Monday, September 30, 2019

Bahrain Bay Case Study

1- The 4 main philosophy ideas that Bahrain Bay? s tries to communicate consist in: 1. Communicate a wide range of messages to the broadest range of audiences, such is the example of taking a risky marketing move to go to Cannes and advertise themselves there to a wide range of people. 2. Address challenges as they present themselves in the competitive market place, because they are starting a business in a place where the economy is booming, so it’s a very lucrative place but risky as well. 3.Ensure that all marketing messages conform to the highest possible standards: because they are looking for clients who are willing to pay what they ask for. In other words, they are looking out for clients who are not afraid to afford the costs of acquiring a new space in their terrains. 4. Support the brand name of Bahrain Bay as a vision of the business future: for example helping their surroundings to blossom in terms of economic success. 2- In my opinion Bahrain? s Bay mission is to achieve a sustainable business, moreover to gain high profits from it to a very exclusive market.Because getting one of those places is not for everyone. They manage to penetrate a very exclusive clientele which are able to afford the wanted price and they have done it in such a successful way that there is still demand on this sort of landpieces. They have also shown interest in helping their surroundings. Maybe as a marketing strategy so that the place doesn’t look dangerous nor looks that it is taking advantage of the land without taking in consideration its original population.Therefore they have decided to make a very important image move in helping the locals to get a better life by sponsoring the football team for example. 3- During the MIPIM they were able to get the attention of several investors and developers. They were able to share and embrace the same vision of the project with these investors and developers which were about 26,000 people in a new coming and div ersifying economy that will adapt to the 21st century lifestyle. – Due to its starting blossom economicaly speaking, Bahrain it’s a very juicy place for oversea inverstors. It has a lot of potential which has not fully been achieved. Right now this place is in a postion very desired for people wanting to invest lots of money expecting highly rewards from it. 5- Bahrain Bay is not the only project taking place in the region. Nowadays there are other major financial and commercial centers. Never the less we can not put aside the great importance of Bahrain Bay to the place. There are also other projects such as: B.Investment Wharf , Financial Harbor, B. City Center†¦ which including B. Bay represent a high percentage of the countries growth. 6- Part of their new marketing program, consists in sponsoring the local Football team. This helps the local areas to start a new rise in an economical level and in a social level. Making the local economy increase might make th e place more interesting for the tourists and further investors. They are also achieving with the newly founded foundations fighting poverty and helping the locals in a positive way.

Sunday, September 29, 2019

Jonas Salk

Jonas Salk was born on October 20, 1914 in New York City to Russian-Jewish immigrants. As the first member of his family to attend college, he developed a fascination with the flu virus and sought a way to eliminate its ability to infect people with influenza. After accepting an appointment in Pittsburgh, Pennsylvania, he began working with the National Foundation for Infantile paralysis and there began work on polio, the cure for which Jonas Salk would be known forever. In 1950, children throughout the United States were stricken with polio, or poliomyelitis. Those children who did not die from the disease were left crippled. In some cases, adults contracted polio as well. One of the most famous examples was president Franklin Delano Roosevelt, who was left in a wheelchair after a bout with the disease. Salk created a polio vaccine from a dead polio virus, which lost the ability to infect once it was killed. It did, however, retain the ability to immunize any who were injected with the â€Å"dead† form of the virus. Later, other work was performed in order to create a â€Å"live† vaccine that could be given orally (Salk’s vaccine had to be injected). The administration of this â€Å"live† vaccine failed, and Salk’s was used from that point on. Salk could have patented the vaccine and become a rich man; rather, he refused to do so in order to get the vaccine out to those who needed it quickly. Jonas Salk’s polio vaccine has completely eliminated the disease – provided the vaccine is given. After his success with polio, Salk created the Jonas Salk Institute for Biological Studies and not only continued his research, but wrote many books as well. He passed away on June 23, 1995 at the age of 80.

Saturday, September 28, 2019

Depends on Writer Essay

Many countries, including the United States, are currently struggling with two apparently conflicting objectives, that is how to make newcomers and native minorities feel they have equal opportunity to pursue the American Dream, while at the same time convincing the native majority that policies crafted to help others are not discriminating against their own rights and opportunities. The two main policy thrusts used by governments, schools and other institutions designed to promote racial diversity and integration are race conscious and color blind. Race conscious and color blind are not mutually exclusive, but two ends of a continuum. At the one end an example of a race conscious policy would be if race was the sole distinguishing factor deciding whether one candidate is selected over another and there is a quota for members of a specified race. For example assume two candidates of different races for military promotion both meet the required minimum standard. An extreme race conscious policy would dictate that the person from the race considered disadvantaged would be promoted even if less meritorious. On the other hand under a completely color blind policy, race would play absolutely no part, and the best candidate would be promoted . In between is a situation where race is only one factor to be considered and the candidate of the disadvantaged race would be promoted only if the sum total of his merits was considered at least equal to that of the other candidate. Race was the deciding factor to break the tie so to speak Also in the middle scenario there is no set quota for those considered disadvantaged, only a vague goal that they would be in sufficient numbers that they wouldn’t feel isolated. For the disadvantaged color blind policies tend to promote the status quo in that because their color is often associated with other negative factors such as poverty, limited educational opportunities and cultural limitations, they find it difficult to compete and get ahead. Racial inequalities are thus perpetuated and racial identities more starkly contrasted. In other words the discontented tend to feel its’ â€Å"them versus us†. On the other hand, race conscious policies can make the dominant group feel that in efforts to improve opportunities for the disadvantaged, their rights are infringed. In effect they can feel they are victims of reverse discrimination. They believe their rights are threatened, and are now suffering racial inequalities because of efforts to help the previously disadvantaged. They also fear losing their status as the dominant race. The Asian American Legal Foundation brief advocated color blind policies on the grounds that race conscious policies favoring only designated races were prejudicial to the interests of groups they represent such as the Chinese in San Francisco. While accepting the goal of racial diversity, they argued as the dominant race in this area, the school placements there should reflect this reality. That is, they should not be capped at 40% in order to accommodate specifically designated and therefore preferred disadvantaged races nationwide. They argued that this was discriminating against them as the dominant race in the area, and that there was no compelling reason to assist minorities, at least not to the extent where their placements exceeded their proportion of the local population. They also argued that having separate Chinese schools was not the answer, as this was counter to the goal of racial diversity, and tended to encourage inferior facilities. Conversely, the military brief advocated race conscious policies in order to develop a racially divers officer corps. They argued that while blacks were recruited into the military in large numbers immediately after World War II, they tended to stagnate in the lower ranks because of poor education, prejudice and other reasons. Thus in the 1960s and 1970s, a mainly white officer corps was in charge of a substantially black lower ranks, resulting in low morale and racial tension. In fact this situation was considered to have a detrimental affect on the ability to fight in Vietnam. While there is now a larger percentage of black officers, the brief argues that race conscious policies need to be continued to have the percentage of black officers comparable to that of enlisted men to have a cohesive, effective fighting force. Therefore the brief argues that there is a compelling government necessity justifying the need for a race conscious policy. If the Supreme Court decides the Grutter case on the basis of the military brief, that is, that race conscious policies are justified, she would of course continue to be denied a place at the University of Michigan, and most likely this would also apply to the other perspective white students. Naturally this would fuel the notion that they were subject to unequal access and therefore suffering from racial reverse discrimination. On the other hand if the case is decided on the basis of the American Legal Foundation brief, she and many other whites would probably be accepted at the university. However, designated disadvantaged races would likely feel that their quest for equality and racial status was still not being adequately addressed. Although Gruther felt she was being discriminated against, the Court’s decision upholding Michigan Law School’s affirmative action policy for admissions, shows that it agrees with the school’s stated intention to redress historical and current discrimination, which I believe in fact was the school’s honest purpose. By considering race as only one of the factors in deciding whether to enroll prospective students, I believe this is an appropriate middle ground between a pure race conscious and color blind policy. I also believe that this policy will help realize social equality, and once people from different races achieve success roughly proportional to their numbers, the policy will no longer be necessary, hopefully within 25 years. Works Cited Nos. 02-241 and 02-516 In The Supreme Court of The United States. Grutter, Barbara (Petitioner) v. Lee Bollinger et al (Respondents)

Friday, September 27, 2019

Emotion and Reason Essay Example | Topics and Well Written Essays - 1000 words

Emotion and Reason - Essay Example For instance, if a person is happy and he writes a poem about her state it will motivate the readers to respond to the same state though they were not before. Following this, emotions may only perpetuate if logic and reason do not exist. The emotions may build up too much and one may not understand the need of these emotions. With this in mind, Plato concludes that even destructive emotions can be positive if one employs reason and logic to enhance a deeper understanding along with truth. This is summed up by the three components of human mind, which are desire, emotive, and reasoning parts. In his model, Aristotle believed that emotions are in split module but centred by ethical standards that result to desirable emotions. In this context, the right emotions are established from the principle of living a moral life. While people with desirable morals have right emotions those with undesirable life are vice versa. Aristotle believes that morals must harmonise with emotions and when t hey are combined dictates the human functioning. In his view, when one has a pure reasoning, the more one has the right emotions briefed in three components spirit, appetite, and spirit. Lastly, Stoics' conceptions of the good life regard that for one to achieve a true well-being one may require virtues, which are not inborn but inherited. The stoic account constructs the concept that human beings are born with an awareness of themselves and environmental factors dictate the state of well-being. According to Stoic, virtues are the sole foundation of happiness and all beings are capable of achieving these virtue. Failure of comprehending what is good leads to desirable emotions such s grief and anger (Haidt & Baron, 1996). In my opinion, Plato concept makes the most sense in that he recognizes that emotions can be constructed. In great thoughts, he highlights how poets construct emotions to readers despite lacking the stated emotions. Indeed, destructive emotions can be positive if o ne employs reason and logic to create a deeper understanding. For instance, a murder may desire to undesirable act out of self-gain but through logic and reason on what he would benefit may be a token it would create desirable emotions to him. This is what Plato defines as constructing emotions. Basically, the problematic aspect of Aristotle and the Stoics argument can be outlined on their concept that the more one has a pure life the more one has right emotions and the fact that environmental factors determines the state of being. In reality, Pluto proves that even destructive emotions can be positive if one use reason and logic to augments truth. Question 2 Master-slave analogy has been one of the recurrent metaphors to describe the relationship between reason and emotion. For various eminent thinkers including Plato, Stoics and Kant, reason is ought to be the master of emotions or passions. Do you think that this analogy righty captures the relationship between reason and emotion ? Why, why not? Discuss by using the relevant readings In my opinion, Master-Slave fails to capture the relationship between emotion and reason as it highlights two propositions. First, it suggests that emotion and reason are separate entities and secondly, reason should rule emotions since it is the greater one. Before highlighting the approach of reason and emotion, we will briefly explore the concepts of different ancient

Thursday, September 26, 2019

OReilly v Mackman Essay Example | Topics and Well Written Essays - 1500 words

OReilly v Mackman - Essay Example This case is primarily one which was concerned with the procedural niceties of judicial review, laying out the principle that public law claims were to be dealt with exclusively by judicial review and private law claims were to be dealt with by Writ. Therefore this decision set a precedent in that it resulted in a locking of the remedies of injunction and the declaration that had entered the realm of the public domain by Common law, permanently into that domain. This does not appear to have been the original intent behind Lord Diplock’s judgment, for he has clearly stated that the â€Å"Order 53 does not expressly provide that procedure by way of application for judicial review shall be the exclusive procedure available† for obtaining remedy by injunction or declaration for infringement of rights under public law2. However, the fact that in this case, the invocation of a Writ was deemed to be an abuse of the process of the Court resulted in the subsequent position in law that only through the invoking of public law procedure could the remedies of declaration and injunction be obtained under judicial review. The orthodox approach to judicial review is based upon the absolute and indivisible sovereignty of the British Parliament3. The O’Reilly case also established that if the nature of the claim that is being made is that the public body acted ultra vires or outside the scope of its statutory powers, then this is a matter for judicial review. The ultra vires doctrine is based on the principle that all legal duties are created by Parliament4, therefore, the judicial function extends to the scope of controlling of the exercise of such statutory powers.  

Business IT operations Essay Example | Topics and Well Written Essays - 500 words

Business IT operations - Essay Example company had certain advantages namely the turnover period has reduced, the delivery and lead time is reduced, maintenance of database is easy, feedback related to demand and supply has become more reliable and fast, etc and all these factors have helped the company to know the latest trends in market and customers’ demand. It helps the company to compete with quick changing environment where competition is increasing every day. It also helps in processes related to decision making of how to make customers more delighted and how can they customize their products so that profit increases with reduction in cost. Implementation of technology has also helped FYC in reduction of overall cost incurred in a selling process. Knowing mere about changes is not sufficient, what is important for an organization is distribution of this information efficiently so that the workforce who works in operation level knows the changes in time and can implement it. CAD and 3D technologies are being used for manufacturing modern customized products. Nowadays â€Å"green design† is in trend. Product demands are span over a huge range and increased customization (Enterprise and Industry, 2008). For this workforce need training and sharing of ideas. Furniture manufactured is basically of two types: ready - to – assemble (RAT) and factory finished. Manufacturing process consists of purchase of raw materials, deigning process with 3D technology, engineering of the manufacturing process. Manufacturing can also be computer - aided manufacturing and robotics (Hoovers, n.d.). In the manufacturing department, the various divisions include division for cutting parts, division for technical overview, and division for assembling parts, division for polishing and also division for reengineering. All these divisions have to work hand in hand. They should know the progress taking place in other departments so that they can maintain the pace according to the requirements. Both horizontal and

Wednesday, September 25, 2019

Money & Banking Assignment Example | Topics and Well Written Essays - 750 words

Money & Banking - Assignment Example It has been stated that the measurement problems occur especially during the business cycle contraction where the values are understated. Unemployment rate is understated due to a number of reasons. First off, underemployment is not regarded as unemployment, but is instead viewed as being employed. In tough economic times, job cuts are common in many organizations. Many people subsequently seek out jobs that do not utilize their full skill and knowledge potential (Horvitz 33). Though these jobs are temporary income earners to cater for the person’s daily need, the Bureau of Labor Statistics view these people as fully employed and does not count then against the national rate, leading to massive understatement. If a person who used to take home $140,000 each year has to take a job that offers $22,000, it is unfair to consider this person as employed (Horvitz 47). New entrants into the labor force are not considered unemployed. If for instance, a stay at home mum seeks out employment due to harsh economic times and fails to get employed, she will not get counted as unemployed by the authorities. There exist people under the age of sixteen who have taken up jobs to assist their families. Since they are below the age of 16, they are not counted as employed and if they fail to find work, they do not count as unemployed either. This adds up to massive understatement of the unemployment rate. The Bureau of Labor Statistics only considers one unemployed if you are actively involved in job hunting. Individuals who are jobless and are no longer searching for work are not counted as unemployed. They are therefore not included in the unemployment values rolled out every month, a phenomenon that without a doubt leads to understatement by massive margins (Horvitz 77). Some workers have had to involuntarily take up job sharing, working less hour shifts

Tuesday, September 24, 2019

Mitochondria and Its Functions Essay Example | Topics and Well Written Essays - 500 words

Mitochondria and Its Functions - Essay Example The present paper has identified that mitochondrial chromosomes are inherited from our mothers.  Although minutely small, mitochondria are of major importance to athletic activities because the increase in their density is associated with enhanced performance capacity ("Mitochondria Functions" n.d. para. 1).  To answer the question on which between a world-class runner and a typical couch potato would have a much higher density of mitochondria from their sample muscle biopsies, it would definitely be the world-class runner because mitochondria are concomitant with exercise and physical activity.  Furthermore, mitochondria are the only places inside the muscles where carbohydrate, fat, and protein can be broken down in the presence of oxygen to create the energy needed for exercise. As a consequence, the more mitochondria an individual has, the more energy that individual can generate during exercise resulting in faster and longer time doing running, swimming and other physical activities ("Mitochondria Functions" n.d. para. 2).  Several studies have been done to document or otherwise prove that increased exercise generates a higher density of mitochondria. There are differences from these findings as to what type of physical activity generates more mitochondria such as intensity, faster but shorter duration or longer but slower duration. There are three types of human muscles: the cardiac, smooth and skeletal. The skeletal muscle is further classified into three types, which are the Type I, Type IIA and Type IIB fibers. Type IIB Fibers are white and geared to generate ATP or Adenosine triphosphate—an important carrier of energy in cells in the body—that is not able to supply skeletal muscle fibers continuously with sufficient ATP and have a fast concentration velocity. Type IIB fibers are found abundantly in the muscles of the arms (â€Å"Muscle†, n.d.). In one of the studies dealing with mitochondria, researchers were able to differentiate its effects depending on the type of muscle.

Monday, September 23, 2019

Marks and Spencer Company Case Study Example | Topics and Well Written Essays - 2000 words

Marks and Spencer Company - Case Study Example It can be summed up as: The company has a triangular top management structure; this triangular management structure consists of the three Board Committees that are the Audit Committee, the Remuneration Committee, and the Nomination Committee. All the three board committees supervise and exercise power on different aspects of the company's activities and operations. Also, these committees further consist of different members with specialised tasks. The Audit Committee consists of three members and manages the financial activities inside the company, such as supervising the company's periodic audits, coordinating with the external auditors conducting annual mandatory audits for the company, and superintending the process of annual statutory accounts formulation and furnishing it to the shareholders of the company. The Remuneration Committee undertakes the task to manage the remuneration related activities for the company's employees such as bonuses and increments etc. The Nomination Committee manages the activities concerning the appointment and designation of the company's directors and managers. Apart from the above-mentioned committees working as part of the board, the company's top management also consists of seven directors and one group secretary also acting as the head of Corporate Governance. The financial base consists of two Group Finance Directors, Ian Dyson and Alison Reed, who undertake the responsibility to control and regulate the financial matters in the company. MARKS AND SPENCER-THE COMPANY HISTORY Marks and Spencer plc has had centuries old history of expansion, augmentation and amplification. It started when a Jewish immigrant Michael Marks alone opened a store in the year 1884. He continued to run and manage the small business alone for a decade and after 1894 it was joined by another individual i.e., Thomas Spencer. The business continued to expand and grow under the management of these two legends. They both believed in expanding the scope of their business and therefore, by the end of the 19th century, they managed to open and run 24 stalls and 12 shops in England. Especially in the beginning of 20th century, they practically stepped into the corporate world by getting registered as a private company under the name of "Marks and Spencer Ltd". After adopting this name, the company continued to gain popularity and public acceptance all over the Great Britain with a strategy of selling the British-made products only. By this way, the company earned prestige and stabilised relationship with reputable manufacturers and suppliers in the Great Britain. The son of Michael Marks, Simon Marks, became the Chairman of the company in the year 1916 along with his brother in law Israel Sieff who with joint efforts turned the company into a retail chain store. In the year 1926, the company's shares were float ed in the stock exchange and thus Marks and Spencer continued its further expansion with a significant share of public in its capital and profits. In the mid of the 20th century, the company expanded the scope of its business operations

Sunday, September 22, 2019

Reducing Violence in Society Essay Example for Free

Reducing Violence in Society Essay Finn’s that â€Å"we really understand the market only when we examine it within its [full] political, social, and cultural context† (p. 144). His use of the term the â€Å"moral ecology of markets† refers to his concept that markets involve complex interactions among a wide range of social factors that must be studied like an ecological system. Finn has identified four areas of morality:(1) government imposed constraints to markets that prevent market abuses, also they various opinions from left and right hinge on where fences should be built (2) the provision of essential goods and services to all persons, that means to redress distributional shortcomings of the market and balanced the demand and supply. (3) the morality of individuals and groups to restrain individual pursuit of self-interest by virtue. 4) the presence of civil society, in other worlds voluntary associations of individuals to achieve common goals. He suggests, is not between addressing these problems through totally free markets on the one hand, or some sort of centrally planned system on the other, since all real-world economic systems include some mix of markets and government involvement. Market systems provide some boundaries that limit or prohibit certain practices, and planned economies allow some decisions to be made by individuals. For all points of view from left to right, the assessment of justice will depend not only on the structure for markets themselves but also on the context of markets. Finn provides an economic defense of self-interest and market. Because he tried to believe that libertarians seek to defend markets without recourse to moral claims. However, they have failed eventually, because any defense of markets necessarily involves some moral claims, and indeed libertarians do accept some claims, though often implicitly. So that Finn proposes the â€Å"four problems of economic life†Ã¢â‚¬â€allocation, distribution, scale, and quality of relations—which all economic systems must address. The economic problems are interrelated, and attempts to solve on can have a beneficial or detrimental effects on the others. Begins with the â€Å"construction of fences† that defines the bounds of allowable market fences. They allow the established fences people are free to pursue their own interests. Simultaneously, USA people agree that current market fences are morally sufficient to prevent abuses. Since Finn argues that do acting on self-interest within the game is allowed. The executives should be responsible to shareholders and employees. It is not just corporation get profits as a main purpose, but also managers should consider others. For example a company had shortage, executives does not lay off its workers during a downturn in demand but rather reduces the wages and salaries of company employees, because everybody has right to pursue their self-interest. Employees also need to pay for their family or terrible life. Also, each person have desire to pursue self-interest in social and allow do acting within rules what they made, like the â€Å"construction of fences†, the multi-national corporation should obligate to treat all teams be fair. Finn’s arguments are not convincing. I do not think Finn’s account of self-interest promote mutual understanding. First, Finn’s account of self-interest fails to recognize that in most market exchanges neither the buyer nor the seller takes explicit account of his or her self-interest, nor the interest of others, but each simply â€Å"goes about his or her business. For example if I back to home and by the way go to supermarket to buy fruits and milk, I make calculations nor do I consider tradeoffs. I simply select the items, pay my bill, and head for home. I pursue my self-interest because I base my decision on factors such as convenience, bargains, but how often do â€Å"abuses† arise on account of self-interested behavior ? Second, Finn’s account of self-interest is that he seems to equate self-interested behavior with market behavior. A government officer might seek to enlarge his budget, or the number of workers reporting to him, so as to increase his salary.

Saturday, September 21, 2019

Love Emerson Transcendentalist

Love Emerson Transcendentalist The broken-hearted can only be mended by love just as only love can change a mans heart; enemies can become friends only through love just as only love can soften the hardest of hearts. In this way, Emerson, as a transcendentalist, portrays love as being a necessity in life; every man wishes, desires, to be loved. For this reason, the world would benefit from showing love to everyone as it causes mankind to care for others, to encourage joy in others. It is something that comes from deep within the soul and if the world experienced more love, humanity would be willing to expand their mind to accept the differences in others. No matter how humans differ from each other, whether by color of skin, religion, or social status, they all deserve love. In â€Å"The Transcendentalist,† Emerson writes that human beings have a â€Å"great wish to be loved† (3). Every person wishes to be loved; they want to be desired and cared for. Erich Fromm describes love as the â€Å"only sane and satisfactory answer to the problem of human existence.† If everyone felt loved and also gave that love to everyone else, the world would be crime-free. Hate crimes, thefts, murders, and even suicides would not occur; it would be ridiculous to hurt the ones we love. People would see each other as equals—black, white, brown, red and yellow would be seen all the same as they are loved. There would be no need to prosecute those with different belief systems—the world would be willing to understand them because of the love they share; burglaries would not occur because the affluent would care enough to gi ve those less fortunate the money they needed; there would be no killing because no one wants to kill the ones they love; and there would be no suicides because they would be loved—and to be loved is a feeling that suppresses all depressed and melancholy feelings. Without love, the existence of humanity would be pointless, as â€Å"a life without love† (Emerson 4) is â€Å"an activity without an aim† (Emerson 4). Old or young, poor or rich, all mankind deserves to be loved. Love pours out from our spirits causing others to feel the happiness we bestow upon them. However this love only works if we love everyone and accept their differences. â€Å"When it [the soul] flows through his affection, it is love† (Over-soul 2). If the world allowed their souls to show, love would flow and affections would be shown. However, we cannot allow ourselves to get caught up with the differences of others but accept them for who they are. Emerson writes, â€Å"if you can love me for what I am, we shall be the happier† (Self-Reliance 6). If the world loved everyone for whom they are, color and religion pushed aside, happiness would come forth, bringing about even more feelings of affection. The world needs this love because everyone should have the opportunity to feel loved and to feel joy. If we let this love flow from within us, we have allowed others to be shown the love we feel for them. This causes them to feel pleasure at being loved, and makes them fo rget about their race and their religion. Without love humanity is nothing; we feel nothing and care about nothing. Even though in the world, there is love, it is important to show our love to others; we need to increase the amount of love in the world so that others feel accepted and welcomed. Transcendentalists believe in individuality and originality—instead of treating others differently because everyone else does, the world needs to rise above and love them just as they love themselves. This way we can treat everyone with the same respect and give them the love they deserve; the love that every man desires. Through love, we can change the world.

Friday, September 20, 2019

Popular culture

Popular culture What is popular culture? Introduction (John Storey, 2006, p.1) â€Å"popular culture is always defined, implicitly or explicitly, in contrast to other conceptual categories: folk culture, mass culture, dominant culture†. â€Å"Popular† and â€Å"Culture† Before we look into more depth about the term ‘popular culture we must first determine what it actually means. Firstly to break the term down, Raymond Williams says culture is â€Å"one of the two or three most complicated words in the English language† (cited storey 2006). To understand what William means we will take a look at his definitions. William refers to culture in three ways, firstly he states culture could be seen as â€Å"a general process of intellectual, spiritual and aesthetic development†.   The examples storey gives are â€Å"great philosophers, great artists and great poets† which noticeably the word great is used giving a sense of high culture. Secondly â€Å"a particular way of life, whether a people, a period or a group† (ibid). - Popular Culture Now we have determined what the terms popular and culture mean we can now look at the word as a whole. Storey states that Popular culture â€Å"is the culture that is left over after we have decided what is high culture† (Storey 2009, p. 6). Popular culture is therefore seen as â€Å"inferior culture† or ‘low culture (ibid). When you think about popular culture in this way there comes a problem, who determines which category it falls into. Storey states â€Å"to be real culture, it has to be difficult† therefore creating a division to who can and who can not. Pierre Bourdieu argues that â€Å"cultural distinctions of this kind are often used to support class distinctions. Taste is a deeply ideological category: it functions as a marker of class† (Bourdieu 1984).   Popular culture is often taken from culture, diluted and then distributed to the masses for personal gain. Sub cultures are created to help a group of people who feel left out from society, find there place. When looking at sub cultures, they are often associated with the youth of society. It could be argued that sub cultures are made possible because the youth within society have much more leisure time. (Lifestyle) The reason for this is said to be because of the generation gap. Some sub cultures create a moral panic because it challenges the norm and goes against how the people should think and what they should be doing. In doing so they create there ideology according to how they feel about society which is often opposed to the elite. If this is the case then it suggests a political dimension to what popular culture is so therefore it is not just about leisure or entertainment. Popular culture and the mass media go hand in hand because the media creates a distorted image of how the world is and the masses are said to passively consume it. Popular culture is also argued to divert people away from what is important which is said to be beneficiary for the elite, an example of this is capitalism. (Storey 2006) Ideology conceals the reality of domination from those in power: the dominant class dont see themselves as exploiter or oppressors†. More importantly though it works in favour of the elite as Storey states â€Å"Ideology conceals the reality of subordination from those who are powerless: the subordinate class dont see themselves as exploited or oppressed†. One of the most significant ideological practices in recent years has been the categorical dividing of what is popular and what is classical. Storey states â€Å"the division between high and popular culture†¦is absolutely clear†¦and transhistorical-fixed for all time.† Up until recent years the divions of the two were quite prominent but with groups like Escala (who were on Britains got talent) the divide becomes blurry. Groups like Escala play classical music in a different way to the norm but which is still classical and since they were on a popular show they made classical music popular. But that does not mean it will stay that way because if you look at some of the Cds they are bringing out for classical music now with such titles as â€Å"Pure Classical† which may seem innocent but could be argued that the elite are trying to police the boundaries. The real question what has been discussed is, value. As we have look in the first part of this essay, culture is not a fixed thing, it changes over time. A prime example of this would be opera. It started off for working class people but over time soon change and now is for the elite in society. If you were to look at the price it started off at it was only a few pennies but now the price of a ticket is quite high which therefore excludes people from taking part. Another example of this would be of you were to take a look at Pavarotti who had top selling albums and chart toppers, who then went to put on a performance in Hyde park for free and a woman attending give a comment to say â€Å"I cant afford to go to the posh opera houses and folk out  £100 for a ticket†. Yet again you could see some of the elite trying to police the boundaries by giving bad reviews saying â€Å"the park is no place for opera†. When you take that review and think about what they are really mean, they are saying it should stay in the opera hous e and keep its exclusiveness. Ideologies gain persuasive powers to either directly or indirectly influence the way people live, how they behave and how they relate to each other. Ideology can be understood by a set of values and ideas that a certain group shares.

Thursday, September 19, 2019

Unique Cultures in Arundhati Roy’s The God of Small Things and Chinua A

Unique Cultures in Arundhati Roy’s The God of Small Things and Chinua Achebe’s Things Fall Apart       There are a variety of cultures in this world and each culture is unique. Usually when one was born and raised in a certain culture, that person may adapt to that culture for a period of time. It is sometimes difficult to look into someone else’s culture, and understand their culture. Sometimes one must keep an open mind, study the culture, or live in another culture to understand the culture. When reading â€Å"The God of Small Things† by Arundhati Roy, and â€Å"Things Fall Apartâ€Å", by Chinua Achebe one must look beyond their culture to understand how others live in a different culture. When I read Roy’s novel, I did not get a great understanding of the novel, because it was difficult to follow. I did not know a lot about the culture before I read novel. Both text discusses a particular cultural group, and as the narrator tells the story the narrator intertwines the cultural elements with the actual story being told. The differences between the text were the way the text was structured, and how the stories were told. Also, both texts contained different religions practiced by the particular cultural group. In â€Å"The God of Small Thingsâ€Å", and â€Å"Things Fall Apart† both consist a particular cultural groups. In â€Å"The God of Small Thingsâ€Å", the people in the story were Pakistan Indian. The way Roy described the setting in the story, and how the people looked gave an idea of where the story took place. Plus she also mentioned some cities that are in India. Roy described the rivers as being unclean, but people would cleanse themselves in the river. The women wore saris. The immediate families and extended families seemed to live together also. I... ...me language in the text also. The African clan and Pakistan Indians had different religions. The African clan believed in spirits, and the Pakistan Indians believed in the Muslim faith. Both novels were great novels to read, if one wants to learn more about a particular culture. â€Å"The God of Small Things† is a little difficult to understand. There were so many different meanings in the novel. I believe that people should get a better understanding of one’s culture before one reads a novel of a different culture. If one does not understand the culture, one can misinterpret the meanings in the story.    Work Cited Achebe, Chinua. â€Å"Things Fall Apart†. The Norton Anthology of English Literature. Ed. M.H. Abrams. 7th ed. vol. 2c. New York: W.W. Norton & Company, Inc., 2000. pp.2617-2703. Roy, Arundhati. The God of Small Things. New York: Random House, Inc., 1997.

Wednesday, September 18, 2019

Overpopulation, Population Control and Public Policy Essay -- Explorat

Overpopulation, Population Control and Public Policy The population explosion in the last one hundred years is a well-documented, and well-examined subject matter. All sorts of agencies have devoted time and resources to studying, problematizing, and strategizing in order to deal with the threat of overpopulation. Diverse groups, including the United Nations, have developed plans to encourage population control and decreased fertility rates. I will not go into the specifics of these plans here, as I will be examining them in detail in my presentation next week. However, I will say that population control in Third World nations have become an essential component of public policy, and have taken on many forms around the world. However, it seems possible that we are all jumping the gun. What if the population explosion is a self-correcting problem? There is some evidence that global fertility rates are naturally declining, even in areas without family planning and population control. Could the improved health and education in many countri es be achieving this goal without specific population control measures? Or else, are changes in the environment simply lowering human’s fertility? In addition, some people argue that it doesn’t matter how whether the population is exploding. There are those proponents of the â€Å"tech-fix,† who believe that human ingenuity is capable of dealing with any human population, and therefore the population explosion is not a problem. Malthusians are faced with many opponents in the modern day, and it does not seem to be likely that experts will reach a consensus on the danger of population growth any time through. However, I am not sure that this should put an end to the notion of family planning and popul... ...gnificantly positive benefits around the world. First, it may be able to slow the spread of AIDS and other STDs by spreading knowledge and condoms to places where the AIDS virus is prevalent. In addition, birth control and family planning is a key element in the improvement and increase in women’s rights. I do believe that a women’s right to reproductive freedom was a monumental victory for the feminist movement here in America. In addition, the benefits of birth control to women’s physical health are also very important. The decrease in number of pregnancies, and the increase in time between births are important in making childbirth safer and healthier for women. Population control may be useless and unnecessary when it comes to actually addressing the â€Å"population explosion,† but it produces positive side-benefits that may be as important as its primary objective.

Tuesday, September 17, 2019

Brain & nervous system

Brain is the part of the nervous system that is enclosed in the skull. All vertebrates have well-developed brains; most invertebrates do not have true brains. Instead, they have groups of nerve cells called nerve nets, nerve cords, or ganglia. The human brain is an extension of the spinal cord, and with it makes up the central nervous system. It contains billions of neurons, or nerve cells, each with more than 10, 000 synapses, or connections to other neurons. No two brain cells are alike. The brain cannot regenerate new brain cells but it can bypass dead or damaged cells to form new synapses between existing cells.The brain receives information from all parts of the body and sends out instructions to the body’s various organs and systems. The information and instructions travel through the brain in the form of nerve impulses, electrical signals that elicit chemical changes. The impulses travel along the neurons and move from one neuron to the next across the synapses by means of chemicals called neurotransmitters. It is through nerve impulses that the brain controls such activities as voluntary and involuntary movement (Zoeller, 2003).The brain is connected with the sense organs, muscles of the head, and internal organs of the body by 12 pairs of cranial nerves. Some of the cranial nerves, called motor nerves, carry impulses from the brain to various parts of the body. Others, called sensory nerves, carry impulses from the body back to the brain. Most pairs of cranial nerves contain one motor and one sensory nerve; a few pairs contain sensory nerves only. The brain consists of two types of tissue: (1) nerve cells, or gray matter; and (2) sheathed nerve fibers, or white matter. The sheath is composed of myelin, a fatty protein that protects and insulates the fibers.A large number of blood vessels carry nourishment to the brain. The brain extracts certain substances from the blood and metabolizes them (that is, produces chemical changes in them) to produc e energy. Glucose, its main source of energy, is metabolized by a chemical reaction with oxygen carried in the blood. The human brain is more complex and has more functions than the brain of any other animal. It is the seat of consciousness and the coordinator of the nervous system. Thought, memory, imagination, and other mental processes are functions of the brain.Specific areas in the brain are responsible for language and emotions. The brain is the seat of sensations. All voluntary and some reflex muscular movements are initiated and regulated by the brain (Colzie, 2006). In addition, various parts of the brain control such automatic functions as heartbeat, temperature regulation, digestion, and breathing. The brain of the average human male weighs about 3 pounds (1. 4 kg); the human female, 2. 7 pounds (1. 2 kg). At birth, a baby’s brain weighs only 11 to 13 ounces (310 to 370 g), but it grows rapidly during the first years of life.By the age of seven, a child’s br ain has reached nearly its full weight and volume, after which its growth is slow. The brain of a human male is fully grown by the 20th year, that of a female somewhat earlier. After the age of 20, the brain loses about one gram (0. 04 ounce) of weight per year (Spear, 1995). This study discusses the brain development and how it functions. II. Discussion Brain tissue is very soft and easily injured. It is well protected, however, by the skull and by three membranes of connective tissue, collectively called the meninges, between the skull and brain.The outermost membrane is thick and tough, and fits closely to the inner surface of the skull. This membrane is called the dura mater, which is Latin for â€Å"hard mother. † The innermost membrane is the pia mater, Latin for â€Å"tender mother. † This thin membrane contains a network of blood vessels. These blood vessels supply nourishment to the brain, and carry blood from its interior back to the heart. The pia mater conf orms exactly to the outer surface of the brain itself (Cynader, 1994). Between the dura mater and the pia mater is the arachnoid, or â€Å"spider-like,† membrane.It is a soft, delicate, transparent tissue. The subarachnoid space, between the arachnoid membrane and the dura mater, is filled with cerebrospinal fluid, a clear, colorless liquid composed of protein, glucose, urea, and salts. It moistens the tissues of the brain and protects them from injury. The brain is also protected by the blood-brain barrier, a network of tightly meshed capillaries (tiny blood vessels) that selectively filter out harmful chemicals and waste products while permitting other substances, such as nutrients, to pass directly into the brain (Zoeller, 2003).This barrier prevents harmful compounds in the blood from being absorbed by brain tissue. A. Parts of the Brain The brain itself consists of three main parts: a large forward part called the forebrain; a narrow middle portion called the midbrain; a nd a rear part, called the hindbrain. It contains four cavities (hollow spaces called ventricles). The Forebrain, which is made up mainly a mass of neurons called the cerebrum, occupies most of the skull cavity and accounts for 90 percent of the weight of the entire brain. The surface of the cerebrum is a layer of gray matter called the cerebral cortex.It has many folds, or convolutions, which greatly increase its area. The longitudinal fissure, a deep cleft running from front to back, partially divides the cerebrum into right and left hemispheres. A central band of nerve fibers called the corpus collosum connects the two hemispheres. It contains bundles of nerve fibers called nerve tracts that carry information between the two hemispheres. The corticospinal tract carries impulses from the cerebral cortex to the spinal cord. Its fibers cross each other at the region where medulla oblongata (an area in the hindbrain) meets the spinal cord (Sousa, 2006).Thus, the left interprets the s ensations of the right side of the body and vice versa. Each hemisphere performs unique tasks. The left hemisphere is responsible for logical thought, writing, and mathematical skills. The centers of language are also located here. Broca’s area, situated in the frontal lobe (the forward section of the hemisphere), is responsible for the production of language. Wernicke’s area, situated in the temporal lobe, a section above the ears, is responsible for the comprehension of language. The two areas are connected by a bundle of fibers called the arcuata fasciculus.Damage to these fibers will cause speech impairment. The right hemisphere is responsible for intuition, musical and artistic ability, and analysis of visual patterns. Although each hemisphere is responsible for different functions, one can take over for the other in the event of localized brain damage (Puckett, 1999). The cerebral cortex contains two specialized areas: the somatic sensory cortex and the motor cor tex. They are separated by the central fissure, a deep cleft perpendicular to the longitudinal fissure and extending across the roof of the brain.The somatic sensory cortex receives sensory signals from the skin, bones, joints, and muscles. The motor cortex controls the voluntary movement of muscles. Almost every part of the human body has a specific region controlling it in both the somatic sensory cortex and the motor cortex. Body parts that perform intricate movements, such as lips, hands, and legs, are controlled by large parts of the cortex. Body parts that perform gross movements, such as the shoulders and trunk, are controlled by smaller areas. Adjacent regions in the brain control adjacent body parts (Spear, 1995).The cortex of each cerebral hemisphere is divided into four sections, called lobes: 1. The Frontal Lobe, the forward, upper part of the cerebrum, includes the areas concerned with intelligence, judgment, emotional reaction, and the movement of skeletal muscles. 2. The Parietal Lobe, in the upper, back area of the cerebrum, receives and interprets the sensations of pressure, temperature, and position. 3. The Temporal Lobe, above ears, is concerned with hearing, memory, and understanding of speech. 4. The Occipital Lobe, in the back part of the cerebrum, is concerned with vision and the interpretation of objects that are seen.Each hemisphere contains a mass of nuclei called the thalamus (plural: thalami). It consists of gray matter that integrates a wide range of sensations from the visual and motor cortexes. It also plays a role in emotions. Above each thalamus are two basal ganglia, clusters of neurons that help regulate body movements (Cynader, 1994). Beneath the thalami is the hypothalamus, a mass of nerve cells and fibers that controls the reaction of the body of stress and to strong emotion. It also regulates the body’s water balance, temperature, appetite, sleepiness, and heart rate.Below and in front of the hypothalamus is the pi tuitary gland, which is partially controlled by the hypothalamus (Colzie, 2006). The pineal gland, or epiphysis, is a coneshaped organ located beneath the corpus callosum. It is connected by nerves to the eyes and is extremely sensitive to light. In response to darkness, it secretes melatonin, a hormone that is believed to induce sleep (Sousa, 2006). The olfactory bulbs, which govern the sense of smell, are located on the undersurface of the hemispheres. Nerves run from the nose through these bulbs to the cerebrum (Sousa, 2006).The Midbrain contains tracts (bundles) of nerve fibers that connect with other parts of the brain and with the spinal cord. The midbrain also has centers for auditory and visual reflexes, such as the contracting of the pupils (Sousa, 2006). The Hindbrain consists of three parts: (1) the cerebellum, behind and beneath the cerebrum; (2) the pons, beneath the midbrain and opposite the cerebellum; and (3) the medulla oblongata, attached at its base to the spinal cord (Sousa, 2006). The cerebellum, like the cerebrum, has a convoluted surface. The chief function of the cerebellum is to coordinate and regulate movements of the skeletal muscles.(The movements, however, are initiated and controlled by the cerebrum). When the cerebellum is damaged, ordinary movements directed by the cerebrum cannot be carried out. Limb movements become slow and jerky, and speech may become slurred. The pons is a smooth-surfaced bulge between the midbrain and the medulla oblongata. It contains tracts that connect the two sides of the cerebellum, and tracts that connect other parts of the brain with each other and with the spinal cord. Many of the cranial nerves pass through here. The pons controls the motor and sensory nerves to the eyes, jaw, face, and muscles.Together with the cerebellum, it regulates posture and balance (Puckett, 1999). The medulla oblongata is smooth, without convolutions. It contains three important nerve centers: one affects the rate of hear tbeat; one controls breathing; and one produces the constriction of blood vessels to control the volume of blood supply to the tissues. It is also the site where the nerves from the left hemisphere cross over to control the right side of the body and vice versa. Reflex centers of vomiting and swallowing also lie in the medulla. The midbrain, pons, and medulla, oblongata together form a structure called the brain stem.Deep within the brains tem, extending from the medulla to the midbrain is a network of nerve cells and fibers called the reticular formation (Cynader, 1994). The reticular formation regulates the amount and speed of electrical activity in the cerebral cortex. Many sensory nerves feed into it. It is believed to be the seat of consciousness. Ventricles. There are four ventricles within the brain. These cavities are connected to each other and to the hollow core of the spinal cord. The largest cavities are the two lateral ventricles, located in each hemisphere of the cereb rum.Beneath the lateral ventricles is the third ventricle and under it is the fourth. Cerebrospinal fluid is formed and stored in the ventricles (Cynader, 1994). Within the lateral ventricles is the limbic system, a group of structures that controls emotions and behavior, stores memories, and is involved in learning. It contains two masses if gray matter: the amygdale and the hippocampus. B. Chemistry of the Brain Since the early 1970’s, researchers have discovered that the brain contains more than 50 neurotransmitters, chemical substances that facilitate the transmission of nerve impulses between neurons.They interact with specific receptor sites in the brain to elicit chemical changes. Some circulate throughout the body (Spear, 1995). All neurotransmitters have chemical precursors. These are substances, composed of glucose and amino acids, which are produced elsewhere in the body and are carried in the bloodstream. The precursors are able to cross the blood-brain barrier in to the brain, where they are eventually converted into neurotransmitters (Spear, 1995). The quantities of neurotransmitters in the brain are affected by the consumption of certain foods and also by strenuous exercise.Endorphins make up a family of neurotransmitters that act as natural painkillers. They moderate the amount of pain an individual feels. They are composed of chains of amino acids called peptides. Narcotic analgesic drugs, such as heroin or morphine, effectively reduce pain by occupying the same receptor sites and producing the same interactions as endorphins. These drugs are often prescribed for severe pain or when there is a delay or malfunction in the release of the natural painkillers (Zoeller, 2003). Acetylcholine is a neurotransmitter that functions in storing memories, regulating moods, and controlling body movements.Consumption of such foods as eggs, soybeans, and liver increases its production. All of these contain lecithin, which is converted into choline in th e liver. Choline is a chemical precursor that is converted into acetylcholine in the brain. Serotonin, a neurotransmitter found only in the hypothalamus and midbrain, relieves depression, reduces sensitivity to pain, and induces sleep. Its chemical precursor is tryptophan, which is found in the protein in meat, fowl, and fish. Norepinephrine is another neurotransmitter that helps relieved depression (Zoeller, 2003).Its precursor is tyrosine, which is also found in protein. Strenuous exercise increases the production of endorphins and norepinephrine. It is this increased production that causes â€Å"runner’s high—an increased tolerance to pain and a state of euphoria experienced by many long-distance runners. III. Conclusion In conclusion, as I study this subject I have discovered one thing and that is— brain is like your computer’s body. It receives information from the internal organs such as the heart, intestines and from the sense organs—the ey es, the ears, the tongue, the skin and the nose.It makes me think that the brain is the control center of the body. It receives all messages from different parts of the body, interpret them, and tell the parts what to do. Moreover, as what I have understood from the research I conducted, it gives me an idea that the brain is not completely developed even in full-term newborn infants. A great deal of brain development takes place in the first few months of postnatal life; and, in fact, brain growth continues at least until adolescence, and perhaps in adulthood. Some nerve fibers in the brain develop myelin sheaths.Many of these nerve fibers have not become myelinated by the time of birth. The process of myelination continues for years, especially in the reticular formation and parts of the forebrain. Reference: 1. Colzie, Lakesha (2006). The First Three Years and Beyond: Brain Development and Social Policy. Childhood Education, Vol. 82. 2. Cynader, Max S. (1994). Mechanisms of Brain Development and Their Role in Health and Well-Being . Daedalus, Vol. 123. 3. Meltzoff, Andrew N. (2002). The Imitative Mind: Development, Evolution, and Brain Bases. Cambridge University Press. Cambridge, England. 4.Puckett, Margaret (1999). Examining the Emergence of Brain Development Research. Childhood Education, Vol. 76. 5. Sousa, David A. (2006). How the Arts Develop the Young Brain: Neuroscience Research Is Revealing the Impressive Impact of Arts Instruction on Students' Cognitive, Social and Emotional Development. School Administrator, Vol. 63. 6. Spear, Norman E. (1995). Neurobehavioral Plasticity: Learning, Development, and Response to Brain Insults. Lawrence Erlbaum Associates. Hillsdale, NJ. 7. Zoeller, R. Thomas (2003). Thyroid Toxicology and Brain Development: Should We Think Differently? Envir

Monday, September 16, 2019

Quotes from the Outliers

Select one of the choices from below (quotes from various chapters In Outliers book). Organization of paper: Typed 12 point Times New Roman font, MEAL format regarding header, title, and parenthetical citations 2 pages in length Dates: Work on paper in class (computer lab) Monday, final copy due Wednesday (printed paper copy due in class). You must also submit your essay online to www. Turning. Com by midnight on Wednesday, 2/12 or face up to a 20 point deduction.In Outliers Chapter 1, Malcolm Caldwell writes: â€Å"It's not enough to ask what successful people are like†¦ It is only by asking where they are from that we can unravel the logic behind who succeeds and who doesn't. † Agree or disagree. Support your position with appropriate evidence. In Outliers Chapter 2, Malcolm Caldwell writes: â€Å"†¦ People were given a special opportunity to work really hard and seized it, and who happened to come of age at a time when that extraordinary effort was rewarded by th e rest of society. Their success was not Just of their own making.The paragraphs must be arranged in a logical order with transitions between them. 10 Word Choice/Diction: Word choice should be precise. No slang. No contractions. 5 Sentence Fluency/Effective syntax: Essay should contain a variety of sentence types. 10 8 5 Presentation (MEAL format with left and right headers, title, page numbers, etc. ) 10 Conventions: Essay should be free of mechanical errors, usage errors, verb tense errors, spelling errors. No run-ones. No fragments. ONE point off for each error. 1100 points

Sunday, September 15, 2019

Radium Girls

Isn’t it scary to think that someone could keep a huge secret from you, a secret so big that it could potentially kill you and hundreds of other people? This happened in the 1920’s and changed many people’s lives forever. Today, I’m going to share with you something that had a big effect not only as u as a country but us as the Illinois Valley. My topic is the Radium Girls of Ottawa. This is a topic that I know much about; I did my 8th grade history fair project on this, read a few books about it, and even interviewed two of the radium girls.My three main points will be what the radium dial company was, who the living dead girls were, and the after effects of this tragedy. My first point is the Radium Dial company, according to the book Deadly Glow, in 1922 the radium dial company moved from Peru Il, to Ottawa and hired hundreds of girls to paint the dials of WWI and WWII clock faces. The paint used was called luna that contained radium to make the watch g low in the dark.To get the dials perfect the girls were told to wet the tip of the brush with their lips. Their boss failed to mention that radium can cause anything from cancer anemia, bone fractures and necrosis of the jaw, known as radium jaw. Their boss knew about the dangers but told them it would only make their cheeks rosy. Unaware of the dangers the girls would paint their teeth, nails, skin, and hair and turn off the lights so they could glow. This brings me to my second main point, who were the society of the living dead?According to the book Radium Girls, after a year the girls started to complain about jaw pains and their teeth started to fall out. They demanded to be seen by doctors, only to be lied to about not having radium in them and they were perfectly healthy. The doctors who saw them knew they had radium in them, but didn’t tell them. This started their group â€Å"the society of the living dead† the girls were filing for unsafe working conditions. Catherine Donohue was the leader and she was one of the girls who were affected the most.Even through her illness she still won the case that granted all the girls $10,000 to split amongst themselves and all their medical bills were paid. Some of the girls benefited from the case, but money could never heal their mental and eternal illness. The death toll in Ottawa was 35, and 4,000 nation. My third and final point is the aftermath of the case. In my interview with June Menne and Pauline Fuller in October of 2010 both who worked for the radium dial company at this time shared a little information on just how things hanged. Even though a lot of the young girls died before they reached thirty, this tragedy changed lasws that ban people form working hands on with deadly chemicals and right to sue corporations for labor abuse. The building was torn down in 1969. The governor then appointed 2 million dollars to clean up the radium. This tragedy is still affecting Ottawa today, there was a test in 2007 for radium detection and to this day it is still scattered in Ottawa. Thankfully there have been no other cases of anything like this.It just shows that something bad has to happen before things will change. On September 2, 2011 a statue was put up of a girl holding a wilted tulip in one hand and a paintbrush in another to remember the tragedy. Thank you for listening to my speech on the radium girls. I hope you learned my three main points which were what was the Radium Dial Company, who the society of the living dead was and what the effects of this case had on our nation. Any questions?

Saturday, September 14, 2019

An Overview of Project Finance and Infrastructure

In the United States s alone, firms financed d S 19 billion o of capital expo punctures using project finance loans and bonds in n 2009, down n from $39 billion in 2008 and $47 billion n in 2007. The he economic crisis, which h began as a housing h crisis in the U. S. In n 2007 and SP bread globally y in 2008 and d 2009, froze g global capita al markets, cue retailed bank k lending, and d dramatically reduced p project finance lending. Of or this reason n, it makes sense to look k back at 2007, when thee credit mark sets were pop pen and liquid did, to understand the relative import once of project finance.In the U. S. , firm ms financed $447 billion of capital expense indentures using g project final once in 2007-?much less the Han the $1 , 1 266 billion corp. orate bond m market, the $9 44 billion MO Ortega-backed security market, the $8898 billion asset-backed security market, and the $3 359 billion tax x-free municipal bond ma racket. Yet com marred to fin Nanning much humanism f or new or start-u up companies, the $47 billion invested in project companies w was larger the Han the $46 b raised d through initial public offerings (IPSO) and the $332 billion NV vested in new w firms by venture al funds. Private-sector firms have historically used project fin nuance for mind distrust projects such as m mines, pipelines, and oil fields. Begin inning in the early asses, h however, privy ate firms also began financing infrastructure projects such ass toll roads, power plants, and telecoms immunization NSA systems. B More recently, in the 20 Coos, private firms have begun to fin nuance social infrastructure projects us such as shoo Owls, hospitals, and prisons.Studies on economic development find d that infrastructure investment is associated with as much as one-for-one percentage increases in g gross domestic product (G GAP), though GHz recent stud dies indicate that every dollar d of increased infrastructure spend ending generates an a Information on some e of the se and other projects ca n be found in Benjamin C. Zesty, Modern Project Finance: A C Casebook (New Jersey: Wiley, 200 04). B The infrastructure sector includes WA eater, transportation, electricity, n natural gas, and d telecommunications projects.In n these types of o projects the users of the project or the buyers off the output or eservice are typically individuals rather than companies. Professor or Benjamin C. Est. y and Senior Researcher Aledo Asses off the Global Research Group prepared this note as the basis for class discussion. Copying get 2010, 2011 President and Fellow was of Harvard College. To order copies or request perm session to reproduce materials, call 1-?800-5457685, write Harvard Busing news School Publish hinge, Boston, MA 021 63, or go to www www. Hubs. Harvard. Deed/educators.The his publication may y not be digitized d, photocopied, or otherwise reproduce cued, posted, or trans insisted, without the permission Of H Harvard Business S School. This document is authorized for use only by Bogie Ghana in Financial Management taught by Seward, at University of Wisconsin – Madison from January 201 5 to July 2015. 210-061 An Overview of Project Finance and Infrastructure Finance-? 2009 update increase of $1. 59 in GAP. Country-specific studies of development find that inadequate infrastructure severely hinders economic growth.For example, insufficient or irregular power supply reduces GAP by 1% to 2% in India, Pakistan, Colombia, and Uganda. 3 Despite the growing demand and opportunities for private-sector involvement in building infrastructure, private firms still provide only a small fraction of the total amount invested, which is a small fraction of the total project demand. Indeed, many governments have announced multimillion-dollar stimulus packages with a heavy emphasis on infrastructure spending as a way to stimulate growth during the current lobar recession.

Friday, September 13, 2019

International trade and transportation law Essay

International trade and transportation law - Essay Example   Generally, the bills of lading used on international shipments include ocean bills of lading for cargo transported by ocean and air waybills for cargo transported by air. Some bills of lading are negotiable where as some are not. The difficulties of non negotiable bill of lading was explained by Chana (1999). He also discussed about the comparison of bills of lading in China, Hongkong and United States of America (Chanb, 1998). The status of bills of lading in China was also explained by Chen (1999). The letter of guarantee provided by the bank or any financial institution will be vital in some cases of bills of lading. For example in case of an Australian context i.e. Pacific Carriers Ltd. v. Banque Nationale de Paris, the bank who had given the letter of guarantee was held responsible for loss of goods (Derrington and White, 2002). Even though letters of indemnity are a common practice, in some of the ceses, they were criticized by the courts for violation of the facts (United Baltic Corp. v. Dundee Perth & London Shipping Co., 1928). By performing all the above mentioned functions, bill of lading contributes significantly to International trade of goods. With the bill of lading showing that a contract of carriage exists and that the goods have been received by the carrier, a buyer and his bank are assured that the delivery of goods according to the contract of sale is under progress. Similarly an exporter, holding a bill of lading as title to the goods, may, by choosing when to pass the bill to the buyer, decides when the latter takes delivery of the goods. Thus the bill of lading becomes an essential element in controlling payment procedures in international trade. Most important thing is that the extent of protection provided by bill of lading is quite enormous (Jan Ramberg, 1979). The standard format for documentary credit transactions in international trade is ‘The Uniform Customs and Practice for Documentary Credits’, or UCP 500 which will ensure

Thursday, September 12, 2019

Ethics - Social Responsibility of a Business Essay

Ethics - Social Responsibility of a Business - Essay Example Based on the situation presented, Company Q is neglecting three areas of responsibilities: employee relations and labor, product safety and liability, and community relations. Furthermore, the scenario suggests that employer suspects of the possible fraud due to the reported incident of losing profit. In depth investigation results to the cause of employee’s poor ethics is the below minimum salary given to them. Ingram (2011) asserts that the common trend in grocery stores is paying low wages for employees, but practicing excessive labor. Thus, the company is violating the labor code and its responsibility to the employees. The consumers requested for the reopening of their store, but they provide high margin items which are not health-conscious, but generate high profit. It may be that competition is not stiff, so the Q grocery store is confident to offer low services. Another possibility is the increased demand of customer for local store; hence, switching cost is unnecessary. However, code of ethics states that companies must offer healthy food choices that adhere to the standard of product safety (Maloni & Brown, 2006). This has been one of the CSR issues that grocery stores must address as part of their commitment to society. Lastly, the rejection of donating day-old goods to the food bank is an indication of poor conduct. As part of the community, company Q must offer help through donations to charities, including governmental organizations. It is the primary response of companies to meet the expectation of stakeholders. The management was apprehensive of the implication of their food donation that will give reasons for employees to commit fraud. This reasoning is creating havoc that will produce disloyalty from consumers and employees. According to the study of Maloni and Brown (2006, p. 40), philanthropic acts develop and invigorate employee’s commitment, and gain competitive advantage. Based on the three

The role of divorce and single-parenting in creating poverty among Essay

The role of divorce and single-parenting in creating poverty among children - Essay Example The task of deciding how to engage fathers with their families is primarily under the purview of the provinces. Most provinces offer classes, mediation, and information for fathers and mothers on how fathers can maintain contact and be a positive influence in the lives of their children even after a divorce. Most provinces also offer such things as mental health services for children of separated or divorced parents. Although unstated, the policy of most provinces seems to be to try to keep the father mentally and physically involved with children even if they are not married or in a relationship with the mother. Unfortunately, the services offered to fathers seem to be almost an after-thought. Especially given the uphill battle unmarried fathers face in the Divorce Act. The primary target of the various departments is the single mother. Like most social welfare programs, the target of these policies is poor families. The Divorce Act complicates the relationship of poor faterhs with their children because poor fathers are more likely not able to meet the demands of their divorce or child-support decrees. At the same time, while not having a father affects all children, the results are especially damaging when the mother is poor. Similarly, tax benefits and allowances at the national and local levels (e.g. Canada Child Tax Benefit and national Child Benefit Supplement) are exclusively for the primary custody holder of the child. Meaning that although he is financially responsible for his children, fathers, even the very poor fathers, do not receive any support in trying to care for their child. This paper will show that while these efforts at engaging fathers are good and noble, the programs don't go far enough in encouraging parental involvement or assiting fathers who want to do the right thing for their children. Furthermore, those policies that try to encourage fathers to be more involved with their children are targeted primarily toward poor families, when in fact children of all economic classes would benefit from having fathers who better knew how to parent. Method In order to figure out provincial policies on educating and engaging fathers in the parenting process, I looked at reports published by various local governments. I also looked at what services were available to parents and specifically to fathers and to divorcing or separated families. There is a large amount of literature in the journals on the role of fathers in contributing to or helping to eliminate child poverty. The literature nearly universally agrees that the financial and parental contributions of a father are one of the most effective ways or reducing the number of children in poverty. Some of the literature is strongly in support of marriage, suggesting that the way to bring down the numbers of children living in poverty, it would be best to encourage unmarried mothers to marry and to help couples that are married stay that way. Others suggest that it would be far better to teach fathers how to be good parents and to provide them with support so that they can help provid e for their families whether or not they live with them. The governments seem to take this line. While many of the provinces offer some sort of marriage counseling, the vast majority of the services offered do not take into account whether or not the parents are married. Issues Addressed by the Policy The primary issue addressed by

Wednesday, September 11, 2019

The Battle of 'Ayn Jalut (September 8, 1260) Essay

The Battle of 'Ayn Jalut (September 8, 1260) - Essay Example Jumi’u’t-Tawarikh put this battle into documentation presenting the struggles between the Mongols and the Mamluk. The events transpired in 1260, July, when both the Mamluk and the Mongol were encamped in Palestine. The author presents the Mongol as an army that considered itself unstoppable because it had conquered so many nations and territories including Damascus and Baghdad. This victory made Hulagu send envoys to Egypt to demand their surrender. Instead, Quduz responded by destroying the envoys. There were myriad assumptions as to what the Mongols could do to Egypt, but that turned the other way round and the battle led to the death of Ket Buqa Noyan, which saddened Hulagu greatly (Har-El 28). This document is a chronicle of the battle between Muslim nations that took place in the early ages. The author of the document is bringing forth the victory of the Egyptian army against the Mongols. The Mamluks of Egypt can secure themselves from the invading Mongols. The document, therefore, intends to reach the Egyptians and offer them a clear documentation of the events that took place in the struggle to defend themselves from invaders. The document also presented the prowess of the Mamluks to Halugu, who was devastated of hearing the death of his own general. The document presents various main points to its audience. The author begins by presenting the threat that was before Egypt. He proceeds to presenting the numerous conquests that the Mongols had managed to stage. The Egyptians are seen going round and round in reflection regarding the best thing to do: surrender, resist, or escape. After a lot of deliberations, they decide to face the attacks and are seen coming out strongly. The document, therefore, presents the fear before the battle and the role of courage in assisting the soldiers to conquer a much feared enemy. The society presented by the document is seen as one

Tuesday, September 10, 2019

Labor market Term Paper Example | Topics and Well Written Essays - 1250 words

Labor market - Term Paper Example America’s obsession with Industrial began with Slater’s mills in which textiles became the primary market to produce. Although it may seem a new age, most workers were orphans or children who owed debt to the nation. The drive of capitalism for this country relied on many factors that included slavery, turned raw goods into products, factories, and the ability to produce such a drastic workforce. Hence, Smith’s ideas of capitalism along with an adequate labor force. The labor market impacts the economy through market equilibrium, immigrants, and statutory laws enacted by the government (Abowd, 12). During a recession, when the economy struggles to thrive, employment is diminished as the labor force is not to keep the market equilibrium in check. Consequently, during an economic book, both employment and inflation rise due to the money supply market. Labor, capital, natural resources and entrepreneurship are the key elements that contribute to serve as a catalyst for the economic growth of US. Labor consists of the people who produce the goods and services in an economy while capital is the equipment, machinery, manufacturing plants and office buildings needed to produce goods and services (The Workers Union. 2). Labor is also influenced by government investment in infrastructure, such as schools, roads and parks. These can also have an effect on the wages paid to the labor force because people are willing to relocate depending on the competitive salaries offered. The economic history of labor market is associated with the correlating the forces that drive the allocation of lab or effect in the economy during different times. Labor market institutions are prevalent in society as the formation of unions is the testament towards the collaboration and gathering of the labor market (The Workers Union, 28). In addition, the new decade has witnesses the evolution of labor market as job staffing agencies have been created in order

Monday, September 9, 2019

Qualitative Executive Summary Research Paper Example | Topics and Well Written Essays - 750 words

Qualitative Executive Summary - Research Paper Example ple, they feel unappreciated in their communities and hence engage in immoral activities such as premarital sex, drug addiction, robbery, murder, and rampage strikes in schools. Due to increase of such activities among high school students it was necessary for us to conduct a research on the reason for all these. The main reason of the study is to find out why such immoral activities happen mostly in high school. What is the main contributing factor towards such activities? In the same environment of study are there any high school students who don’t participate in immoral activities? What is the difference between this student and the others? The audience for our study will be determine on the following basis, that include people who interact with the high school students mostly ,i.e. parents of the students ,class teachers, their guardians, elder brothers and sisters. These people will help us answer certain questions about the high school students and how they behave. The main individual under study is the high school student and so the comments made will also be treated as a data towards achieving our goal of the study. The critical part of the study is lack of openness among high school students to other people. This is attributed to many factors such as the wide gap of age difference, advancement of technology in the modern world for instance face book, twitter and other social network making it hard for them to have one on one talk with their counselors. The question is what would most improve your guidance program? According to the study we are trying to engage the high school students to open up and share with us on how we can be of help to them in order to be a better person in the society. In the data we find that out of the 125 high school correspondents, 60 students prefer to be listened to and this is a huge number, it was followed by lack of good advisory on career choice, availability of counselors came in third. In this analysis, we can

Sunday, September 8, 2019

Cultural event report Essay Example | Topics and Well Written Essays - 500 words - 1

Cultural event report - Essay Example Indeed it was a beautiful sight as we passed through the garden and entered in to the main hall which was full of visitors. Majority of people present in the hall were renowned artists who were there solely for the sake of praising the art of African Americans. A large number of paintings and sculptures were placed on display. However, the most significant feature of the gallery included paintings gifted by Andrew W. Mellon in 1920. In addition to this I found following two very special pieces of art. It was a wonder work by an American artist Jacob Lawrence (1917-200). This distinctive painting was made using graphite and tempera on wave paper. As the name indicates it was a picture reflecting the streets of crowded busy outdoor Nigerian market. Shops were shown on either side of the street and people were captured busy in making purchases. The colors were used in such an artist manner that the viewer could image himself a part of the crowd, who is able to hear different sounds, buy and sell goods, etc. Additionally a dissonance of primary colors finely tuned the overall sense of upheaval. This was yet another unique painting of its type featuring a tripled image such that the viewer could see one man from three different dimensions as a single captured subject. The Painting was made using oil on canvas and this distinctive piece of art was the creation of Barkley Leonnard Hendricks. The picture clearly reflected the culture and fashion of 1970’s in the era of civil rights. Very few colors were used in the painting and therefore it was giving a complete natural look. We reached there at around 12 pm on a bright sunny day. It was chilly winter and the sunshine was feeling like a blessing. The distance was about 50 kilometers from my residence and we covered it in around 20 minutes. The National Gallery of Art is built upon a very large area with a huge garden of approximately 6 acres.

Saturday, September 7, 2019

Judicial Corruption in the US Research Paper Example | Topics and Well Written Essays - 750 words

Judicial Corruption in the US - Research Paper Example A censor of the previous judge of the Michigan Supreme Court, Justice Betty Weaver, which was termed as â€Å"a formal censure without any adjudicative proceeding† (Zernik, 2011), for her role in criticizing the judiciary and calling for its reform is a true revelation that corruption has taken strong roots in the US judiciary. Justice Weaver has for long been an advocate of judicial reform in the USA, arguing that corruption has exacerbated to levels that are completely threatening to erode the credibility and confidence in the USA justice system (Zernik, 2011). The USA judicial system is now characterized by discrimination and prejudice, where the richer are favored at the expense of the poor, while the whites are treated different in the interpretation of the law, from the Blacks (Konzy, 2013). Needless to say, the corruption in the USA judiciary started as early as 1803, when the judiciary was barely 15 years old, as can be traced in the ruling of the Marbury vs Madison, i n which the District of Columbia ruled that Marbury as the plaintiff was entitled to his claimed commission, but the ruling further denied him the commission, on the basis that the court did not have jurisdiction to such cases, yet it had previously issued rulings in similar cases and circumstances (Kozy, 2013). It is such precedents that have now become the norm of the current USA judicial system, as can be traced in the recent rejection of an application by the USA Supreme Court, filed by over two million subscribers, seeking to have Comcast Corporation be charged for overcharging the subscribers for far too long, through unfairly eliminating competition (Konzy, 2013). The Supreme Court surprisingly rejected the proposed legal action against the company, on the grounds of technicality, notwithstanding the case entailed an injustice perpetrated against 2 million people. The incidences of corruption in the judiciary have significantly increased, and the system seems to be forming a cartel of judges and lawyers, who collude with wrongdoers to perpetrate these injustices (Zernik, 2011). No wonder that major companies have managed to apply taxation gimmicks to avoid taxation, and have placed the burden on the already suppressed tax payers. Causes of corruption in the USA Judiciary The causes of corruption in the judiciary is the established culture of reshuffles within the judiciary, where the office holders of different official capacities in the judiciary have remained there for long, and the only thing that effectively happens as a change is a reshuffle from one office to the her, creating a fertile ground through which such individuals continue to perpetrate corruption (Cruz, 2013). Further, the ability of the different parties in the judicial system to operate as a cartel has made the culture of corruption in the judiciary continue to breed, considering that the lawyers and the judges who have worked together for many years are now able to establish their ow n system of injustice, through which they can collude to deny victims their justice, while favoring those they feel are responsive to their needs and demands (Cruz, 2013). Finally, corruption in the USA Judiciary has arisen and continued to thrive, courtesy of an increasingly backtracking of the American Nationalism that was

Friday, September 6, 2019

Increase Crime Among Youth Essay Example for Free

Increase Crime Among Youth Essay 1. This is to confirm that we have allotted flat no. D4 / E 5 admeasuring 920 Sq. ft.(built up area) on the Survey No.49 A / 7 constructed by us to shri PARAG VIJAY MODI for a total consideration of Rs.12,00,000/-(Rupee Twelve Lac Only)Under an agreement for sale dated 20 /12/2012. 2. We confirm that we have obtained necessary permission / approvals sanction for construction of said building from all the concerned competent authorities and the same are in force. The construction of the building as well as of the flat is in accordance with the approved plans. We assure that the said flat as well as the said building and the legal appurtenances there to be not subject to any encumbrances, charge or liability or any kind whatsoever and that the entire property is free from encumbrances and marketable. We have a clear, legal and marketable title to the said property and part thereof. 3. Shri. PARAG VIJAY MODI has/ have paid the total cost of Rs. 5,90,000/-(Rupees Five Lac Ninety thousand Only). 4. Possession of the said Unit/Gala/Shop/ Premises / Flat will be given to Shri. PARAG VIJAY MODI . 5. We have hereby confirm that we have NO OBJECTION to your giving finance to Shri. PARAG VIJAY MODI his her mortgaging the said Flat to your Bank by way of security for repayment of such finance. Notwithstanding anything to the contrary contained in the said agreement. We hereby register the Banks charge in our books in respect of the said Flat. AND Shri PARAG VIJAY MODI will not be permitted to transfer, assign, sell off or in any other way/ manner deal with the said Flat prejudicial to the interest of the Bank, without the prior written consent of your bank. 6. We undertake to form a Co-operative Society of the Flat holders of the aforesaid building under the Maharashtra Co-operative Societies Act.1960 within two years from the due hereof. We also agree to inform and given proper notice to the Co. operative Society as and when formed, about the said flat being so mortgaged to your Bank. 7. We are aware that relying on what is stared herein above, you have agreed to give the finance to Shri. PARAG VIJAY MODI P.S. Your are requested to issue your pay order in favour of sarasvat Bank c/a No CAPUB /11 M/s Gagangiri Construction. Instruction: If No.5 is not applicable then cancel the same and renumber the remaining paragraph.

Thursday, September 5, 2019

Development of Powers withing the British Constitution

Development of Powers withing the British Constitution â€Å"†¦the description of British government as an elective dictatorship is no longer appropriate.† (V. Bogdanor The New British Constitution (2009) Oxford, Hart). Discuss, considering in particular Bogdanor’s argument that the separation of powers has been strengthened within the British Constitution in recent years. Britain is described as not having a written constitution, instead it is simply: a set of inductive generalisations[1] which have resulted in Britain not having a formal separation of powers. Due to this lack of structure, the power within the constitution can become concentrated to a single group. Consequently an Act which would be held as undemocratic in places where there is a written constitution e.g. the United States, will not be in Britain. This essay aims to analyse the doctrine of the separation of powers, focusing on how the principle operates in the British Constitution where the separation between the branches of government is not strictly adhered to. It will examine how this entwining relationship has led to Britain living in an elective dictatorship opposed to the democracy it is advertised to be. Additionally, it will consider how the recent developments of the constitution, including the introduction of the Constitutional Reform Act 2005, has led to the separation of powers being strengthened therefore the democracy of Britain increasing. The separation of powers is one of these principles that is found, in one form or another, in most modern constitutions[2]. It is a feature predominantly in constitutions which operate a system of government that is based on the law. The importance of the doctrine is significant because it underpins the way the power is used within a state. Nowadays, it has been recognised as having a crucial role in the constitution; it remains important to distinguish the primary functions of law-making, law-executing and law-adjudicating. If these distinctions are abandoned, the concept of law itself can scarcely survive.[3] Poor division of power between the different organs would mean it is impossible to prevent abuse therefore a dictatorship could arise. The principle suggests that the correct way to separate the power is to divide it equally into three separate organs, each with independent roles from each other. If each of these branches perform a different function then the constitution will run efficiently. The branches today are known as; the legislative- who create law; the executive- responsible for the day to day running of the constitution; the judiciary- they apply the laws. This means if these divisions are adhered to then the constitution will successfully run as an organised democracy. The Greek Philosopher, Aristotle, was the first to classify the government as being split into three elements; The three are, first, the deliberative, which discusses everything of common importance; second the officials and third, the judicial element.[4] These distinctions are based purely on a political entity[5]whereas todays understanding of the principle focuses more on different branches of the government. Todays theory comes from the French Constitutional Theorist Montesquieu who popularised the doctrine in his book, the Spirit of the Law[6]. He breaks down the institutions as legislatures, executives and judges who exercise certain specific functions making laws, executing laws and adjudicating disputes about laws[7]. These branches can be translated to the British Constitution. The Legislative branch is made up of Parliament whose function is to pass legislation which regulates the citizens and to scrutinise the work of the executive in order to ensure that they are not abusing their powers. Britain has a bicameral legislative branch which means that it is composed of two chambers; the House of Lords and the House of Commons. The members of the House of Commons are elected by the British public and the party with the most seats form the government. This means that it is a fairly elected democracy. In Britain the role of the executive is to formulate and implement policies. It is led by the Prime Minister who is responsible for the overall conduct of the government and the ministers who are the head of each department. The role of the judiciary is to interpret the legislation and apply the law in accordance with how Parliament intended it when they created it. The judicial branch covers all judges however, it is those which sit in the higher courts who are most important to the operation of the British Constitution because they are in a position to challenge the government and ensure that it functions with the law. It has been argued that in Britain, the result of not having a codified constitution is that there is no consequences in place if one branch exceed the limit of power they have according to the separation of powers theory. The principle came under significant criticism around the 1980s. One of the main criticisms was by Brazier who stated that the arrangement of the British Constitution is: at best a weak separation of powers at worst a separation in name only[8]. Locke, an English Philosopher was concerned with the division of power and the consequence if the separation was not equal. Concentration of power can seriously affect the organisation and functioning of the constitution. He believes that: it may be too create a temptation to humane frailty apt to grasp for Power, for the same persons who have the power of making laws, to have also in their hands the power to execute them, whereby they may exempt themselves from obedience to the laws they make [9] This means if there is too much power concentrated to one person, or to one branch of the government, it would lead to the system as a whole being corrupt. It would provide people with the opportunity to use the system to their own advantage, essentially creating laws others do not agree with thus creating a dictatorship. The idea that too much power can result in one group using it to their advantage can be seen within the British Constitution, where there is many overlaps between the branches. This led to Lord Hailsham describing the structure of this constitution as an elective dictatorship[10] because although the government is elected by the public, they abuse the amount of power they have been given and use this to their own advantages- they act like dictators. In theory it appears that the roles of each branch are clearly distinguished however, this is not the case in practice. However, Montesquieu also recognises that the division of power between the organs of the state is not always amicable, there can be overlap between the branches and it still be a democracy. This idea there is overlap in the British Constitution can be supported by Parpsworth who claims: a separation of powers is not, and has never been a feature of the UK constitution. An examination of the three powers reveals that in practice they are often exercised by persons which exercise more than one such power.[11] This idea can be seen by the role of the Lord Chancellor who had a position within each of the three government branches. He had a legislative function of being the speaker of the House of Lords, an executive function of being a member of the cabinet and a judicial function as being the head of the judiciary. Being the head judge gave the Lord Chancellor the right to participate in judicial proceedings and to appoint judges. This shows that there is more than an overlap between the branches instead it shows that the same person clearly does exercise more than one power.[12] regardless of Montesquieu stating: all would be lost if the same man exercised these three powers[13]. Evidently this suggests that Britain is an elective dictatorship because there is no restriction on the amount of power that each branch can administrate within society, they can influence the functioning of the constitution without regard to the view of the public. The Lord Chancellor was in a strong position to abuse his powers; he could provide himself with more benefits or use the arrangement to influence the branches and allow one organ to dominate the whole constitution. Clearly, his position within all three arms of the government does not conserve the doctrine of the Separation of Powers. However, it could be argued that even though there is clear overlap between the roles, the question of abusing power was irrelevant as the Lord Chancellor optionally chose to remain impartial to each branch when undertaking the particular function it required; in recent years, the Lord Chancellor had rarely sat as a judge and never on matters affecting the government. This suggests that the British Constitution was never operating in a way which could be described as an elective dictatorship[14], instead it has always been an independent system[15]. However, there are exceptions to this; Lord Mackay, however, did sit in the leading case Pepper v Hart, [1993] AC 593, on which he offered a dissenting judgement[16] which shows that there are exceptions and the lines between the branches have been overstepped. Regardless of this only being an exception there was a clear overlap in the way the functions of the branches were being performed so the Labour Party, the current government at the time, introduced the Constitutional Reform Act 2005 which led to dramatic reforms, specifically regarding the position of the Lord Chancellor. His position at the head of the judiciary has now been replaced by Lord Chief Justice who is now in charge of the deployment of judges and allocation of work in Courts in England.[17] Additionally, his legislative function as the speaker of the House of Lords has been replaced by the Lord Speaker. This means that since the reform, his function is now purely in the executive branch of the government where he remains to be a member of the cabinet.[18] Evidently, the Constitutional Reform Act 2005 has strengthened the doctrine of the separation of powers in Britain as the overlaps between the arms have been reduced thus the power distribution has been equalised. However, not everybody agrees that the reforms towards the Lord Chancellor has increased the democracy in Britain. His role was described as a necessary evil vital to ensuring the smooth running of the separate estates. [19] This criticism suggests that the Labour Government removed the connection between the branches which may reduce the effectiveness of the organisation of each function. However, the reform was essential because if these distinctions are abandoned, the concept of law itself can scarcely survive.[20] Another problem with the separation of powers in the British Constitution is the overlap between the legislative and executive. Theoretically, the executive initiate the creation of new laws and it is for the legislatures to debate and pass the proposals once the content has been agreed upon. This means that the legislative is supposed to have control over the executive however, in practice it is clear that the Executive tends to dominate the legislature, because the party and electoral systems usually produce a strong majority government, what Lord Hailsham called an elective dictatorship[21]. This means that the executive is therefore present at the heart of Parliament.[22] Being at the centre of the government structure allows the executive to have strong persuasion over the legislatures, meaning they can get the result they wish without the House of Commons standing in their way. This supports Bagehots description of the British Constitution being; the close union, the nearly complete fusion of the legislative and executive powers[23] as it appears that they operate as one branch; the executive. This intertwining relationship can be seen as there is a strong convention that ministers are members of one or other House of Parliament[24] as well as the Prime Minister being a member too. As a result they will have strong influential powers over the decisions of both the executive and the legislative. This is because the ministers will be less likely to challenge the decisions of their party therefore their activities will not be questioned so they will be able to initiate any changes they wish. This means they are able to operate an elective dictatorship without checks to the amount of power they are using. However, it could be argued that the separation of powers still exists because there are procedures in place to ensure the doctrine remains a strength of the British Constitution. For example, there is a limit on the number of ministers who can be members of the House of Commons. This will ensure that the amount of influence they have is limited. Additionally, there is the opportunity for a backbench revolt. This is where a large number of MPs who are not ministers or in cabinet for the leader, vote against them to try prevent them from carrying out their propositions. One example is from 2001 where; more than 100 Labour backbenchers rebel over the attempted removal of two Labour MPs from the chairmanship of important parliamentary committees.[25] which led to the reinstatement of two Transport and Foreign Affairs Select Committees. This suggests that although the executive try and overstep their powers by going against the opinions of the public which could effectively mean Britain is a dictatorship, there are checks and processes in place for their decisions to be effectively challenged. Members of cabinet can, and have, also taken stands against their own parties. A recent example of this can be seen by Tony Blair who proceeded with the Iraq War despite the majority of his cabinet disagreeing with his actions and a further two resigning. This example shows that the government are not persuaded by the actions of their cabinet or backbench revolts. This shows the need for checks to prevent the abuse of power is essential. The legislature has the duty to ensure that the executive do not overstep this limit ensuring that control is maintained, reducing the chance of an elective dictatorship. These checks mean that Bogdanors suggestion that we are less of an elective dictatorship is correct; the rules ensure that nobody gains too much control. In conclusion, the doctrine of the separation of powers is a feature of the peculiarly British conception of the separation of powers that Parliament, the executive and the courts have their distinct and largely exclusive domain.[26] Before the Constitutional Reform Act 2005, the power was not constrained to the three separate organs. Instead the distinctions were not clear therefore the power was subject to being abused and concentrated to different branches. The reforms led to a redistribution of power in the British Constitution which has effectively led to a decrease of living in an elective dictatorship, just as Bogdanor suggests. Bibliography Allan, T. R. S.. First principles: the Rule of Law and Separation of Powers. Constitutional justice: a liberal theory of the rule of law. Oxford: Oxford University Press, 2003. 31-52. Barnett, Hilaire. Fundamental Constitutional Concepts; the separation of powers. Constitutional administrative law. 7th ed. London: Cavendish Pub., 2009. 71-91 Bates, Clifford The Fundamental Similarity between Montesquieu and Aristotle http://www.academia.edu/5192735/THE_FUNDAMENTAL_SIMILARITY_BETWEEN_MONTESQUIEU_AND_ARISTOTLE>. Blair Backbench reforms. BBC News. BBC, 26 Feb. 2003 http://news.bbc.co.uk/1/hi/uk/2802791.stm>. Bogdanor, Vernon. The new British Constitution. Oxford: Hart Pub., 2009. Bradley, Anthony, and Keith Ewing. The relationship between legislature, executive and judiciary. Constitutional and administrative law. 15 ed. Longman, 2010. 78-88 Brazier, Rodney. Constitutional reform: reshaping the British political system. 3rd ed. Oxford: Oxford University Press, 2008. Print. Constitutional Reform Act 2005. Constitutional Reform Act 2005 www.legislation.gov.uk/ukpga/2005/4/contents> Lord Hailsham Elective dictatorship. The Listener, 21 October 1976 Lord Phillips, Lord Chief Justice. Interview by Marcel Berlins. Personal interview 2007 Montesquieu, Charles de Secondat. The spirit of the laws. Cambridge: Cambridge University Press, 1989. Parpworth, Neil. Separation of Powers. Constitutional and administrative law. 7th ed. Oxford: Oxford University Press, 2012. 18-20 R Benwell and O Gay, The Separation of Powers www.parliament.uk/briefing-papers/sn06053.pdf‎> Watts, Duncan. Constitutions. Understanding US/UK government and politics a comparative guide. Manchester: Manchester University Press, 2003. 26-43. 1 [1] V Bogdanor,The New British Constitution(1st, Hart, 2009) 22 [2] A W Bradley and K D Ewing,Constitutional Administrative Law(15th, Pearson) 78 [3] T. R. S. Allan,Constitutional Justice: A Liberal Theory of the Rule of Law (Oxford, 2003) 31 [4] Aristotle Politics as citied in H Barnett, Constitutional Administrative Law(7th, Routledge, 2009) [5] Clifford Bates, The Fundamental Similarity Between Montesquieu and Aristotle (academia.edu 2005) http://www.academia.edu/5192735/THE_FUNDAMENTAL_SIMILARITY_BETWEEN_MONTESQUIEU_AND_ARISTOTLE> accessed 11th January 2014 [6] C Montesquieu ,The Spirit of the Laws (Cambridge Texts in the History of Political Thought)(1st, Cambridge University Press, Oxford 1989) [7] Clifford Bates, The Fundamental Similarity Between Montesquieu and Aristotle (academia.edu, 2005) http://www.academia.edu/5192735/THE_FUNDAMENTAL_SIMILARITY_BETWEEN_MONTESQUIEU_AND_ARISTOTLE> accessed 11/01/2014 [8]R Brazier,Constitutional Reform: Reshaping the British Political System(3rd, Oxford University Press, Oxford 2008) 108 [9]J Locke,Two Treatises of Government(ed. 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