Thursday, October 31, 2019

Chapter13 Essay Example | Topics and Well Written Essays - 500 words

Chapter13 - Essay Example Moreover, warnings against excessive use of such products are particularly explicit. Negotiations are fundamental for the peaceful coexistence of nations. This is because its main objective is to come up with a win-win situation out of a conflict. Deception, evasiveness, or collusion are simply out of bounds during negotiations. This is because there is no scale against which these vices are to be weighed to create a limit beyond which they become unacceptable. Further, these vices misguide negotiations to reach a premature deal that cannot stand. Legality of a tactic in negotiations has no bearing on whether it is ethical or not. This is because, though the aim of negotiation is striking a balance, it hardly comes to that as each party always aims at achieving what is best for them. These tactics, therefore, come in handy for them to fool the other into believing that their stand is the best for both of them. Contrary to common belief, it is not naive to be entirely honest during negotiations. This is because full disclosure of facts is the best point to start. A clear statement of the facts also creates an environment that allows parties to evaluate their options. Impartiality helps them come up with suitable solutions that fully take care of their interests. Deception often makes a party wary of some topics during the negotiations, and this renders the whole affair futile. Rules that govern negotiations are not unique as they are objective and aim to satisfy those pertinent to the negotiation in utmost good faith. Negotiations adhere to common law. Adjustments take place in accordance with morality and ethics; social justice. Impression management may not be the same as lying, but this does not make it any less of a concern. This is because fabrication of such lies quenches the situation pending discovery. When the discovery takes place, which happens eventually,

Tuesday, October 29, 2019

Interpretation of Statutes by Judges Essay Example | Topics and Well Written Essays - 1500 words - 1

Interpretation of Statutes by Judges - Essay Example For the autonomy of duty to prevail, judges, who are agents of the judiciary, are expected to interpret statutes by giving effect to the will of Parliament without amending statutes. However, in judiciary practice, statutory interpretation has been said to be subject to different approaches of construction, some of which give judges the powers to amend statutes when giving interpretations (McCloskey & Sanford 2005, p. 66). In this paper, two overall approaches to construction which are intrinsic and extrinsic interpretations are reviewed to have a deeper understanding as to whether in the interpretation of statutes judges simply give effects to the will of Parliament or amend status under the disguise of interpretation. Gluck (2004, p. 1764) noted that statutory aids to interpretation come in two major forms which comprise the use of intrinsic material and extrinsic material. When judges use intrinsic aids, they use materials found within the statute being interpreted, whilst the use of extrinsic aids involve the use of materials anything not found within the statute (Bennion 1997, p. 10). Using extrinsic aids have thus been referred to as non-adherence to literalism as literalism involves the strict adherence to what is found in the statute (Sullivan 2006, p. 74). The Interpretation Act 1978 is one specific aid to interpretation. This is because as seen in Hutton v. Esher UDC 1973, the Interpretation Act 1978 provides that any common term it defines to be used in interpreting any statute that contains the word or term. In Hutton v. Esher UDC 1973 therefore, the land was defined to include buildings acquired for the purpose of compulsory purchase and this interpretation was strictly used in the ruli ng of the judge.

Sunday, October 27, 2019

Synthesis of Isatin Based Caspase Inhibitors

Synthesis of Isatin Based Caspase Inhibitors DESIGN AND SYNTHESIS OF ISATIN BASED CASPASE INHIBITORS FOR RUTHENIUM CAGING APPLICATIONS KASUN CHINTHAKA RATNAYAKE ABSTRACT Apoptosis is the energy dependent programmed cell death. Improper function of apoptosis could lead to diseases such as cancers, strokes, alziemer’s disease. Caspases are the enzymes involved in the later stage of this process. Peptidyl and non-peptidyl caspase inhibitors have been synthesized recently. One of these non-peptidyl compound classes which consist of pyrrolidinyl-5-sulfo isatins have showed a greater potency against executioner caspases, caspase-3 and -7. According to literature and for further caging studies, two compounds were designed, synthesized and evaluated their inhibition against caspase-3 in this study. The analog in which its N-1 position alkylated with a 4-methyl pyridine moiety (7) showed a higher inhibition than the analog in which its N-1 alkylated with cyanoethyl group (8). Thus, the compound  7  was selected for further caging studies with ruthenium. Chapter 1: Introduction 1.1 Apoptosis and Caspases Apoptosis is the process of programmed cell death. This is a significant cellular process which is directly co-related with embryogenesis, immune system, ageing and various diseases including cancers, stroke, myocardial infarction and neurodegenerative disorders.1 Caspases (cysteinyl dependent aspartate directed specific proteases) are the enzymes involved in the later stage of apoptosis. Caspases are divided to different classes according to their role played in the signaling cascade of apoptosis. Caspases 6, 8, 9 and 10 are involved as initiators and caspases 2, 3 and 7 are identified as executioner caspases in the signaling cascade.2The caspases 1, 4 and 5 are found to be non-active in the cell death process. 1.2 Caspase inhibition and modified isatin sulfonamides as caspase inhibitors Caspases play a significant role in both inflammation and apoptosis. Extensive researches have been conducted on caspases and their functions because they act as potential targets in drug discovery. Various inhibitors of Caspase have been made. These inhibitors could be categorized as non-peptidyl and peptidyl based compounds. A greater selectivity could be achieved when non-peptidyl inhibitors are used for different types of caspases. Isatin sulfonamides have showed inhibition on executioner caspases (caspase-3 and -7) in recent studies. In 2000, Lee and researchers reported the x-ray structure of caspase-3 with an isatin analog, 1-methyl-5-(2-phenoxymethyl-pyrrolidine-1-sulfonyl)-1h-indole-2,3-dione (a) bound to the active site of the enzyme (Figure 1).3 Modifying isatin sulfonamide analogues with pyrrolidine groups have shown significant effect on caspase inhibition.4 For example, various pyrrolidinyl-5-sulfo isatins have been shown inhibition to caspases, 3 and 7 (Figure 2). These isatin sulfonamide analogs are modified using structure activity relationships and performed these biological assays. The following isatin sulfonamides have shown to be inhibit caspase-3. The stereochemistry of substituted pyrrolidine moiety, cyclic vs acyclic ring structures and ring sizes have been examined for these inhibition studies (figure 3).5 1.3 Ruthenium complexes for caging applications Ruthenium compounds have been reported as significant candidates for caging applications. Light activation of these metal complexes has been extensively studied. Recently, neuroactive biomolecules as well as small molecular enzyme inhibitors have been reported to be caged with these ruthenium complexes. Spatial and temporal release of these caged molecules upon light activation gives insight to develop new tools that could be used to treat various diseases in biological systems. In this study Ruthenium polypyridyl compounds are used in future studies since they have been considered as excellent candidates for caging application of small molecules. Chapter 2: Results and Data 2.1 General considerations All reagents were purchased from commercial suppliers and used as received. Varian FT-NMR Mercury-400 Spectrometer was used to record all NMR spectra. IR spectra were recorded on High resolution mass spectra were recorded on.Melting points were recorded on .Enzyme inhibition assays were done on 2.2 Designing of Caspase inhibitors Recent studies show that various 5-pyrrolidinylsulfonyl isatins act as caspase-3 inhibitors. Several factors were considered in the designing process of these analogs. First, higher caspase inhibition was considered. Use of specific stereochemistry in the pyrrolidine moiety is important since S-alkoxypyrrolidine is more potent than its R-stereoisomer which shows almost no potency against caspase-3. It is reported that methoxymethyl pyrrolidinyl analogs show higher cell toxicity than phenoxymethyl pyrrolidines, thus methoxymethyl pyrrolidine analogs were chosen for further studies. When considering the Ruthenium caging studies, the chosen analogs should contain a group which has a higher binding affinitiy towards Ruthenium. Therefore, pyridyl and cyano groups were selected to incorporate in these isatin sulfonamide analogs. These groups are chosen to be attached to N-1 position of isatin sulfonamide analog. It has been reported that higher alkyl chain on N-1 position could increase th e inhibition. Therefore 4-methylpyridine and cyanoethyl groups were selected to attach on N-1 position of these analogs and compounds 7 and 8 are designed (Figure 3). 2.3 Synthesis of designed isatin sulfonamide analogs The designed analogs were synthesized using literature and modified procedures5, 6, 7 (Scheme 1). The compound 5 was synthesized as the precursor for the final analogs 7 and 8. The compounds 7 and 8 were synthesized using modified and optimized procedures (Scheme 2 and Scheme 3). 2.4 Enzyme Inhibition Assay Caspase-3 inhibition assay was performed for compounds 6 and 7 according to the literature procedure.2 Compound 6 was found to be more potent (IC50 = .. ) of than compound 7 (IC50 = ..). Thus, compound 6 was selected for further caging studies with Ruthenium bipyridine complexes. 2.5 Experimental 2.5.1 Sodium 2,3-dioxoindoline-5-sulfonate (1) Isatin (10 g, 0.068 mol) was added carefully to a stirred solution of 20% SO3/H2SO4 (20 mL) at -15 °C. The reaction mixture was gently warmed up to 70  °C with stirring. Reaction mixture was stirred at 70  °C for another 15-20 min. The reaction mixture was carefully poured on to crushed ice and let ice to melt and then 20% NaOH was added to the reaction mixture (pH=7). The flask containing reaction mixture was kept in an ice bath to induce precipitation of the desired product. The solid was filtered, washed with ice-cold water and dried to give red-orange crystalline solid. The 1H-NMR data was compared and matched with literature data. Yield: 14.48 g (0.051 mol. 75%) 2.5.2 2,3-dioxoindoline-5-sulfonyl chloride (2) Sodium 2,3-dioxoindoline-5-sulfonate dihydrate (2 g, 70 mmol) was dissolved in tetramethylene sulfone (10 mL) under Argon environment at 60-70  °C and phosphorus oxychloride (3.36 mL, ) was added dropwise. The reaction mixture was stirred for 3 h. The reaction was cooled to room temperature and kept in an ice bath. Then ice-cold water was added to the reaction mixture carefully. A precipitate was formed, filtered, washed with ice-cold water and dried used without further purification. The desired compound is yielded as a bright yellow solid. The 1H-NMR data was compared and matched with literature data. Yield: 1.58 g (64 mmol, 92%). 2.5.3 Tert-butyl (S)-2-(methoxymethyl)pyrrolidine-1-carboxylate (3) To a solution of N-Boc-L-prolinol (5.0 g, 25 mmol) in THF (25 mL) at -78  °C, Sodium hydride (60% in mineral oil) (960 mg, 40.0 mmol) was added and stirred for 10 min. Then methyl iodide (2.65 mL, 42.5 mmol) was added dropwise and reaction was stirred for 4h at -78  °C and additional 16 h at RT. Then NH4Cl was added until all H2 evolved and EtOAc was added. The organic layer was washed with water and sat. NaCl, dried over anhyd. Na2SO4 and concentrated to give a pale yellow oil and purified with petroleum ether: ether (9:1) to give a colorless oil. The 1H-NMR data was compared and matched with literature data. Yield: 4.986 g (23.16 mmol, 92%) 2.5.4 (S)-2-(methoxymethyl)pyrrolidine (4) To a solution of tert-butyl (S)-2-(methoxymethyl)pyrrolidine-1-carboxylate (4.98 g, 23.07 mmol) in DCM (40 mL), TFA (25 mL) was added dropwise over 30 min at 0  °C. The reaction was warmed to RT and stirred for additional 1.5 h. The reaction mixture was added to 150 mL of 10% NaOH solution and extracted with DCM (50 mL x 3), dried over anhyd. Na2SO4 and concentrated to obtain a pale yellow oil. The 1H-NMR data was compared and matched with literature data. Yield: 2.657 g (23.07 mmol, 100%) 2.5.5 (S)-5-((2-(methoxymethyl)pyrrolidin-1-yl)sulfonyl)indoline-2,3-dione (5) The compound (1) was synthesized according to procedure reported by Harvan et al.1 To a stirred solution of 2,3-dioxoindoline-5-sulfonyl chloride (2 g, 8.153 mmol) in 1:1 THF/CHCl3 (80 mL), a solution of (S)-2-(methoxymethyl)pyrrolidine (1.033 g, 8.968 mmol) and DIPEA (2.84 mL, 16.310 mmol) in CHCl3 was added dropwise under Argon environment and stirred for 1 h at 0  °C. The reaction stirred for additional 1 h at RT. The reaction mixture was concentrated and purified using 1:1 EtOAc:Petroleum ether and isolated as bright yellow crystals. The 1H-NMR data was compared and matched with literature data. Yield: 1.185 g (36.53 mmol, 45%) 2.5.6 4-(bromomethyl)pyridine hydrobromide salt (6) Pyridin-4-ylmethanol (5.0 g) was dissolved in 48% HBr (50 mL) and refluxed for 24 h. (Reaction was monitored for completion using TLC). The reaction mixture was concentrated in vacuo until a thick gum appeared and treated with absolute Ethanol at 5  °C. The white crystalline solid obtained was filtered and washed thoroughly with cold absolute Ethanol. The 1H-NMR data was compared and matched with literature data. Yield: 4.74 g (18.7 mmol, 41%) 2.5.7 (S)-5-((2-(methoxymethyl) pyrrolidin-1-yl)sulfonyl)-1-(pyridin-4-ylmethyl)indoline-2,3-dione (7) To a stirred solution of (S)-5-((2-(methoxymethyl)pyrrolidin-1-yl)sulfonyl)indoline-2,3-dione (1) (168 mg, 0.518 mmol) in DMF, 60% NaH in mineral oil (51.8 mg, 1.295 mmol) was added at 0  °C under Argon atmosphere. The reaction was stirred for 30 min. Then a solution of 4-Bromomethyl pyridine (130.6 mg, 0.518 mmol) in DMF was added dropwise and stirred for 4 h at 0  °C. The reaction was diluted with EtOAc and washed with saturated NaCl (20 mLÃâ€"3). The organic layer was dried over anhyd. Na2SO4 and concentrated in vacuo. The crude product was crystallized using EtOAc:Hexanes and isolated as a yellow solid. Yield: 85.8 mg (0.207 mmol, 40%) mp = 172-174  °C, 1H NMR (400 MHz, CDCl3): ÃŽ ´ 8.64 (d, 2H, J = 6 Hz), 8.11 (s, 1H), 8.03 (d, 1H, J = 8.4 Hz), 7.27 (d, 2H, J = 3.6 Hz), 6.83 (d, 1H, J = 8.4 Hz), 4.99 (s, 2H), 3.74 (m, 1H), 3.55 (dd, 1H, J = 9.6 Hz, 4 Hz), 1H NMR (400 MHz, DMSO): ÃŽ ´ 8.51 (d, 2H, J = ..Hz), 8.01 (d, 1H, J = Hz), 7.84 (s, 1H), 7.46 (d, 2H, J = Hz), 7.07 (d, 1H, J = Hz), 4.99 (s, 2H), 3.67 (m, 1H), 3.41 (dd, 1H), 3.24 (s, 3H), 3.06 (m, 1H), 1.73 (m, 2H), 1.48 (m, 2H) 13C NMR (100 MHz, CDCl3): ÃŽ ´ 183.2, 160.8, 152.5, 150.5, 137.5, 134.9, 124.9, 122.1, 117.5, 110.8, 74.8, 59.2, 59.1, 49.3, 43.3, 28.8, 24.1 IR (ÃŽ ½max) (KBr): 3443, 2929, 2361, 2342, 1747, 1616, 1478, 1450, 1417, 1365, 1344, 1330, 1199, 1181, 1154, 1130, 1115, 1070, 1041, 994 MS (HRMS): 432 (M+Na+MeOH)+, 400 (M+Na)+ 2.5.8 (S)-3-(5-((2-(methoxymethyl) pyrrolidin-1-yl)sulfonyl)-2,3-dioxoindolin-1-yl)propanenitrile (8) To a stirred solution of (S)-5-((2-(methoxymethyl)pyrrolidin-1-yl)sulfonyl)indoline-2,3-dione (1) (200 mg, 0.620 mmol) in DMF (10 mL), KOH (4 mg, 0.062 mmol) was added and stirred for 10 min at RT. Then acrylonitrile (45  µL, 0.680 mmol) was added dropwise and stirred for 2 days under Argon environment at RT. The reaction mixture was added to H2O (30 mL), and extracted with EtOAc (20 mLÃâ€"3). The combined organic layer was washed with 10% NaCl (20 mLÃâ€"3). The organic layer was dried over anhyd. Na2SO4 and concentrated in vacuo. The crude product was purified with CH2Cl2: MeOH (99:1) to afford yellowish-orange solid. Yield: 63.6 mg (0.169 mmol, 27%) mp = 134-138  °C, 1H NMR (400 MHz, CDCl3): ÃŽ ´ 8.15 (d,1H,J=Hz), 8.11(d,1H, J=.Hz), 7.18(d,1H,J=.Hz), 4.10 (t,2H,J=), 3.77(m,2H), 3.57(dd, 2H, J= Hz), 3.43(m,H), 3.40 (s,..H), 3.38(d, H, J=Hz), 3.36 (s,3H,), 3.14(m,H), 2.98,2.96,2.94, 2.86(t,2H, J=Hz), 2.04(s,..H), 1.92(m,H), 1.69 (m,.H), 1.55(s,H) 13C NMR (100 MHz, CDCl3): ÃŽ ´ 180.8, 157.8, 152.3, 137.6, 134.7, 124.9, 117.5, 116.8, 110.4, 74.8, 59.3, 59.1, 49.4, 36.8, 28.8, 24.1, 16.7 IR (ÃŽ ½max) (KBr): 3422, 2921, 2852, 2361, 2251, 1742, 1717, 1647, 1612, 1558, 1542, 1508, 1475, 1456, 1418, 1373, 1364, 1340, 1314, 1268, 1234, 1195, 1175, 1153, 1133, 1063, 1046, 991, 970, 905, 877 MS (HRMS): 470 (M+Na+MeOH)+ Chapter 3: Conclusion and Future directions The compounds 7 and 8 were both potent for caspase-3 but compound 7 show more inhibition than that of compound 8. Thus compound 7 was selected for further ruthenium caging studies. The caged ruthenium complexes could be subjected for light activation experiments where IC50 of this complex under light and dark conditions could be determined and the dark to light inhibition ratio could be explored. Then cell toxicity studies could be done in order to explore the ability of these ruthenium complexes for prevention of apoptosis in biological systems. These combined experiments and results could lead to the final goal of this research study which is the development of novel tools to prevent apoptosis in biological systems.

Friday, October 25, 2019

The Need for International Labor Standards Essay -- Economy Economics

The Need for International Labor Standards "The statesman, who should attempt to direct private people in what manner they ought to employ their capitals, would not only load himself with a most unnecessary attention, but assume an authority which could safely be trusted, not only to no single person, but to no single council or senate whatever, and which would nowhere be so dangerous as in the hands of a man who had folly and presumption enough to fancy himself fit to exercise it" (Smith, 1776: 456) Introduction There is no question that the combination of the free market and rapidly advancing technologies has integrated the world economy to a level unsurpassed in history. In the quote that begins this chapter, Adam Smith asserts that government intervention in this free market is not only disruptive but also dangerous. However, it is essential that market forces be directed in a manner that is beneficial to working people as well as the owners of large capital interests. Countries that habitually ignore labor rights should not be permitted to enjoy unfair trading advantages at the expense of their workers. Although Smith feels that governmental or supragovernmental intervention is harmful, it is essential that the rapid growth of free markets be tempered with compassion for those who are fueling this expansion. While there are a great multitude of organizations and laws that protect the interests of corporations, there is very little to protect the world’s working people. Smith, being an economist, is content to merely look at the macroeconomic picture without examining the human side of the situation. It is my thesis that the United States should make functioning and enforceable labor standards an integral part o... ...titution. http://www.ilo.org/public/english/overview/iloconst.htm#pre Regional Employment Prograe for Latin America and the Caribbean. 1978. Employment in Latin America. New York: Praeger Publishers. Ramos, Joseph R. 1970. Labor and Development in Latin America. New York: Columbia University Press. Smith, Adam. 1976. [1776]. An Inquiry Into the Nature and Causes of the Wealth of Nations. Indianapolis: The Liberty Fund. U.S. Tariff Act of 1930. 1999. http://www.ita.doc.gov/import_admin/records/apo/title7.htm Van Grasstek, Craig. 1999. "Labor Rights." In Miguel Rodriguez Mendoza, et. al. 1999. Trade Rules in the Making. Washington, D.C.: The Brookings Institution. World Trade Organization. 1999. The WTO Agreements. http://www.wto.org/wto/inbrief/inbr03.htm World Trade Organization. 1999. The WTO in Brief. http://www.wto.org/wto/inbrief/inbr00.htm

Thursday, October 24, 2019

Elements of Art Essay

Each work of art has elements of unity and elements of variety. Variety balances out unity and keeps things interesting. The center of interest or focal point is the place the artist draws your eyes first. Artists use balance in order to construct paintings. These elements of art such as unity, variety, focal point or area of interest and balance will be used to give you a better understanding. Examples from â€Å"Giorgio de Chirico† (The Mystery and Melancholy of a Street, 1914), â€Å"Pablo Picasso† (Seated Nude, 1909, Spanish), â€Å"Francisco de Goya† (Saturn Devouring His Children, 1819) and â€Å"Piet Mondrain† (Devotie, 1908) will be used merely as informational pieces to convey these elements of art. Some ways of creating unity might be to make everything in a painting a similar color, or a series of repeating shapes, or a consistent texture made with brush strokes. At times, variety coerces the eye to pay particular attention to that object. Variety occurs when an artist creates something that looks different from the rest of the artwork. For example, â€Å"Giorgio de Chirico†, (The Mystery and Melancholy of a street, 1914) depicts unity and variety with light/dark (cooler and warmer hues) various shapes and lines. Unity is depicted in the repletion of the square windows, directly above the repletion of archways alongside two buildings. Variety is depicted in the chosen colors and various shapes and lines. In â€Å"Chirico’s† oil canvas, variety is applied by the contrasting of warmer hues aside the cooler hues (light and dark) conveying both space/distance and receding/closeness. The unity and variety in this canvas is brought together through the repetition depicted on the two buildings, the warmer hues and light expressing depth and the cooler hues and dark expressing the closeness. These same principles of the elements of unity and variety, are depicted in â€Å"Picasso’s, Goya’s and Mondrain’s† Canvases. Artists emphasize certain parts of their artwork to stand out and grab your attention. This is called a focal point or area of interest. An artist applies a focal point or area of interest for the coercion of the viewer’s eyes. In â€Å"Picasso† (Seated Nude) the area of interest is establish with the choices of color. He has placed warmer hues (red, orange and yellow) throughout the body of a nude man sleeping. â€Å"Picass† emphasizes the man by a  focal point, using light to contrast the man’s shoulder, rib, chin and ear, thus attracting the eye to various cooler hues and forms. In â€Å"Francisco de Goya† (Saturn Devouring His Children) the coercion of the viewer is brought about with the contrasting colors. Here â€Å"Goys† has used dark (cooler) hues surrounding a man and his malice expression. Emphasizing the man are light (warmer) hues, thus depicting the devouring of the carcass of a woman. The devouring is emphasized by, blood (red hue) dripping down her arm from inside the man’s mouth. The viewer’s eyes are first coerced to the facial expression on the man’s face. These same principle of the element of the focal point or areas of interest, are depicted in both â€Å"Chirico’s† and â€Å"Mondrains’s† canvases. Balance is one of the elements of art, which is very important to artists and their work. By using balance to guide our attention around a work, artists give structure to our perception of it. Their are three different elements of balance an artist uses to construct their paintings. They are, (symmetrical balance), which means both sides of an imaginary line are the same, (asymmetrical balance), meaning each side of an imaginary line are different yet equal and (radial balance), meaning lines or shapes grow from a center point. However, in the reference pieces of, â€Å"Piet Mondrain† (Devotie) and Gorigio de Chirico† (The Mystery and Melancholy of a Street), â€Å"Pablo Picasso† (Seated Nude) and â€Å"Francisco de Goya† (Saturn Devouring His Children) an (asymmetrical) balance was used to construct these canvases. Both sides of this imaginary line are different yet equal, thus bringing together the other elements of art. Concluding, unity is the feeling that everything in the work of art works together and suggest that it belongs. Variety balances out unity and keeps things interesting. A focal point or areas of interest are used for the coercion of the viewer’s attention. Lastly, an important factor is balance. Artists use balance in order to construct a painting. All of the elements of art discussed here play an important role in designing of art. â€Å"Giorgio de Chirico† (The Mystery and Melancholy of a Street, 1914), â€Å"Pablo Picasso†Ã‚  (Seated Nude, 1909, Spanish), â€Å"Francisco de Goya† (Saturn Devouring His Children, 1819) and â€Å"Piet Mondrain† (Devotie, 1908) were used merely as informational pieces to convey these elements of art.

Wednesday, October 23, 2019

Children and Advertising Essay

Children are the most vulnerable to advertising. They are the most susceptible because their minds are immature and are unable to distinguish good advertising versus bad advertising. Television commercials have a huge impact on how it affects children. Commercials are the biggest form of advertisement geared toward children. â€Å"Children between the ages of two and eleven view well over 20,000 television commercials yearly, and that breaks down to 150 to 200 hours† (MediaFamily, 1998). Television advertisements geared towards children have the biggest market by far. â€Å"The advertising market in 1997 showed that children under twelve years of age spent well over twenty-four million dollars of their own money on products they saw on television† (Kanner & Kasser, 2000). Kanner and Kasser go on to say that advertisers have even hired psychologists as consultants to help the advertisers come up with fine-tuned commercials that attract children (2000). In 1999, a group of psychologists wrote to the American Psychological Association asking them to restrict the use of psychological research by advertisers to help sell their products to children. This letter also called for, â€Å"an ongoing campaign to probe, review and confront the use of psychological research in advertising and marketing to children† (Hays 1999). â€Å"Some child advertisers boldly admit that the commercials they use exploit children and create conflicts within the family† (Kanner & Kasser, 2000). Kanner and Kasser also say that, advertisers work very hard to increase their products â€Å"nag factor†. This term often refers to how often children pressure their parents to buy the item they saw advertised on television (2000). The effects on advertising to children can be very noticeable. There have been numerous studies done that document that â€Å"children under eight years old are  unable to understand the intent of advertisements developmentally, therefore  they accept the advertising claims as true† (Shelov, S., et. al., 1995). â€Å"The American Academy of Pediatrics continues to say that children under the age of eight cannot distinguish commercial advertisements from regular television programming. In addition, advertisers have become sneaky about the way they convey their product† (Shelov, S., et. al., 1995). For example, when the announcer says, â€Å"some assembly required† for a toy, it is at the end of the commercial and the announcer speaks very quickly. Sometimes, the disclaimers are written in small print and shown at the end of the commercial, and are not understood by most young children. Excessive television viewing often times causes higher obesity rates among children. Children often see foods that are high in fat and calories advertised on television and end up consuming too much of these foods. The American Academy of Pediatrics says that the bombardment of advertising for food and toys to children may result in the increased number of conflicts between parents and children. The American Academy of Pediatrics believes that, â€Å"advertising directed toward children is inherently deceptive and exploits children under eight years of age† (Shelov, S., et. al., 1995). Cigarette advertisements seen in magazines or billboards are an area that is in need of change. â€Å"In 1988, teenagers alone spent well over $1.26 billions on cigarettes and smokeless tobacco† (Shelov, S., et. al., 1995). This number has rose significantly since 1988, and continues to rise rapidly. Although there is an advertisement ban of cigarettes on television, logos and billboards are prominent in televised sports. This makes television advertising of cigarettes very prominent. There were two studies down in the early 1990s on cigarette advertisements. This study looked at how familiar children were with the Old Joe Camel logo on Camel cigarettes. â€Å"These studied revealed that nearly one third of three-year-old children, and almost all of the children over the age of six could identify the Joe Camel logo. By the age of six,  the Joe Camel logo was as familiar to children as Mickey Mouse† (Shelov, S., et. al., 1995). The advertising campaign for Camel cigare ttes was more  effective among children and adolescents than it was among adults. â€Å"In 2000, a study showed that on average, eighty-two percent of children in the United States see the numerous magazine advertisements for cigarettes† (Siegel, 2001). Alcohol advertisements on television are another touchy area. â€Å"American children view nearly 2000 beer and wine commercials every year on television and these ads specifically target young people by showing the â€Å"advantages† of drinking† (Shelov, S., et. al., 1995). There is a public health interest in trying to protect children from alcohol and cigarette advertisements. â€Å"The American Academy of Pediatrics recommends banning all tobacco and alcohol advertisements in the media, but some researchers believe that counter-advertising advertisements are more effective† (Shelov, S. et. al, 1995). Recently though, there have been counter-advertising campaigns aimed reducing the number of young people who smoke. In 2001, the â€Å"I Decide† campaign started airing on television. â€Å"This anti-smoking campaign, sponsored by the Illinois Department of Public Health, is the current anti-smoking campaign in Illinois. The â€Å"I Decide† advertisement aired on local ABC, CBS, NBC, FOX, and the WB networks in Winnebago, Macon, Champaign, Tazewell, Sangamon, Peoria, and McLean counties. I Decide advertisements also run on the following cable networks, ESPN, MTV, BET, Comedy Central, and TBS† (Illinois Department of Health, 2002). Alcohol and cigarette advertisements are still around and promote the wrong message to children. The effects on advertising to children can be very evident. There are laws and organizations out there to help protect children from advertisers. Advertising is a powerful tool in American culture today; it exists solely to sell  products and services. Advertising to children has not always been legal. ‘In 1750 BC, the Code of Hammurabi made it a crime to sell anything to a child without obtaining consent† (Shelov, S. et. al, 1995). Things in the advertising industry have changed significantly since then. In 1978, Michael Pertschuk, the chairman of the Federal Trade Commission, tried to restrict television advertisements aimed at children under thirteen. Due to a  ferocious lobbying campaign, his proposal did not pass (Kanner & Kasser, 2000). In the last fifteen years or so, there have been a few laws passed about advertising to children on television. â€Å"The Children’s Television Act of 1990 mandated that all broadcasters must show either educational or instructional children’s programming in order to renew their broadcasting license. This act also limits commercial time to ten and a half minutes per hour on weekends, and twelve minutes per hour on weekdays† (Shelov, S. et. al, 1995). Shelov and others continue on to say that, the main problem with this law is that television stations can cite public service announcements to fulfill the Children’s Television Act. They also said that this Act also established the Children’s Television Endowment Fund, which encourages the development of new educational programming for children (1995). There is currently an organization called the Children’s Advertising Review Unit (CARU) that is part of the Council of Better Business Bureaus. CARU reviews advertising and any promotional materials directed at children in the media (Council of Better Business Bureau, 2000). The Council of the Better Business Bureau continues on to say that CARU’s main duties are to review and evaluate child-directed advertisements in all forms of media, and to review the online privacy practices if they affect children. â€Å"If the advertisements are inconsistent or misleading with CARU’s Self-Regulatory Guidelines for Children’s Advertising, they seek change through the voluntary cooperation of advertisers† (2000). They work closely with advertisers to promote educational messages to children that are consistent with the  Children’s Television Act of 1990. The CARU’s Self-Regulatory Guidelines for Children’s Advertising gives criteria for evaluating advertising that is child-directed. There continues to be many more organizations out there that help protect children from advertisements. Until advertisers stop targeting children, there will always be a need for organizations that help protect children from advertisemen ts. It seems to me that the best ways to protect children from what adults fear will harm them- alcohol, drugs or advertising, is to set an example by our own behavior. We can talk with them  and encourage them to talk about the subject. The effects of media are minimized when parents talk to children about them. Whether we like it or not media education begins at home. The Internet is also another medium where children are at risk. Numerous web sites feature advertising to children. † In fact, many web sites are set up exclusively for children, such as, Nickelodeon’s and Disney’s. A growing number of web sites are now eliciting personal information. Some even use incentives and gifts to get e-mail addresses or other personal info† (DeFalco 1996). There is a very important law that helps protect children on the Internet. In April 2000, the Children’s Online Privacy Protection Act of 1998 (COPPA) took effect. â€Å"This Act says that if any personable identifiable information about a child under thirteen years of age is collected online, a privacy notice must be posted† (Federal Trade Commission, 2000). â€Å"Website operators must also get parental consent before collecting, using, or disclosing any personally identifiable information. In addition, this Act allows parents to review any personal identifiable information collected from their children. When the parents review their child’s personal information, they have the right to revoke their consent and ask that the information they collected about  their child is deleted from that website† (Federal Trade Commission, 2000). The Federal Trade Commission also says that site operators are required to list any third parties that the website operator gives information to, about a child. If the list of third parities changes, the website operator must have parental consent again (2000). The Center for Media Education (CME) is an organization that is dedicated to protecting children online by visiting websites to make sure that the COPPA rules are being enforced. CME is a national nonprofit organization, which dedicates itself to creating quality electronic media culture for children  and youth, for their families, and for the community. Their research focuses on the potential for children and youth in this rapidly evolving digital media age. â€Å"Over the years, CME has been the leading force in expanding both children’s educational television programming and fostering television and Internet safeguard for children and teens† (Center for Media Education, 2001). The Internet is an area that is growing rapidly, and is one area where children are the most vulnerable to advertising. Advertising to children also has many positive benefits, for both the marketers’ pocket and for the development of the child. â€Å"Kids are little human beings that need to grow up and learn valuable lessons, that throughout their lives they are going to want things that they can not have† (Fletcher and Phillips 1998). Also, in the media demanding society that we live in, learning how to decipher the truth of advertising messages is critical. Likewise, advertisers argue that parents still have ultimate control over household purchasing decisions. This presents an opportunity for children to learn to respect authority, which is another step critical to a child’s development. Additionally, advertising money helps pay for educational opportunities. â€Å"Without  advertising there would be a lot less toys and a lot less children’s programming such as Nickelodeon and the Cartoon Network† (Fletcher and Phillips 1998). Marketers are also using their advertising dollars to benefit education in other ways. â€Å"Cadbury, Pentax, C&A and Coca-Cola are advertising in textbooks and other learning materials such as wall charts† (Marshall, 1997). Due to under-funded school budgets, money may have not been otherwise available to pay for these supplementary educational materials. Advertising to children definitely has both positive and negative benefits that help and hinder the development of the child. Regardless of the effects  that marketers have on our youth, advertisements will continue. Mainly in part due to the high amount of dollars involved. New areas of the ethical debate will also continue to grow. Some of these new issues are the controversies that are arising from the exponential growth of the Internet and of global marketing. Both governmental agencies and parents need to be aware of this continuing debate as these new issues arise. Also, awareness needs to be developed on how these new issues affect children based on existing psychological research so that parents and the government can react in the best approach possible. The boundaries in media and advertising are rapidly changing. Young people will benefit more by learning to make intelligent media (and consumer) decisions than by attempts to limit their exposure to information that they will inevitably be exposed to regardless of the regulatory climate. Works Cited Center for Media Education. (2001). About the center for media education (CME). Retrieved March 20, 2002, from Http://www.cme.org. Council of Better Business Bureau. (2000). About the Children’s Advertising Review Unit (CARU). Retrieved January 30, 2002, from Http://www.caru.org/carusubpgs/aboutcarupg.asp. Federal Trade Commission. (2000). How to protect kids’ privacy online. Retrieved January 31, 2002, from Http://www.ftc.gov/bcp/conline/pubs/online/kidsprivacy.htm. Fletcher, Winston and Phillips, Richard. (1998, May 29). â€Å"A children’s character for advertising; analysis of advertising which targets children.† Campaign, page 28. Hays, C.L. (1999, October 31). Group says ads manipulate children with psychology. New York Times, p. C6. Illinois Department of Health (2002). I decide. Retrieved March 20, 2002, from Http://www.idecide4me.com/html/campaign/schedule.asp. Kanner, A.D., & Kasser, T. (2000). Stuffing our kids: Should psychologists help advertisers manipulate children? Retrieved January 30, 2002, from http://www.commercialalert.org/ Marshall, Caroline. (1997, September) â€Å"Protect the parents; exploiting parents and children via advertising.† Management Today, Page 92. Mediafamily (1998). Children’s advertising and gender roles. Retrieved January 31, 2002, from Http://www.mediaandthefamily.org/research/fact/childgen.shtml. Mediascope (2000). Children, health, and advertising. Retrieved January 31, 2002, from Http://www.mediascope.org/pubs/ibriefs/cha.htm. Shelov, S., Bar-on, M., Beard, L., Hogan, M., Holroyd, J.H., Prentice, B., Sherry, S.N., & V. Strasburger. (1995). Children, adolescents, and advertising. American Academy of Pediatrics, 95(2), 295-297. Siegel, M. (2001). Tobacco ads still aimed at kids, experts advise stronger protection. Ca, 51(6), 324-326.

Tuesday, October 22, 2019

Supporting Goals of International Women’s Day Essays

Supporting Goals of International Women’s Day Essays Supporting Goals of International Women’s Day Essay Supporting Goals of International Women’s Day Essay The popular image of women’s liberation and emancipation in the United States is that of bra burning females of the 1960’s. Burning of items of feminine wear on 7 September 1968 has been permanently etched into American women liberation history as a revolution though writers as Berkeley (1999) conclude that this was an innocuous sub event in the overall protests by members of New York Radical Women. From this glamorized event to the more substantial issue of International Women’s Day, America as well as the World has come a long way. The Eighth of March every year sees the world celebrating International Women’s Day (IWD). This is a significant event and 2007 will mark the 30th anniversary of IWD. The UN established IWD in 1977 and provides an opportunity to celebrate the progress made in empowering women and to assess future challenges. IWD encourages the world to consider steps to bring about equality for women and girls in all th eir diversity and to celebrate the collective power of women past, present and future. International Women’s Day, recognizes both the great strides women have made and the critical need to end discrimination and violence against women globally. It is therefore significant that a Resolution was introduced in the US House of Representatives on 8 February 2007 supporting the goals of the IWD and â€Å"encourages† the President of the US â€Å"reaffirm his commitment to pursue policies to protect fundamental human rights and civil liberties, particularly those of women and girls.† (Resolution, 2006). The Foreign Affairs Committee of the US House of Representatives on 8 February passed House Resolution No. 149, a resolution sponsored by the Democrat Representative from Illinois, Jan Schakowsky.   The bill had 83 co-sponsors, a majority of whom were Democrats. The Resolution calls on the US House of Representatives to support the goals of International Women’s Day, honour women around the world who have fought and continue to struggle for equality in the face of adversity, and reaffirm its commitment to ending discrimination and violence against women and to pursuing policies that guarantee the basic human rights of women and girls both in the United States and in other countries.   The resolution also encourages the President to reaffirm his commitment to pursue policies to protect the health and human rights of women and girls; and to issue a proclamation calling upon the people of the United States to observe March 8th, International Women’s Day, with appropriate programs and activities.   The resolution will now go to the full House for a vote. This resolution was considered in Committee, which has recommended that the House as a whole should consider it. Although the Resolution has been placed on a calendar of busine ss, the majority party leadership will determine the order in which bills are considered and voted on. On February 15, 2007 the House Foreign Affairs committee ordered it to be reported by Voice Vote. This bill is in the first stage of the legislative process where the bill is considered in committee and may undergo significant changes in Mark Up sessions. The bill has been referred to the Committee in the House on Foreign Affairs and House Judiciary. In the US House of Representatives, a simple resolution is a legislative proposal that does not require the approval of the other chamber or the signature of the President and does not have the force of law. Simple resolutions are used only to change the internal rules of one of the chambers of Congress or to express the sentiments of one of the houses. On February 8, 2007 the Bill was referred to the Committee on Foreign Affairs, and in addition to the Committee on the Judiciary, for a period to be subsequently determined by the Speaker, in each case for consideration of such provisions as fall within the jurisdiction of the committee concerned. On February 15, it was put up for Committee Consideration and a Mark-up Session was held. It is of interest that on the same day Eddie Bernice Johnson as a Democrat from Texas introduced a resolution (No. 146) in the Foreign Affairs Committee expressing the sense of the House that the United States should take action to meet its obligations, and to ensure that all other member states of the United Nations meet their obligations, to women as agreed to in United Nations Security Council Resolution 1325. This related to women, peace, and security. The Resolution also states that the United States should fully assume the implementation of international law relating to human rights that protects the rights of women and girls during and after conflicts. Resolution no. 149 in its present form envisages empowering women globally. It is recognised that women have advanced and they account for 80 per cent of the world’s 70 million micro-borrowers, 75 per cent of the 28,000 United States loans supporting small businesses in Afghanistan are made to women, and 11 women are chief executive officers of Fortune 500 companies. (Resolution, 2006). The Sponsor of the Resolution aptly noted while introducing it in the House. She said it was important for Congress to put on record this resolution, which supported the goals of equality and opportunity and added that it was â€Å"a meaningful step.†Ã‚   (Press Release, 2007). It is acknowledged that women have made tremendous gains across the world, but the reality is that women still face political and economic obstacles, struggle for basic rights, face the threat of discrimination, and are targets of violence all over the world. But worldwide women remain vastly underrepresented in national and local assemblies, accounting on average for less than 10 per cent of the seats in parliament, except for in East Asia where the figure is approximately 18 to 19 per cent, and in no developing region do women hold more than 8 per cent of the ministerial positions. Additionally, it should be noted that worldwide, 130,000,000 girls and young women have been subjected to female genital mutilation and estimates are that 10,000 girls are at risk of being subjected to this practice in the United States. (Resolution, 2006). According to the Congressional Research Service and the US Department of State, illegal trafficking in women and children for forced labor, domestic servitude, or sexual exploitation involves between 1,000,000 and 2,000,000 women and children each year, of whom 50,000 are transported into the United States. This is a real challenge facing the sole superpower in the world today.   International policies on women have evolved through interaction of a number of processes. Taking the example of European Union, it can be seen that despite being new coagulation of states the policy for greater autonomy to women was evolved through the process of a number of factors such as autonomy of institutions, state autonomy, policy structuring, influence of past policies and factors which are beyond the preferences of states. (Ellina, 2003). Thus the growth of International Women’s Day movement is not restricted to United States but extends across the entire Western World. The United States must follow the lead though on the issue of women’s rights the record in the US is mixed. One might take one example. The 19th Amendment to the Constitution was first introduced in the US Congress in January 1878. The Amendment was ratified on August 18, 1920. But it took 52 years for the 19th Amendment to be ratified. The Women’s rights and liberation movement has a very long history. This can be traced back to as early as 1848 and continues to the present day. (D’Itri, 1999). Jane Austen was the proverbial women liberator who kept writing novels more for poseterity while attempting to keep the writings hidden from her relations (Lloyd, 1971). But ladies were particularly active in activities such as raising funds through charity bazaars throughout history (Lloyd, 1971).Between 1878 and 1920, champions of voting rights for women worked tirelessly, but their strategies varied for achieving the goal. Some women focused on a strategy of getting the government to pass suffrage acts in each state – nine western states had adopted woman suffrage legislation by 1912. Others took the path of legal action by challenging in the courts male-only voting laws. Many suffrage groups used tactics such as parades, silent vigils, and hunger strikes. There are no simple patterns to voting on women in the US Congress. As awareness grows in the national and state legislatures the voting model may also become more complex. Therefore it should not be assumed that the voting pattern regarding women, children, health and so on will be the same as in the case of foreign affairs or strategic defence matters. One should then look beyond the liberal-conservative model on this issue and see the emergence of a consensus on the issue of supporting the international women’s day as a matter of national US policy. This is what makes one suggest that this resolution might be passed in the Congress as a bill giving US women a major role in the global women’s movement. What this depends on is whether the ideological divide in the US Congress can be bridged progress made on this issue keeping in mind its multi-dimensional aspects. The fructification of focus on the International Women’s Day is thus the result of a large number o f men as well as women over more than 150 years of history (D’Itri, 1999). The US Congress thus needs to support the motion most vehemently.

Monday, October 21, 2019

english 115 Essay

english 115 Essay english 115 Essay English 115/76 "Wal-Mart is all about the money" "At Wal-Mart we have a 10 foot attitude." I will too if I steal my employees money. At the Wal-Mart stores they do not only have always low prices, they also have always low wages for their employees. They have a very well structured program to control and train their employees to make them believe that Wal-Mart is a great place to work. I t is crucial that the very first day that you start working at Wal-Mart they play they training-brainwashing videos. Some of these videos consist of telling you that you made a good choice and that you can make a difference by working at Wal-Mart. The most important institution in American society are school, work and family. Interestingly, Wal-Mart focuses on these fundamental institutions to brainwash their employees by using very philosophical phases. "You do not need to have a career to work at Wal-Mart, at Wal-Mart you can start your own career." This is one of the famous phases they use to brainwash people. They make their employees believe that the work they perform at Wal-Mart is enough to call it a career. They imply that you do not need to go to school to get a career; here at Wal-Mart we make you feel that you have a career. Like in most career you have to work hard to get through and eventually obtain a degree. At Wal-Mart you work very hard and never get through or earn any kind of degree or a better wages. It is true that you do not need a career to work at Wal-Mart because if you had one you would not be seeking for a job at Wal-Mart. It is not true that you can start your own career at Wal-Mart because if you want to have a real career, for that you will go to school. "You do not need anyone to speak for yourself, at Wal-Mart you can speak for yourself." This phase refers to a video on Unions. In this video we learn of how expensive and unnecessary it is to waste your money on having someone to represent you. It explains that if employees would have a Union if will make it u npleasant and difficult to work together. It also explains that the employee would not be able to communicate directly with their supervisors. Wal-Mart wants to make your job easy and pleasant for you, so, that is why they have an "open door" a free way of communication. The Union Organization will guarantee workers better wages and knows what are the workers' rights. It is as if we had a lawyer to represent us in legal matter. Wal-Mart does not want people to be represented by the Union because that means that they will have to pay more money for their employees and would be able to brainwash their employees. "At Wal-Mart we are a family, and like a family, we care." Wal-Mart wants their employees to feel that they have a family working environment to make them happily do everything they want .

Sunday, October 20, 2019

The Roman Salute Morituri te salutant

The Roman Salute Morituri te salutant As the toga-wearing combatants face each other across an unforgiving circle of sand, they turn toward their laurel-wreathed eminence, snacking on grapes, and bellow: â€Å"Ave, Imperator: Morituri te salutant!† This staple of swords-and-sandals fiction, the gladiator’s salute to his Emperor, in fact likely never happened. Only a handful of Roman historians, long after the fact, mention the phrase - literally, â€Å"Hail, Emperor, those who are about to die salute you† - and there’s little indication that it was in common usage in gladiatorial combat or any other games in ancient Rome. Nonetheless, â€Å"Morituri te salutant† has gained considerable currency in both popular culture and academia. Russell Crowe mouths it in the film â€Å"Gladiator,† and it’s used over and over by heavy metal bands (most cheekily by AC/DC, who tweaked it â€Å"For those about to about to rock, we salute you.†). Origin of the Phrase Where did the phrase â€Å"Morituri te salutant† and its variations (†¦morituri te salutamus, or â€Å"we salute you†) come from? According to the historian Suetonius’s Life of the Divine Claudius, the account of that emperor’s reign in his compendium The 12 Caesars, written around 112 A.D., it stems from a peculiar event. Claudius had commanded an immense public works project, the draining of Lake Fucino for agricultural land. It took 30,000 men and 11 years to complete. In honor of the feat, the emperor ordered up a naumachia - a mock sea-battle involving thousands of men and ships - to be held on the lake before it was emptied. The men, thousands of criminals otherwise to be hanged, hailed Claudius thusly: â€Å"Ave, Imperator: Morituri te salutant!† upon which the emperor replied â€Å"Aut non† - â€Å"Or not.† After this, the historians disagree. Suetonius says that the men, believing themselves pardoned by Claudius, refused to fight. The emperor ultimately cajoled and threatened them into sailing against one another. Cassius Dio, who wrote about the event in the 3rd century B.C., said the men merely pretended to fight until Claudius lost patience and commanded them to die. Tacitus mentions the event, some 50 years after it happened, but doesn’t mention the plea by the gladiators (or more precisely, naumachiarii). He relates, though, that a large number of prisoners were spared, having fought with the valor of free men. Use in Popular Culture In addition to the above-mentioned films and rock albums, Te morituri†¦ is also invoked in Conrad’s Heart of Darkness and James Joyce’s Ulysses.

Saturday, October 19, 2019

Are maritime transportation loosing out its competitive advantage over Essay

Are maritime transportation loosing out its competitive advantage over other modes of transportation like air and road transportation Justify your views - Essay Example The existence of maritime routes or in other words the fact that regular itineraries are existent is said to be the concept of maritime transportation.1 There have been quite a few technological transformation which have had the potential of affecting water transports, the most recent one is that of the modification of water canals, increasing the size as well as the automation and specialization of vessels. However it has been noted that the increase in maritime traffic has had the consequences of major ecological disasters.2 It needs to be pointed that the bulk of circulation that takes place through maritime transportation is limited along coast line and further three continents have limited fluvial trade. The majority of maritime infrastructure requires a huge maintenance cost for the modification of waterways or investments on the expansion of capacities of ports, which is very expensive and on the other hand takes a lot of space.3 It needs to be pointed out at this point that not every country has direct access to the ocean, these countries are better known as the maritime enclave that is they have difficulties in undertaking maritime trade since they are not part of what is called the domain of maritime circulation. So it requires agreements between neighboring countries to have access to the facilities of port via road, rail line or any other possible alternative. It is important to keep in mind that the countries which are enclave are not excluded from international trade or in other words it can not be implied that they can not take part in international trade, but the problem that they face are that they face higher costs which might lead to weakening of economic development.4 It has been proved that due to the establishment of commercial linkage between continents, maritime transport has been able to sustain a substantial amount of traffic which covers approximately 90% of intercontinental transport demand of

Friday, October 18, 2019

Being Black in the 1950's Essay Example | Topics and Well Written Essays - 1000 words

Being Black in the 1950's - Essay Example Being black in the 1950s meant that one had to cope with a discriminative education sector. Blacks had to travel long distances to school, which were scarce and were often poorly constructed, lacked books and other equipments, and had small classes that were crowded and that were taught by few unqualified teachers who had to be black. The whites however had many well-built and well-equipped schools taught by qualified white teachers. A Black man graduating from the aforementioned schools would therefore be unable to compete for opportunities with the White man and therefore the systems was partly designed to ensure that the White man remained superior to the Black man. A Black man would not get a good job and whenever he got one, he was given lower salaries than the Whites were. A survey done in 1950 showed that a Black man would get almost half of the Whites’ salary for the same work and position. This discrimination was extended the public sector and political offices â€⠀œ the white had put laws and practices to deter a black man from ascending to power or being elected. Such measures would include paying of taxes before being registered to vote and since Blacks were poor, they could not afford this and many were therefore locked out. There was also an illiteracy test for people who wished to be registered as voters. This locked out many black men who could not afford education due to poverty and this minimized the chances of black men voting their fellow blacks in. This meant that the blacks had no representation and therefore, they were not involved in making laws. The white man therefore made laws that did not favor the black man. A Black man also endured racism even in public places. For instance, he could not use the same public utilities as the White – there were public toilets for the Whites and others for the blacks. A black man could not enter the same joints and restaurants with the whites. He had to endure poor and low cost facili ties and utilities wherever he went. The transport industry is another place where the black man was discriminated. The black man, as if to affirm his position in the society, had to sit at the back rows of buses with their seats marked â€Å"colored people.† In some states like Alabama, there was a law that whenever a white man lacked a seat, a seated black man was supposed to give his seat to the white. Any black who dared oppose these rules was taken to court and subsequently jailed, as it was the case with Rosa Parks, who refused to give up her seat to a white person. She was jailed, sparkling the blacks’ bus boycott of 1955. A black man was subject to torture, intimidation and oppression whenever he tried to resist any discriminative law or tried to liberate himself. The whites had formed fear-inflicting groups like Ku Klux KIA, which attacked the opposing blacks, tortured them and scared them while concealing their identity. They would burn a black man’s h ouse, destroy their properties or even kill them. In 1955, the whites burned and destroyed the house and property of Martin Luther while he led the bus boycott. He himself was incarcerated. Earlier in the year 1954 when the blacks’ Supreme Court declared that segregation in schools illegal, the group and some youths organized attacks and demonstration to scare off any black man who dared set foot in a whites’ school. Many were scared away and only the brave remained.

Referring to at least three of the case study countries,'Liberal Essay

Referring to at least three of the case study countries,'Liberal Democracy is an ideal which many countries believe in but seldo - Essay Example Liberal democratic execution and performance incorporates the practices of the existing liberal governments. Moreover, there are some international standards that any government must fulfill to qualify as a liberal democratic government. However, differences experienced in liberal democracies globally are brought about by variations in the implementation of liberal democratic principles. The comparison between liberal democracies in the world governments is exceedingly complicated by the existing differences in the definition of the term in diverse political, social, and economical settings. However, liberal democracy principles are universally based on the three main principles, the regime longevity or endurance, liberal democratic value delivery and government efficacy (Skinner 1998, p. 89). Various countries have a strong acuity on the liberal democracy principles, its standards and importance in political, social and economic development. However, a good number of countries that value liberal democracy ideas have a setback in achieving its intended objectives. The essay will entail a case study expounding on the manner in which different countries implement the liberal democracy ideologies and principles. ... To begin with, the United States of America has federal political institutions comprising of 50 states and the District of Columbia. In a federal government structure like that of the United States, the power of the executive is separated from the judicial functions in line with liberal democracy principles. The constituents have executive self-government powers, which lead to economic inequality among different states in the United States of America (Graham, Farkas and Grady 2007, p. 345). The United States of America president is elected after every four years with a two term limit. Although millions of people participate in the election, the president is not elected directly by the country’s citizens but by 538 highly regarded members of an Electoral College. This is slightly in contrast to the basic tenets of a liberal democracy whereby the general public should have the mandate of electing their leaders including the president as it is the case in Russia and France. In th e United States, the Congress which is the country’s legislature is made up of 435 house of representative members and 100 hundred senate members. Each state is represented by two senators for a term of six years. Members in the House of Representatives serve for a period of two years and are elected from single member constituencies. Members of the Congress who are the representatives of the general public have the power to approve the government’s financial outlays as well as legislations. In developing countries, the president has the absolute power of appointing all government officials. In the United States, the president can veto legislations but with the support of two third majority vote

Art Assignment Example | Topics and Well Written Essays - 250 words - 1

Art - Assignment Example Marilyn was an icon that won the hearts of many American G.I.s much to the dismay of Joe Di Maggio. Visually, half of the dyptich is expressed in bright colors while the other half is black and white to the point if being blurred. Many critics interpreted the dark diptych as the mortality of Marilyn Monroe. Also, the repetitive images represents the ability of technology to command attention or power. Contrastingly, the Mona Lisa is bereft of any technology. It is purely a work of art that depicts a woman who belonged to high-society. Her posture during the painting reflects a woman with breeding and gentle nature. Her face is given emphasis by the contrast of dark colors in the background. Her gaze silently communicates many messages to the viewer. Another comment by Farago ( 2009 ) interprets the placement of Lisa’s hands ( right resting on the left ) as Leonardo’s portrayal of Mona Lisa as woman of virtue and a loyal wife. Andy Warhol also created serigraph prints of Mona Lisa as a way of reducing her popularity and converting her to a popular icon such as Marilyn Monroe. Nevertheless, Mona Lisa cannot be reduced to a modern icon, her tasteful portrait and enigmatic smile has never failed to attract even the harshest critics. Besides, her true nature as Lisa del Giocondo, a wife of a wealthy Florentine silk merchant cannot be denied. However, no matter how differ ent the two artworks maybe, the appeal of the feminine is always used in expressing

Thursday, October 17, 2019

Which reflections of Islam are in the tale of Maruf the Cobbler Essay - 2

Which reflections of Islam are in the tale of Maruf the Cobbler - Essay Example Maruf is a virtuous man. He tries to keep the peace and fulfill his responsibilities to his wife according to the requirements of the Islamic law. He does this even when his wife is senseless and cruel (Holy Quran 30:21). Moreover, when Maruf hands over alms to the poor, he goes to the mosque at the hour of prayer. It reflects Islamic beliefs since it is the Muslims who go to pray in a mosque (Kritzeck 307). Third, when a person is offended by another, he/she takes the dispute to the Kazi or the high court according to the Muslim culture. This happens in the story when Maruf’s wife goes to accuse her husband falsely to the Kazi after a domestic dispute over the cake with bee honey (Kritzeck 300). Fourth, the story refers to Allah as their Supreme Being and creator of heaven and earth. This reflects Islamic belief since it is the Muslims who call their God Allah (Kritzeck 300). Fifth, in the marriage ceremony between Maruf and the king’s daughter, the king calls the sheik Al-Islam to write the marriage certificate. It is according to the Muslim culture whenever there is a marriage between two people (Kritzeck 311). Sixth, when the king heard about the richness of Maruf, he gets greedy and decides to give his daughter in marriage to Maruf. He does this with the aim of bringing the wealth of Maruf into his family. It is according to the Muslim culture when he a man marries the king’s daughter, all that he owns becomes part of the king’s family wealth (Kritzeck 308). Seventh, according to the Islamic culture, a woman once given into marriage to a man, she is supposed to stand by him whether he was in the wrong or the right. It is considered her duty to her h usband. We see this happening when the princess sides with Maruf even after he reveals the shameful secret to her (Kritzeck 314). Eighth, Muslims believe in a jinni, a powerful spirit being. When Maruf escapes from the palace, he meets a farmer tilling his farm. On the man’s land, Maruf

Wednesday, October 16, 2019

TEDSBOX Packaging and the benefits in the Food and Beverage Industry Essay

TEDSBOX Packaging and the benefits in the Food and Beverage Industry - Essay Example The main component of the packaging system is creating a controlled environment. Temperatures form the most significant component of CCPs. As such, with the packaging system, temperatures are controlled to ensure that the contents are transported at a favorable environment. The food and beverage industry is a beneficiary of the new system. The process of food and beverage production is a cyclical process. It commences from production to packaging, distribution, and consumption. In an instance whereby food products are transported but reach the customer while stale, the products are not fit for consumption. With the TEDSBOX, the environmental deviation systems are put on track to ensure that the cycle is efficient. If the entire food and beverage consignment reaches the consumer in the desired quality, the production process is considered as efficient; hence, maximizing sales. Tracking the environmental deviation system is a new technology that ensures that the production to consumption process is complete with minimal wastage. As such, the new packaging eliminates the chancing that distributors relied on to bridge the products from producers to consumers. Distributors can control the environment in which they transport different food and beverage products; hence, reducing the risk of contamination and obsolescence (Perishable Goods Shipping Problems). Bryan, F. (1992). Hazard analysis critical control point evaluations: A guide to identifying hazards and assessing risks associated with food preparation and storage. Geneva: World Health

Which reflections of Islam are in the tale of Maruf the Cobbler Essay - 2

Which reflections of Islam are in the tale of Maruf the Cobbler - Essay Example Maruf is a virtuous man. He tries to keep the peace and fulfill his responsibilities to his wife according to the requirements of the Islamic law. He does this even when his wife is senseless and cruel (Holy Quran 30:21). Moreover, when Maruf hands over alms to the poor, he goes to the mosque at the hour of prayer. It reflects Islamic beliefs since it is the Muslims who go to pray in a mosque (Kritzeck 307). Third, when a person is offended by another, he/she takes the dispute to the Kazi or the high court according to the Muslim culture. This happens in the story when Maruf’s wife goes to accuse her husband falsely to the Kazi after a domestic dispute over the cake with bee honey (Kritzeck 300). Fourth, the story refers to Allah as their Supreme Being and creator of heaven and earth. This reflects Islamic belief since it is the Muslims who call their God Allah (Kritzeck 300). Fifth, in the marriage ceremony between Maruf and the king’s daughter, the king calls the sheik Al-Islam to write the marriage certificate. It is according to the Muslim culture whenever there is a marriage between two people (Kritzeck 311). Sixth, when the king heard about the richness of Maruf, he gets greedy and decides to give his daughter in marriage to Maruf. He does this with the aim of bringing the wealth of Maruf into his family. It is according to the Muslim culture when he a man marries the king’s daughter, all that he owns becomes part of the king’s family wealth (Kritzeck 308). Seventh, according to the Islamic culture, a woman once given into marriage to a man, she is supposed to stand by him whether he was in the wrong or the right. It is considered her duty to her h usband. We see this happening when the princess sides with Maruf even after he reveals the shameful secret to her (Kritzeck 314). Eighth, Muslims believe in a jinni, a powerful spirit being. When Maruf escapes from the palace, he meets a farmer tilling his farm. On the man’s land, Maruf

Tuesday, October 15, 2019

Tanglewood Case Essay Example for Free

Tanglewood Case Essay Each branch of Tanglewood uses distinct methods for recruiting. With the employee turnover very high is the retail industry, Tanglewood is no exception. For that purpose, they need to constantly hire new employees. To fill these positions Tanglewood uses a variety of recruiting methods, though each region need not necessarily follow all. While the methods used for recruiting are Media, Referrals, Kiosks, State Job Services and Staffing Agencies, individual branches determine which staffing method suits best for them to use for hiring store associates. Tanglewood needs a uniform recruiting strategy and a recruiting guide that will not only help them hire a candidate with the Person/Organization match but also attract a culturally diverse workforce. This will lower the chances of employee turnover and also make them compliant with the EEO and other laws. Having a standardized recruiting process across the chain will also create staffing operational efficiencies and help maintain the culture of the organization. In order to have a successful recruiting plan, the first thing that needs to be addressed is having a Job description for each position that is there in the organization. This can be done by Job Analysis which will determine what KSAOs are needed for a certain position. After job Analysis and Job description, a detail selection plan has to be made which will rank the KSAOs and how they can be assessed. For any recruiting plan to be successful, Tanglewood has to determine which method to use. Though each division uses a variation of methods to search for their job candidates, there has to be some consistency across the whole organization. WESTERN WASHINGTON It is the largest and most profitable region of all the Tanglewood stores, mainly because it is centered around Seattle which is a big urban city. In keeping with the company’s culture and values, this region strongly believes in employee participation and autonomy. This region’s primary method of recruiting is employee referral. In the Seattle area, job Services is also heavily used for recruiting. Lastly, to fill positions that have not been met with the initial methods, the Kiosk method is used. Western Washington heavily relies on employee referral recruiting method. Data shows that it gets the largest number of applicants that is 3362, of which 1564(47%) are  qualified and 1048(31%) are hired. This method has one of the highest rate of retention of 712(68%) next only to Job service which is 75% of the hired workforce. The setup cost for employee referrals is the same as Media and Job service which is $250,000. However, it has the highest variable cost amongst all the methods of $2,356,240, thus putting the total cost to $2,606,240 which is even higher than the Kiosk method. The cost per hire is $2,486.87 and the cost per 1 year survival is $3,660.45. This reveals that even though the employee referral method costs almost $1,100 more than Job service, in terms of qualification rate, hiring rate and employee retention it yields better. Job service data shows that it yields 4236 applicants, of which 1398(33%) are qualified and only 378(9%) are hired. This method has the highest rate of retention after 1 year of 284(75%). But if we look at the number it is only 284 employees versus 712 in referral. The setup cost for Job service is the same as Media and employee referrals, but it has the lowest variable cost amongst all the methods of $462,720, thus putting the total cost to $712,720 which is the lowest of all the methods. The cost per hire is $1,885.50 and the cost per 1 year survival is $2,509.58. This reveals that this is the cheapest method used for recruiting however the retention rate for this method is also the lowest. The kiosk method in the recruiting data shows that it yields 3114 job applicants, of which 1278(41%) are qualified and only 652(21%) are hired. This method has a retention rate after 1 year of 358(55%). This method is the most expensive with the setup cost of $40,000 and the variable cost of $1,413,574, thus putting the total cost to $2,413,574 which is the highest of all the methods. The cost per hire is $3,701.80 and the cost per 1 year survival is $6,741.83. This reveals that this is the second most expensive method used for recruiting per hire. The Media method in the recruiting data shows that is it the most expensive method in terms of applicants attracted and hired. It yields only 1430 job applicants, of which 536(37%) are qualified and only 204(14%) are hired. This method has a retention rate after 1 year of 92(45%). The setup cost is $10,000 and the variable cost of $469,280, thus putting the total cost to $719,280 which is slightly higher than Job service. However, the cost per hire is $3,525.88 and the cost per 1 year survival is the highest at $7,818.26. This reveals that this is the most expensive method used for recruiting per hire. Seeing the methods used and their results in  attracting and retaining employees, western Washington should continue using Employee referral method as their primary method, along with job service and Kiosk. EASTERN WASHINGTON Eastern Washington is very similar to western Washington in its management styles. It is where the company originated. It has 25 stores like Western Washington but the area apart from Spokane is largely rural. Though this region has pioneered all the organizational policies, since it the birthplace of the organization, it has created some variations due to its geographical differences. It largely uses traditional media methods of Advertising for recruiting more than any other method. Data shows that Media yields the most applicants 4592, of which 1608(35%) are qualified and 676(15%) are hired. This method has a rate of retention after 1 year of 352(52%). The total cost is $1,799,200 and the cost per hire is $2,661.54 and the cost per 1 year survival is $5,111.36. Employee referral data shows that it gets 4046 applicants, of which 1720(43%) are qualified and 1016(25%) are hired. This method has the highest rate of retention after 1 year of 762(75%). The total cost for employee referrals is the highest at $2,565,760. However, the cost per hire is $2,525.35 and the cost per 1 year survival is $3,367.14 which is the lowest amongst all the methods used. The kiosk methods in the recruiting data shows that it yields the lowest number of job applicants that is 2776, of which 1110(40%) are qualified and only 444(16%) are hired. This is mainly due to the fact that the area has a rural population who probably feel more comfortable applying for the job through an advertisement than physically going to the store and applying at the Kiosk. This method has a retention rate after 1 year of 284(64%) which is the second highest only after Media. The cost per hire is $4,466.07 and the cost per 1 year survival is $6,982.17. This reveals that this is the most expensive method used for recruiting per hire. This reveals that the region should make necessary changes to yield better results for recruiting more effectively. They should focus more on emp loyee referral which has yielded the highest rate of retention, and the lowest cost per hire as well as cost per 1 year survival. NORTHERN OREGON Northern Oregon has a very different philosophy for running its operations which is more professional in nature. It has a hierarchical decision making structure which is opposite to the company’s culture. It largely uses traditional media methods of Media, Kiosk and Staffing Agencies for recruiting. The kiosk method yields the most applicants that is 3896, of which 1656(43%) are qualified and only 696(18%) are hired. This method has a retention rate after 1 year of 446(64%) which is the second highest only after Agency. The total cost is $2,246,696 which is the highest. The cost per hire is $3,228.01 and the cost per 1 year survival is $5,037.43. Data shows that Media yields 2686 applicants, of which 1102(41%) are qualified and 364(14%) are hired. This method has a rate of retention after 1 year of 164(45%). The total cost is $1,022,720 and the cost per hire is $2,809.67 and the cost per 1 year survival is $6,236.10 which is the highest amongst all the methods used in Northern Oregon. The Staffing Agency method in the recruiting data shows that it yields the lowest number of job applicants that is 1290, of which 614(48%) are qualified and only 490(38%) are hired. This method has the highest retention rate after 1 year of 402(82%). The setup cost is the highest at $900,000, whereas the total cost is $1,451,400. The cost per hire is $2,962.04 and the cost per 1 year survival is $3,610.45 which is the lowest. This region should focus more on getting qualified applicants from staffing agencies as it yields the lowest cost per hire as well as cost per 1 year survival. SOUTHERN OREGON Southern Oregon is known for its innovativeness as a lot of recruiting methods were first tried in this region. It is the smallest division with only 16 stores, tough they are looking to expand into northern California. The primary methods used for recruiting in this region are Staffing agencies, referrals and Kiosk. Data shows that employee referral gets 1384 applicants, of which 610(44%) are qualified and 396(29%) are hired. This method has the second highest rate of retention after 1 year of 290(73%). The total cost for employee referrals is $1,054,880. However, the cost per hire is $2,663.84 and the cost per 1 year survival is $3,637.52 which is the lowest amongst all the methods used. The kiosk methods in the recruiting data shows that it yields the highest number of job applicants that is 2280,  of which 866(38%) are qualified and only 346(15%) are hired. This method has a retention rate after 1 year of 216(62%) which is the second highest only after Agency. The total cost is $1,409,600 which is the highest of all the three methods used. The cost per hire is $4,073.99 and the cost per 1 year survival is $6,525.93. This reveals that this is the most expensive method used for recruiting per hire. The Staffing Agency method in the recruiting data shows that it yields 1132 applicants, of which 522(46%) are qualified and 392(35%) are hired. This method has the highest retention rate after 1 year of 336(86%). The setup cost is the highest at $800,000, whereas the total cost is $1,245,120. The cost per hire is $3,716.33 and the cost per 1 year survival is $3,705.71. Therefore, this division should focus on referrals and agencies for getting the best recruits. CASE 6 – INTERVIEW Hiring the right person starts with the interviewing process. Conducting a successful interview requires a skilled interviewer to adequately prepare for the meeting and to recognize and respond to the dynamics of the situation. Although being a skilled interviewer is part of the equation, applying the correct interview technique can be just as important. There are several types of interview techniques used by managers: traditional interview, behavior interview and situational interview techniques. Tanglewood is looking to revise its selection methods for the department manager position. Presently, there is no structure to the selection process for this position. The current method of hiring department managers is similar to the one used for store associates. Tanglewood is looking to have a more efficient policy for screening. They would like to create a good sequence of staffing procedures by creating a selection plan for the department manager position as well as building a structured interviewing format which would include both situational and behavioral questions. A selection plan establishes an understanding of the job so you can hire the most qualified applicant. The plan lays out the major responsibilities of the job, identifies what KSAOs are needed to perform the job, and identifies the most effective selection procedures to use. INADEQUATE KSAO MEASURES There are a couple of inadequacies as far as the KSAO measurement is concerned. Those are the knowledge of legal Precepts and skill in analysis of financial and operational data. Both these KSAOs are not sufficiently measured during the selection process. It is essential for the department manager to be knowledgeable about the legal aspects concerning the retail business. The department managers in addition to having knowledge of legal aspects of the business need to have some kind of financial skills as well. A candidate’s knowledge in these fields can be tested through the interview process. 4. Knowledge of customer base served by the store| Yes| X| 5. Skills in managing personnel resource| Yes| X X| 6. Communication and speaking skills| Yes| X X| BIO=Biodata, MAE=Marshfield Applicant For, RK=Retail Knowledge, CON=Conscientiousness, EXT=Extroversion The current selection plan for the store manager bears some resemblance to the hiring process of store associates, but at a higher level. Tanglewood is seeking to change their hiring process for this position so as to hire the most appropriate applicant. Furthermore, the Spokane store where they are trying to fill this position has a symbolic value to the organization. It is not only the largest store in the chain but also nearly all managers are send to this store as part of their initial training. Therefore, it is important to create a hiring model that will help fill the position of store manager for this store but also help standardize the hiring process so that other stores can follow too. When we look at two of KSAOs, t hat is â€Å"Knowledge of Organizational policies and practices† and â€Å"Knowledge of Retail management policies and practices†, we can consider two  options. One is that the applicant should be knowledgeable about basic Organizational and Retail management policies and practices. Second is that if he is an external hire, he cannot be expected to know the Tanglewood’s Organizational and retail policies and practices. Only an internal hire would know that. As a result, we have marked the KSAO â€Å"Knowledge of Organizational policies and practices† and â€Å"Knowledge of Retail management policies and practices† as both â€Å"Yes† and â€Å"No†. â€Å"Yes† to be aware of basic Organizational and Retail management policies and practices, and â€Å"No† to the need to know Tanglewood’s Organizational and retail policies and practices. Tanglewood uses various methods to measure the KSAOs needed for the position of store manager. This position needs Behavioral KSAOs which measure soft skills which are the attitudes and approaches the applicants take to their work, such as a ability to collaborate on team projects or the ability to communicate orally with a broad range of individuals. Hence it is very important that the store manager possesses skills like sound decision making and communication skills. Other KSAOs necessary for the selection should be weighed depending on their importance to the job and as to whether they can be further enhanced by training on the job. Following a standardized selection process can help recruit the best candidate to achieve Tanglewood’s goals and maintain its corporate culture.

Monday, October 14, 2019

Differences Between Community And Zero Tolerance Policing Criminology Essay

Differences Between Community And Zero Tolerance Policing Criminology Essay Community policing is an oxymoron, for if the police could serve the whole community there would be little point in having a police force at all fn 1. However for the purposes of this essay community policing will have the meaning which is ascribed to it by the Home Office. It is seen as a key and permanent element of reforms to make the police service more citizen focused. The aim is to build a more responsive, locally accountable and citizen-focused police service through a programme to transform policing at a local level to meet the needs of communities. dddddd  [2]   The notion of zero tolerance policing was inspired by the apparent success of the approach taken in NY, and a variation of it-confident policing-pursued by DCI Mallon in Hartlepool as well as others within the UK. The notion of zero tolerance policing is based upon the broken window theory  [3]  and the conviction that the best way to tackle serious crime is to tackle disorder in which policies such as the community safety order, parental responsibility order, composite offence and final warning all have a role to play. It is arguable that this policy adopts a social exclusion rather than inclusion policy approach towards community safety. The result may be that healthy urban futures are established but not necessarily all inhabitants will benefit. Crime, disorder, anti-social behaviour and nuisance may all be particularly unpleasant but it is not clear if placing such a strong emphasis upon criminalisation and enforcement is the best way of tackling the problems contributing to and created by those behaviours. It leaves very little space for more constructive actions and even where it is possible to do so, they take place on terms which strengthen the criminalisation of the discourse of social policy so that the measures end up being more about containment and control within the community.  [4]   In 1996 the London Metropolitan Police carried out a zero tolerance initiative in partnership with the Transport Police, City of London Police and local authority councils. This initiative involved active confrontational measures to deal with homeless beggars, drug dealers, prostitutes and pimps who were congregating at the St Pancreas Railway Station. The result of the action was the temporary displacement of the undesirables to adjoining neighbourhoods until the control measures were withdrawn. The benefits included over 400 arrests of drug dealers and a raising of the quality of life for people in the area (Leigh et al 1998; 73) A recent Home Office Study of policing styles noted that Cleveland Police responsible for Middlesborough remain convinced that zero tolerance is compatible with community policing in a problem orientated policing form. Cleveland police viewed it as a short term prelude to the implementation of longer term measures in high crime areas where fear of, and intimidation by a minority of residents is having a detrimental effect (Leigh et al 1998, 26 and Romeanes 1998). The statutory enforcement powers for zero tolerance are contained within the Crime and Disorder Act with its emphasis on taking back control over unruly neighbourhoods and so it is not unreasonable or unlikely that the Home Office would give the initiative a qualified endorsement although it chooses to term it order maintenance (Jordan 1998 72). Zero tolerance style of policing is popular with a majority of the public who se the police as being tough on crime. In July 2003 an ICM Poll for the think-tank Reform questioned public support for zero tolerance comprising a highly visible policing on the streets bearing down heavily on anti social behaviour and vandalism. 83% thought that this would be a good idea, with over 50% thinking it would be a very good idea. Does Safer Neighbourhood Policing Help p 62-63 Zero Tolerance does have the negative repercussions of souring police community relations and can antagonise racial tensions in neighbourhoods. This is in conflict with the philosophy and practice of community policing which depends upon strong support from the public and discretion from police officers, proactive policing, problem solving and an intimate knowledge of the neighbourhood in which the police are operating, acquiring intelligence and building trust. Officers viewed discretion as an important part of community policing. A firearms officer was outside a school monitoring traffic and flagged down a middle aged man who was not wearing a seat belt. He managed to resist the temptation to alienate the police service further by scoring 5 easy points and after some advice, he let the man proceed on his way. A few months later the firearms officer found himself in an unoccupied house where a gun had been found in very suspicious circumstances. The same man as in the seat belt incident approached him and provided invaluable information which saved many hours of police investigation. The officer maintained that the man assisted him because he had dealt with him leniently in the seat belt incident and the officer wondered if the man would have assisted had he not used his discretion in the earlier incident? The officer said that police should be left to use their common sense on the streets.  [5]  Cited in The Public and Police by Harrie t Sergeant page 52 Is the answer for the two concepts to sit side by side? It would appear that the two concepts are not mutually exclusive and there is a need for both within certain communities. A police system based on consensus and working in and with the community seems the better option for the community as a whole. This method allows the community to be involved in the law enforcement process and encourages the community to be involved in its own safety by the informal policing of its on neighbourhood, collecting intelligence on suspected trouble makers to assist the police. Community policing allows the community to be a partner with the police in crime reduction and as such are more receptive to police initiatives. Zero tolerance should be used selectively in reducing certain types of deviant behaviour such as anti social behaviour and also for knife and carrying weapons, but its success is limited to selected areas. Its use should be limited to a short sharp approach and it should also be seen as a short term policy rather than overall police policy. It has been shown that a tactic of the targeting of repeat offenders and victims, a high level police visibility in some crime hot spots, and problem orientated strategies and police initiatives have worked. Zero tolerance style of policing can impact on human rights and liberties but it is popular with most members of the law abiding community and politicians as it demonstrates that the state is seen to be tough on crime. Of course whatever is the better option for the community depends on whether you look at the community as a whole or a particular section. If one block of flats is being terrorised by anti social behaviour and zero tolerant tactics are adopted to deal with it, it will not be considered beneficial to the whole community if the perpetrators are merely dispersed to a neighbouring block within the same community. What is best for the community can also be said to be the eradication of crime in the first place, so that the causes are addressed (community policing) rather than the symptons (zero tolerance). It would appear that there is a place for a zero tolerance approach within community policing itself particularly if the community is kept informed of the police approach so that it is included in adopting the policy. So although it may be seen to some members of the community as the better style of policing overall it is better to have the community policing system which is a softly softly approach to law enforcement underpinning the relationship between the police and the community.

Sunday, October 13, 2019

Essay --

Of all the cuisines to choose from, I have decided upon the country of Spain from Europe and Laos from Asia. Lao cuisine is the closest to Hmong food, which is my ethnicity. The Hmong people do not have their own country to call their own, for example Lao people are from Laos and Spanish people are from Spain. Hmong people are not from Mongolia. Instead a majority of Hmong people resides in the mountains of Laos. Some live in Cambodia, Thailand, France, or the U.S. of A. Spain has influenced a large part of world cuisine. It’s techniques and ingredients have been intertwined with the rest of the world for thousands of years. Spain is in the southwestern part of Europe and to the east of the Mediterranean Sea. There are a large variety of fruits and vegetables grown in Spain. Food From Spain lists peaches, cherries, ioquats, apricots, nectarines, plums, apples, pears, grapes, wheat, and olives as fruits grown in Spain. There are also many others, but these specific fruits are only from Spain. A Melocoton de Calanda is a Spanish peach found in northeastern Spain. Cerezas de la Montana de Alicante is a sweet red cherry found in the jerte Valley in Extremadura of Spain. Ioquats are sweet, slightly acidic, and have a strong leathery skin. Certain types of apricots, nectarines, and plums also come from Spain. Apples from Asturias, Castile-Leon, and Catalonia of northern Spain are â€Å"generally considered superior (foodfromspain).† Pears are originally from Asia Minor, but grow well in inland Spain. Grapes, wheat, and olives play a major role in Spanish cuisine as well. Grapes are used for wine and oil. Olives are in abundance and are eaten and used for oil. Olive oil serves many uses in Spanish cuisine. Typica... ...med or grilled and low in fat. Spain has a more abundance of olive oil allowing them to create heartier meals. Spanish foods uses oil to deep fry, make emulsions, and create bases such as Sofrito. Spanish food is therefore heartier, but is higher in fat than Lao cuisine. Regardless of their differences both cuisines are delectable. Lao cuisine may not have influenced a great deal of the food world as Spain has; instead it has taken slight influences from Cambodia, Thailand, and Vietnam. These are two very different cuisines and offer a lot of different flavors and styles. The contrasting cuisines come from the different products they have available and cooking methods. Although both countries are in the eastern hemisphere, the different products are due to the region, climate, and soil type. Regardless of their differences both cuisines are delectable. â€Æ' Essay -- Of all the cuisines to choose from, I have decided upon the country of Spain from Europe and Laos from Asia. Lao cuisine is the closest to Hmong food, which is my ethnicity. The Hmong people do not have their own country to call their own, for example Lao people are from Laos and Spanish people are from Spain. Hmong people are not from Mongolia. Instead a majority of Hmong people resides in the mountains of Laos. Some live in Cambodia, Thailand, France, or the U.S. of A. Spain has influenced a large part of world cuisine. It’s techniques and ingredients have been intertwined with the rest of the world for thousands of years. Spain is in the southwestern part of Europe and to the east of the Mediterranean Sea. There are a large variety of fruits and vegetables grown in Spain. Food From Spain lists peaches, cherries, ioquats, apricots, nectarines, plums, apples, pears, grapes, wheat, and olives as fruits grown in Spain. There are also many others, but these specific fruits are only from Spain. A Melocoton de Calanda is a Spanish peach found in northeastern Spain. Cerezas de la Montana de Alicante is a sweet red cherry found in the jerte Valley in Extremadura of Spain. Ioquats are sweet, slightly acidic, and have a strong leathery skin. Certain types of apricots, nectarines, and plums also come from Spain. Apples from Asturias, Castile-Leon, and Catalonia of northern Spain are â€Å"generally considered superior (foodfromspain).† Pears are originally from Asia Minor, but grow well in inland Spain. Grapes, wheat, and olives play a major role in Spanish cuisine as well. Grapes are used for wine and oil. Olives are in abundance and are eaten and used for oil. Olive oil serves many uses in Spanish cuisine. Typica... ...med or grilled and low in fat. Spain has a more abundance of olive oil allowing them to create heartier meals. Spanish foods uses oil to deep fry, make emulsions, and create bases such as Sofrito. Spanish food is therefore heartier, but is higher in fat than Lao cuisine. Regardless of their differences both cuisines are delectable. Lao cuisine may not have influenced a great deal of the food world as Spain has; instead it has taken slight influences from Cambodia, Thailand, and Vietnam. These are two very different cuisines and offer a lot of different flavors and styles. The contrasting cuisines come from the different products they have available and cooking methods. Although both countries are in the eastern hemisphere, the different products are due to the region, climate, and soil type. Regardless of their differences both cuisines are delectable. â€Æ'