and are as just as human as they are, building trust between you and others. These ideas are echoed in our model; Organisational members must have con? dence in the expertise of their leaders , and must trust that the leaders are doing what is best for everyone. – (Mastrangelo. A. Eddy, e. and Lorenzet, S. 004, p441) The willingness to rely on another† has als o been found to be an important factor in establishing trust (rousseau et al, 1998). Trust in this perspective has as its basis reliability, which is enhanced consistency and predictability. (Cook & Campbell, 1979; Deming, 1982; Kerlinger, 1986) Personal leadership incorporates the sharing nature of humility and the ability for individuals to care for each other. Becoming a more genuine leader allow for greater interaction between leader and follower, creating a support team which allows them to keep you on track.Selectively admitting faults and limitations on knowledge and experiences would only enhance a leaders humility. As seen from; Researchers have have suggested that leaders should move beyond the hero myth or â€Å"great man† perspective on leadership(Murrell,1997), show their humanness by being open about their limitations in knowledge and experience(Weick,2001), and focus more on how followers in? uence the process of leadership(Uhl-Bien,2006). – (Owens, B. & Hekman, D. 2012, ‘Modeling how to grow: an inductive examination of humble leader behaviors, contingencies, and outcomes’ Academy of Management Journal, 2012, Vol. 5, No. 4, 787-818) Ideas from the ? ve main articles elaborate on the e? ectiveness of a leader though the incorporation of personal characteristics of the leader. Each article has its own way of developing the concept that professional leaders are e? ective only when they are perceived as good leaders in their own right. Trust, care, sharing and morals are valued highly by individuals who follow these leaders and are developed through personal leadership qualities. The foundation for leadership is the understanding of business practices (professional leadership) develop the foundations of personal leadership around it.Becoming a successful leader calls for a more developed and in depth practice in personal leadership. George et al, calls for the use of personal narrative to enrich the values and become a mo re authentic leader, authentic in a sense that the leader believes in what he/she is doing. Authenticity relies on the leader being passionate about what they do and in e? ect caring about it. Go? ee et al. & Owens et al argue that the admission of faults and limitations in ability when selectively done will bene? t a leader in that becoming more genuine.A leader who is able to admit faults shows that they are able to be empathetic and fosters a sharing informative environment. These ideas are all matched in our model by Mastrangelo et al. though three theorems: 1. Professional Leadership (providing direction, process and co-ordination will be positively related to willing cooperation 2. Personal leadership (ie. demonstrating expertise, trust, caring, sharing and morals) will be positively related to willing cooperation. 3. Personal Leadership will mediate the relationship between professional leadership and willing cooperation.Mastrangelo et al. expresses that these three concepts lead towards willing cooperation and are explored in depth when you layer the other 5 articles. Firstly as outlined, the professional leadership provides the direction, process and coordination, the basis of business practice, which is echoed by Drucker in ‘The Theory of Business’ and by Ofek & Wathieu in ‘Trends that could shake up your Business’. These articles concentrated on the professional leadership skills of being able to provide direction for the organisation, but also outline the importance that each individual understands as well.The articles give detail on how leaders must be able to make others understand and also be able to think outside the box, to have a way of forward thinking. Secondly, Personal leadership requires the demonstration values of the person. The foundation of professional practice where the expertise is expressed if followed by the understanding and comprehension of the follower, and their acceptance and trust leader’s expertise. The development of further values goes on to build this trust. As George et al. , Go? ee et al. and Owens et al. examines, the development in the character, the authenticity of a leader is the expression of their personal values and to show that they are also human. The idea to let go of the heroic leader perspective and adopt a more humble approach, to allow your followers to connect on an interpersonal level. The development of a fostering relationship that allows though the understanding of individuals, to care for each other to understand that each person has their own faults and short comings, developing a larger and more complex investment in their leader.Thirdly, the quality of the personal leadership will mediate the e? ectiveness of the professional. As individuals develop a more complete and authentic perspective of a leader the e? ectiveness of professional leadership will progress. As leaders become more aware of both their own and followers strengths and weak nesses their development into becoming a more e? ective continues to grow. When they reinvest what their followers have invested in them, they start to empower others to lead.They not only inspire those around them , they empower those individuals to step up and lead. – (George, B. Sims, P. McLean, A. and Mayer, D. 2007). The degree in which e? ectiveness is measured is by the depth and willingness of others to help and follow a leader, based on their personal leadership. These articles give a detailed view of the model, as its expresses both real world and theoretical concepts that both elaborate and embellish Mastrangelo et al. focus on the importance of personal and professional leadership.