.

Wednesday, July 31, 2019

Inverse Proportion of Physical Fitness and Awareness Program

Although awareness of the importance of physical fitness has increased in the United States, the average level of an American†s fitness has decreased. In short, most everyday citizens are out of shape. This is partially due to the more modern and easier lives that most Americans lead compared to Americans of earlier time periods. If Americans wish to stay in good health, then their daily regiments must be changed. Among adolescents and teenagers, the same numbers are noticeable. Nearly fifty percent of American youth aged twelve through twenty-one are not vigorously active on a regular basis. Only nineteen percent of all high school students are physically active for more than twenty minutes or more, five days a week, mainly in physical education class (Physical Activity and Health: Adolescents and Teenagers, par. 5-8). These numbers are a significant drop from previous studies of earlier decades. When physical fitness reform was stressed in schools during the fifties, the government administered several test to get an exact figure on American children†s level of fitness. The United States office of Education discovered that in one year fifty-six of 108,000 public schools had strengthened their physical education programs. These modifications were noticed. Between 1964 and 1965, 11,000 boys and girls who took the Youth Fitness test had higher mean scores in every event and at all ages than the results recorded from the previous decade†s tests (Van Dalen 520-521). Although modern, well-designed school-based interventions directed at increasing physical activity in physical education classes have been shown to be effective, only twenty five percent of high school students enroll in physical education class daily. In 1991, forty-one percent of all high school students enrolled in physical activity. That means that in only ten years, the daily level of physical activity amongst teens has been cut almost in half (Physical Activity and Health: Adolescents and Teens, par. 9-10). Not even the best school based interventions directed at increasing physical activity can actually improve a student†s level of fitness if they aren†t participathing in class to begin with. Over sixty percent of adults do not engage in the recommended amount of activity. In fact, over twenty five percent of American adults are not active at all (Physical Activity and Health: Adults, par. 6-8) Concerning the history of physical fitness awareness, physical activity for better health and well-being has been an important theme throughout much of western hemispherical, American history. Since the beginning of awareness, public health recommendations have evolved greatly. They started with emphasizing vigorous activity for cardio-respiratory fitness. The same recommendations are still given, but now it is thought to be better to include the options of moderate levels of activity for numerous health benefits (Historical Background and Evolution of Physical Activity Recommendations, par. 1-2). One of the first specified fields of medicine in the fitness world was sports medicine. Physicians associated with professional sports teams initially practiced sports medicine, but with interest in amateur sports and physical fitness programs in the 1970†³s and 1980†³s the field grew rapidly. Sports medicine still continues to be a fast-growing division of specified medicine that has to revolutionize the understanding of exercise and the body†s reaction to the stress of exercise (Sports Medicine, par.1) These physicians and doctors are not uncovering these earth-shattering discoveries on their own. The American Council on Exercise (ACE) is very active in fitness research (The Future of Fitness, par. 2). The official government committee to support physical fitness is The President†s Council on Physical Fitness and Sports (PCPFS) is extremely vocal in the education of the public. PCPFS has been fighting its ever-toughening crusade against laziness since the era of President Kennedy, who founded the Council (Van Dalen, p. 520-521). There are also many Internet websites (e.g. efitness.com, emedicine.com, nutricise.com) that provide easily accessible information to the public. Because of groups like ACE and PCFS, the awareness of the benefits to physical fitness are being broadcasted everywhere; it is just a matter of time until every American understands the value of being physically fit. When that time comes, experts say more people will exercise to achieve better health instead of just to improve appearance. Also, exercise will become a vital part of disease management. In the future, adventure workouts such as hiking and mountain climbing will replace traditional treadmill and weight training workout. Sports specific training such as golf and tennis exercises will become more mainstream. It is also said that exercise programs geared towards older adults such as water-based fitness will increase in popularity (The Future of Fitness, par. 3-4, 6-7). Inverse Proportion of Physical Fitness and Awareness Program Although awareness of the importance of physical fitness has increased in the United States, the average level of an American†s fitness has decreased. In short, most everyday citizens are out of shape. This is partially due to the more modern and easier lives that most Americans lead compared to Americans of earlier time periods. If Americans wish to stay in good health, then their daily regiments must be changed. Among adolescents and teenagers, the same numbers are noticeable. Nearly fifty percent of American youth aged twelve through twenty-one are not vigorously active on a regular basis. Only nineteen percent of all high school students are physically active for more than twenty minutes or more, five days a week, mainly in physical education class (Physical Activity and Health: Adolescents and Teenagers, par. 5-8). These numbers are a significant drop from previous studies of earlier decades. When physical fitness reform was stressed in schools during the fifties, the government administered several test to get an exact figure on American children†s level of fitness. The United States office of Education discovered that in one year fifty-six of 108,000 public schools had strengthened their physical education programs. These modifications were noticed. Between 1964 and 1965, 11,000 boys and girls who took the Youth Fitness test had higher mean scores in every event and at all ages than the results recorded from the previous decade†s tests (Van Dalen 520-521). Although modern, well-designed school-based interventions directed at increasing physical activity in physical education classes have been shown to be effective, only twenty five percent of high school students enroll in physical education class daily. In 1991, forty-one percent of all high school students enrolled in physical activity. That means that in only ten years, the daily level of physical activity amongst teens has been cut almost in half (Physical Activity and Health: Adolescents and Teens, par. 9-10). Not even the best school based interventions directed at increasing physical activity can actually improve a student†s level of fitness if they aren†t participathing in class to begin with. Over sixty percent of adults do not engage in the recommended amount of activity. In fact, over twenty five percent of American adults are not active at all (Physical Activity and Health: Adults, par. 6-8) Concerning the history of physical fitness awareness, physical activity for better health and well-being has been an important theme throughout much of western hemispherical, American history. Since the beginning of awareness, public health recommendations have evolved greatly. They started with emphasizing vigorous activity for cardio-respiratory fitness. The same recommendations are still given, but now it is thought to be better to include the options of moderate levels of activity for numerous health benefits (Historical Background and Evolution of Physical Activity Recommendations, par. 1-2). One of the first specified fields of medicine in the fitness world was sports medicine. Physicians associated with professional sports teams initially practiced sports medicine, but with interest in amateur sports and physical fitness programs in the 1970†³s and 1980†³s the field grew rapidly. Sports medicine still continues to be a fast-growing division of specified medicine that has to revolutionize the understanding of exercise and the body†s reaction to the stress of exercise (Sports Medicine, par.1) These physicians and doctors are not uncovering these earth-shattering discoveries on their own. The American Council on Exercise (ACE) is very active in fitness research (The Future of Fitness, par. 2). The official government committee to support physical fitness is The President†s Council on Physical Fitness and Sports (PCPFS) is extremely vocal in the education of the public. PCPFS has been fighting its ever-toughening crusade against laziness since the era of President Kennedy, who founded the Council (Van Dalen, p. 520-521). There are also many Internet websites (e.g. efitness.com, emedicine.com, nutricise.com) that provide easily accessible information to the public. Because of groups like ACE and PCFS, the awareness of the benefits to physical fitness are being broadcasted everywhere; it is just a matter of time until every American understands the value of being physically fit. When that time comes, experts say more people will exercise to achieve better health instead of just to improve appearance. Also, exercise will become a vital part of disease management. In the future, adventure workouts such as hiking and mountain climbing will replace traditional treadmill and weight training workout. Sports specific training such as golf and tennis exercises will become more mainstream. It is also said that exercise programs geared towards older adults such as water-based fitness will increase in popularity (The Future of Fitness, par. 3-4, 6-7).

Mechanical engineering

Are you interested in Jobs that require athletic or mechanical ability, working with objects, machines, tools, plants or animals, or being outdoors? You enjoy working with your hands, tools, machines, and things that are practical, mechanically and physically inclined. Careers you would enjoy Architecture Chef / / Hospitality Management Engineering Information Technology Mechanical / Automobile Engineering Music Pharmacy Pilot / Aviation Veterinarian Are you interested in jobs with people who like to observe, learn, investigate, analyses, evaluate or solve problems?You enjoy working with theory and information. You are analytical, intellectual and scientific. Computer Science Economy Mathematics & Statistics Medicine / Dentistry Psychology Sciences Journalism Are you interested in Jobs involving artistic, innovative or intuitive abilities, and like to work in unstructured creative situations? You are non-conforming, original, independent and creative though sometimes chaotic. Acting Advertising Writing / Authoring Architecture / Interior Design / Graphic Design Dancing Designing / Photography Reporting Do you like to work with people to inform, help, train, enlighten, develop or cure or are you skilled with words? You enjoy working in cooperative environments and are supportive, helpful, healing and nurturing. Therapy Counseling Education Hospitality Psychiatry Sociology Public Relations Client Servicing Are you interested in Jobs where you work with people to influence, perform, persuade or lead for organizational goals or economic gain?You enjoy working in competitive environments and are good at leading, persuading, dominating and rumoring. Administration Business Communication Hospitality & Tourism Banking / Investment Law / Politics Marketing / Advertising Management / Construction Management Are you interested in Jobs that involve data, clerical tasks or numerical ability; carrying things out in detail or following instructions? You like working with data and have clerical or numerical ability. You are precise, detailed, orderly and organized. Actuary Banking Clerical Retailer Secretarial Quantity Surveying

Tuesday, July 30, 2019

Dennis Gioia “The Ford Pinto Fire” Essay

In 1968, Ford Motor Company made plans for a car that would be inexpensive, small, and appeal to all car buyers. The planned project was to meet the 2000/2000 rule, meaning that the Pinto could weigh no more than 2,000 pounds, and cost no more than $2,000. This rule was instituted because of the extreme competition from foreign car makers such as Toyota and all of the automotive companies at the time. However, the 2000/2000 rule left designers with limited ability to design a car the way it should be designed. The Pinto was brought into production faster than any other car had ever been produced; twenty five months from the inception of the idea of the Pinto to production when the industry average at the time was forty-three months. The engineers had to cut corners in the design and were rushed building the Pinto, which later resulted in many mistakes that were overlooked. The first Pinto was put on the market in 1971. The Pinto’s problems originated with placement of the gas tank. It was customary to place the gas tank between the rear axle and the bumper to give the vehicle more truck space. However, on the Pinto the gas tank was only nine inches away from the rear axle and on the rear axles transfer case were bolts that stuck out facing the rear bumper of the vehicle. When the Pinto was rear ended, the gas tank would be forced up to the rear axle, and the transfer case bolts would puncture the gas tank. Also the fuel filler pipe was poorly designed and could easily become detached in a rear end collision, causing gasoline to spill over the ground. This was the cause of the numerous large fires and the gas tank tendency to explode. Explosions of the gas tank occurred at any collision at or above thirty one miles per hour. The doors on the Pinto would tend to jam shut when rear ended at high speeds, causing victims to burn alive if not killed on impact. Due to the serious defects and the numerous deaths involved with the Pinto, there were many law suits against Ford Motor Company. Dennis Gioia, an engineer and MBA graduate, was involved in the decision not to recall the vehicles. Ford came up with a Cost Benefit analysis. The benefits accounted for 180 burn deaths prevented,  180 serious burn injuries prevented, 2,100 burned vehicles prevented. If those number are multiplied by $200,000 per death, $67,000 per injury, and $700 per vehicle, the final benefit to society, or amount of money Ford would have to pay if they did not recall any of the their vehicles, was $49.5 million. Compared to the cost to recall 11 million cars and1.5 million light trucks, at $11 per vehicle would equal $137 million on recalls. Ford believed they were justified in not recalling the cars due to the amount they would spend on recalls far out-weighed the amount they would spend to compensate customers for death, injury or harmed cars. ANALYSIS OF GIOIA’S DECISION Ford eventually agreed to recall the Pinto on June 10, 1978. They sent out the recall notices on August 22, 1978. Ford originally gave four reasons why they did not want to recall the Pinto: 1) Ford had based an earlier advertising campaign around safety, which failed. 2) The bad publicity involved with a recall would be too much negative publicity to overcome. 3) At the time of the product designs and crash tests, the law did not require them to redesign the fuel system. 4) It was customary in the automotive industry to place the gas tank between the rear axle and bumper. We will evaluate Gioia’s earlier decision to choose not to recall the vehicles based on the reasons noted above. Dennis Gioia had started as an advocate for human rights and protection, prior to his appointment to the position at Ford Motor Company. He was aware of the design defects with the Pinto, however, he succumbed to the corporate rhetoric of buyer risk and consumer demand as rational for the decision to keep the Pinto on the market. Generalization Test Generalization theory – A rational choice must be generalizable , the reason for a certain action should be consistent with the assumption that everyone who has the same reasons will act the same way. The decision to keep the Pinto on the market passed the generalizations test: 1. The Cost Analysis used was acceptable in the production market 2. The vehicle met applicable safety laws at the time of production 3. The placement of the gas tank was in compliance with car production standards 4. Consumer demand for the vehicles increased profits 5. The recall would reduce profits and negatively impact the company . Utilization Test The decision also passed the utilization Test Utilitarian theory – We all have some ultimate end that is called utility. An action is ethical only if no other available action creates greater total utility. 1. A greater number of consumers were happy with the vehicle than were injured or killed 2, Recalling the cars would create more financial loss than keeping them on the market with the defects 3. The cost to make the cars safer would have increased the cost of production and not meet the 2000/2000 concept mandated by the corporate leaders 4. The delay in production would have deceased the company’s ability to compete in the small car market and decrease profits, Value Test Value ethics theory – virtue is a part of our essence and help describe who we are The decision not to recall the Pinto failed the value test. 1. A rational person with virtue and concern for human rights would not place a arbitrary price on the value of human life as opposed to profits. 2. Although a corporation is not a person it is an entity that relys of the people to value and purchase the products or services it provides 3. The decision to put an obviously flawed vehicle on the market and justify it by placing the responsibility on the consumer to accept the risk is irresponsible and reprehensible for any entity to adopt as a marketing strategy. 4. There is no virtue in a corporation or its management, that would routinely select profit over human safety and death, when they know it can be rectified.

Monday, July 29, 2019

Cornflake Production Assignment Example | Topics and Well Written Essays - 1000 words

Cornflake Production - Assignment Example The main production raw material for production of cornflakes is definitely maize crop (hybrid yellow and white corns) that is widely available in most countries. Most maize producing countries currently produce nearly 7,700metric tons of maize.   Sugar is also another raw material that is used in production of corn flakes together with other ingredients such as cocoa powder and food flavors, all of which are extensively available. Machinery and Equipment such as Storage (Silo), Extruder Cooker, Mixer, Coating Machine, Packaging Machine, Storage Bin, and Laboratory Equipment are also needed as relevant materials in cornflakes production. Land as a means production is also required. The production plant can be sited on an approximated land space of  close to 1 Plot including space assigned to office buildings and facilities. According to (Gupta & Engineers India Research Institute, 2003), the appropriate site for the envisaged production plant should be nearer to major corn growin g regions or urban Market. For a bigger production capacity of this sort, the choice of production shall require an entirely automated system in all steps-in the production, packaging and boxing (KlemesÃŒÅ', Smith & Kim, 2008). As such, for the capacity of production visualized by the production plant under study, such a choice of technology is feasible. Below are the steps involved: In this process the corn kernels are removed from the cobs and are turned into flaking sized ‘grits’. Here, malted barley may be added to improve the flavor of the Cornflakes. In the cylinder below, the corn grits are cooked inside steam pressure cookers (temperatures exceeding 100C). Energy used here is about 13.5 kJ/kg. This cooking process goes for an hour and it softens the hard grits. Throughout cooking additional water is added in form of steam that condenses raising the water content

Sunday, July 28, 2019

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

Amadeus - Essay Example e classical composer Mozart, director Milos Forman took the 1979 libretto of the musical play by Schaffer and turned it into a modern classic of high admiration among high brow film aficionados. The music of the film, being based on the original works of Mozart leaves the viewers glued to their seats at the film unfolds in relation to the chosen musical pieces. It was this music that gripped my interest when I first sat down to watch the film for our class. I cannot fault the film for its musical brilliance and its painstaking attention to the small details that went into the production of this movie. However, there were a few things about the production itself that struck me as odd. Simply because I found it hard to swallow a crossover of influences between the historical world of Mozart and the modern era of the 1980s. To begin with, I never expected to hear modern English slang being spoken in a film such as Amadeus. I had thought that the original play creator and then the Hollywood film maker would have done their best to stay true to the language of the era being portrayed. A necessary point, in my opinion, that adds to the authentic feel of the movie experience. The gyrating laughter of Tom Hulce also got on my nerves later on. I understand from the narration that the reason the laughter sounded that way was because it was meant to offend Salieri who felt that God mocked his talents by bestowing an immense talent in the spoiled brat name Mozart. This is also another point that left me wishing that the film makers had taken greater care in their portrayal of Mozart in the film. The heavily fictionalized account of the life and times of Mozart has become the basis by which most of todays students first get to know about the prolific composer. However, because the film does not present an accurate account of his life and the people of notable influence upon him, Mozart is instead seen as a madman who was always in need of money and uncaring for both his

Saturday, July 27, 2019

Microeconomics - Types of Markets Research Paper

Microeconomics - Types of Markets - Research Paper Example In the long run, the firms are ought to make a normal profit and the market price is determined by the forces of demand and supply. However, an important point to note is the situation in the long run equilibrium. If demand increases to a great extent, the price will rise. Therefore, the demand curve will shift upwards causing firms to make supernormal profits. More firms would join the industry and hence, the price will fall again settling at the equilibrium rate. Also, if the average costs are greater than the average revenue then most firms would go out of business. Once the supply curve falls, prices tend to rise. Perfect competition means there should be no imperfections in the market which may arise due to lack of knowledge or immobility of resources. Nonetheless, these factors are unrealistic in this world. One of the important reasons why perfect competition does not exist in the real world is the economies of scale. In most of the industries, a firm has to be quite large to experience economies of scale. But in perfect competition, firms have an insignificant market share and are too small to achieve economies of scale. Once a firm expands and achieves economies of scale, it would lower its costs and gain market power. The firm can reduce the prices and drive out the smaller firms from the industry. Hence a perfect competition can only survive in an industry where there are no economies of scale. Although the perfectly competitive market model is not applicable to the real world setting, it plays a significant role in economic analysis and policy. The model can be used as a criterion to judge the deficiencies of the real world industries and can help the government to articulate policies towards the betterment of the industry. A single industry that produces a product is called a monopoly. This is not it, however, no close substitutes are present and barriers to enter and exit the market are high.  Such barriers include patents, heavy investments, copyrights or achieving economies of a scale comparable to the monopoly.  

Friday, July 26, 2019

E-HARMONY Article Example | Topics and Well Written Essays - 500 words

E-HARMONY - Article Example Also, the buyers have high bargaining power as there is an increasing number of substitutes available and they show sensitivity to the prices charged to them. Moreover, they are looking for special customized services so that they feel valued. New entrants have medium to low intensity as there are low barriers for industry in general but relatively high barriers for specific target market. The enterprises have to invest huge amount of money in Research and there are patented algorithms. Additionally, there is strong requirement of having a strong brand name to compete effectively. In order to analyze E-Harmony’s value proposition or business model, the core competencies and value creating constituents are discussed. The core competency of the firm is in its highly integrated system which comprises of three components i.e. Personality Profile, Matching Algorithm and Guided Communication. This entire procedures has been designed in such a way that the customers are contended with the value for their money invested in availing the service. Also, this procedure has been incorporated after extensive research so that the matchmaking is undertaken with perfection. In addition to these three crucial elements, the other value generating activities are openness in communication, creation of E-Harmony labs, singles only policy, sufficient allocation of funds in marketing techniques and premium prices for memberships. After a detailed review of E-Harmony’s internal and external environment, it is apparent that it is following a differentiated strategy for attaining the competitive advantage. The company is mainly targeting the niche market which comprises of highly competent pool of candidates. Although the process of registration is time-consuming but eventually the customers are satisfied as they find the most compatible spouse. Furthermore, the enterprise has allocated adequate amount of funds in marketing campaigns so that it can employ

Thursday, July 25, 2019

Collaborative Learning Essay Example | Topics and Well Written Essays - 500 words

Collaborative Learning - Essay Example Each individual within this Collaborative Learning regime is reliant on the tasks of the other people within the group and is accountable to everyone for his respective actions in entirety (Vincent 2007). These students work together in order to find out a common platform which has a meaningful, understandable and deep rendering solution for the problem that has thus arisen. The end product of learning is indeed the very product that is being tried to achieve, right from the very beginning. Collaborative Learning is somewhat in close comparison to what Cooperative Learning is all about. In fact there are a number of similarities between the two. Collaborative Learning includes writing in a collaborative fashion, completion of projects that are of a group nature as well as a host of similar activities. A Collaborative Learning community would most often vouch the presence of students within its folds bringing the much needed benefits all around. This is because such a community is dep endent on the activities of the students themselves (Goff 2003). There are also organizations that generally appreciate the presence of Collaborative Learning cultures within their entireties. This is because such organizations derive the best results out of such working domains. The team members work alongside each other and give their best shot. The Collaborative Learning mechanisms are deemed as successful as these build upon the premise of a positive change happening within the workplace realms. The organizations that usually support such initiatives are proactive in their approach and are generally very inclined towards the employees working alongside each other so that the strengths could be exponentially doubled and even tripled at times (Mitchell 2004). One must decipher the development basis of Collaborative Learning doing its best to inculcate feelings of team formation and eventual results in the aftermath of the completion phase of

Maintenance Management of Engineering Assets Assignment - 1

Maintenance Management of Engineering Assets - Assignment Example Ventilation systems allow for the supply of air into the building and cooling in normally necessary to lower the temperatures The boilers: The boilers normally produce water that is hot and in some instances produce steam to be distributed in the space within which the system operates. This is achieved either by the use of coils or the use of water pipes leading to the radiator of the HVAC system. The chiller: This is the cooling component of the system. It is normally treated with air that is normally blown over the coils carrying the chilled water in the space of operation for cooling to take place through the ventilations. The fault tree analysis (FTA) can be used to analyze the major faults that are likely to occur in the HVAC system. The major faults that are likely to be encountered in the system can either be controller based or mechanical faults. The FTA diagram below analyses these faults. Control faults of the HVAC system occur in the functional components of the system. The faults can be in the form of variations in the thermal conductance of the fluid in the coils, dehumidification faults and non-linearity in the variation of the control system. These faults in the control system can only be solved through maintenance operations of the system. This is a procedure that is used for the evaluation of the various aspects of a functional system so that we are in a position to identify the critical failures that are likely to occur in the system so that we can be able to minimize or eliminate them through correction of designs. The main objective of Failure Modes and Effects Analysis (FMEA) is to make a determination of the parts that have the highest probability of failing in an assembled system (Salsbury, 2003). The process of Failure Modes and Effects Analysis (FMEA) starts with the smallest components of the system and

Wednesday, July 24, 2019

Bernard Arnault And His Duality Pioneering Act Of Lvmh Essay

Bernard Arnault And His Duality Pioneering Act Of Lvmh - Essay Example Global firms have the whole world as its market field that they can offer a wide array of products and services - firms keep growing while others downsize or rightsize. One aspect of globalization is that firms can assign departmental functions, such as marketing, finance, operations, human resource management, and accounting to other firms – this is known as outsourcing. Global firms use many different structural forms in dealing with globalization. They can use the horizontal structure which is made easier with the availability of the internet and Information Technology. It is still possible with the old structure, i.e., the vertical structure where the top echelon of the organization can dictate or take hold of the reins of business even if they are in the other side of the world. Whether we see this as positive or negative, globalization has change the world in terms of commerce and trade and how we see the world in different perspectives.After the world economic downturn, some of Europe’s giant firms have continued to keep watch the playing arena of businesses in terms of acquisitions and mergers. They have turned their eyes on the emerging markets of China, India and other countries of Asia. This is because these emerging markets survived and made remarkable steps during the financial crisis. And this is one of the reasons why Bernard Arnault, who is believed to be Europe’s wealthiest man, has shifted business focus to Asia, particularly the emerging markets of China and India.... This is because these emerging markets survived and made remarkable steps during the financial crisis. And this is one of the reasons why Bernard Arnault, who is believed to be Europe’s wealthiest man, has shifted business focus to Asia, particularly the emerging markets of China and India. Combine these two countries in terms of population, you have approximately one third of the world’s peoples who have the urge and the motivation to buy consumer products. In China, particularly Shanghai, the motivation is on luxury products, which is why Bernard Arnault has his own ambassador there in the person of John Galliano. Arnault has made business trips using his private jet to wherever he wants to promote the latest of his treasured bags and perfumes. He has made instant visits to places as far as Morocco not only to promote but to measure how much profits the company has earned there. 2. Background of Bernard Arnault and LVMH Bernard Arnault is not only Europe’s weal thiest businessman with an estimated worth of $39 billion, he is a multi-talented and product-oriented artist. He has acquired brands from bags to perfume and has made corporate acquisitions one after another. He describes his quest for perfection as a ‘duality’ which should be reinforced immediately with â€Å"timelessness and utmost modernity†. His desire to acquire businesses is not only motivated by finances but by his dream to infuse art on commerce (or commerce on art). And he is doing this because he believes he is doing it for France and the people who patronize LVMH. His modernity and art includes a collection of modern and contemporary art which will soon be housed in a grand museum designed by Frank Gehry, which Arnault has

Tuesday, July 23, 2019

Michael Porter's 5 Forces for Target Research Paper

Michael Porter's 5 Forces for Target - Research Paper Example As Labrador states, â€Å"the lower the barriers are, the easier it will be for competitors to come in†. Future competitors of Target include both local and international retailing companies. Therefore, to remain on the top positions in the country, the company continuously monitors its business strategy of providing best quality products to customers in the lowest prices. The bargaining power of suppliers is neither very strong nor very weak. Although Target provides good support to suppliers’ businesses, suppliers have been able to retain the power to control products’ prices because of increased competition between the discount stores operating in the United States. Along with increased competition, lowering of import barriers and low cost international labor are some of those factors, which have directly affected the bargaining power of suppliers. â€Å"The ability of consumers to buy substitute goods leads to the buyer power force† (Vitez). Buyers have a strong bargaining power in the United States. Although Target is operating a number of discount stores all over the United States, but the ever increasing number of other discount companies has strengthened the bargaining power of buyers. Customers can move to some other store if they find that store offering low prices as compared to Target. Target needs to keep the prices low and competitive in order to maintain its market share. Target has low threat of substitute products. The reason is that discount stores of Target and all other companies offer low prices to the customers as compared to general stores. Customers always want to buy products from the stores, which offer low prices. Although used products’ stores also offer low prices, but customers prefer to buy new products with the same prices that used products’ stores offer. Therefore, Target is far away from the threat of

Monday, July 22, 2019

Experiences of Child Poverty Essay Example for Free

Experiences of Child Poverty Essay London is the capital of the United Kingdom. The administrative structure in Greater London consists of 32 counties (boroughs) and the City of London, extending over 1584 kilometers  ². The population of London is around 7.5 million however throughout Greater London about 13 million people live. The GDP per capita for The UK is $36,500. London is the richest part of Britain and yet it has the highest rates of poverty in the UK. Lagos is the largest city in Nigeria. With an estimated population of 8.8 million inhabitants in the city, or rather 10. 7 million in the metropolitan area, Lagos is the second largest city in Africa. The UN estimates that at its present growth rate, Lagos state will be third largest mega city in the world by 2015 after Tokyo in Japan and Mumbai in India. Lagos is the main city of the south-western part of Nigeria, Africa. The GDP per capita in Lagos is $3,649. Over 10,000 people arrive at Lagos every week in search of jobs and most end up in the citys mega slum do to the lack of job opportunity. Children living in poverty are those who experience deprivation of the material, spiritual and emotional resources needed to survive, develop and thrive, leaving them unable to enjoy their lives, achieve their full potential or participate as full members of society. The easiest way to quantify child poverty is by setting an absolute or relative monetary threshold. If a family does not earn above that threshold, the children of that family will be considered to live below the poverty line. Absolute poverty thresholds are fixed, whereas relative poverty thresholds are developed with reference to the actual income of the population and reflect changes in consumption. This is not always accurate, as it is only an average and there are people earning millions who affect that average GDP per capita. In poor areas of London there are many problems that face children. The poor areas tend to be in places that lack jobs and job opportunities e.g. Hackney, Such poor areas can really affect the child’s life due to their living conditions. These children are living in relative poverty as they do have access to clean water, food and shelter which is provided by the state, but are considered poor to the rest of society as they can’t afford luxuries and normally depend upon benefits to get though life. These areas that lack job opportunities have high unemployment rates and so people have low incomes and often relate to crime as it is the culture of the area and people feel they do not get enough support from the government and feel let down and ignored. These poor areas are prime spots for drug dealers and drug addicts. This is significantly bad as they have a low income and so can’t afford the drugs and so they use the money which would have been spent on the children E.g. quality food. Rather than spending the money on better quality food they spend it on the drugs they are dependent on as they are addicted and so the child looses out as they tend to be mall nourished. Being mall nourished can increase the chances of becoming ill which then in turn means the child is less likely to spend time in school as they are off ill. This then affects their learning and they under achieve which means they have a less chance of ever getting a job and so they are trapped in the poverty cycle. It is then rely difficult for the children to break out of the poverty cycle due to many factors that affect them. Whereas Children living in the slums of Lagos also suffer from poverty, however the majority live in absolute poverty as they do not always have access to clean water, food and shelter, for example these children don’t have access to clean water and so most of the water is contaminated with diseases like cholera. Allot of children catch cholera from drinking dirty water which makes them ill and as most of the children have no access to health care due to their parents being born they can remain ill for a long time and it can be fatal. Being ill means they cannot help to provide for the family and the money being spent on their health cannot be spent on other vital things like basic food stuffs. It is hard to get out of both cases of poverty; however the children in the slums of Lagos are worse off and have a lower standard of living than the children living in Hackney. The majority of children living in poverty in Lagos are born to poor parents. Because of things like adult poverty, lack of education, unemployment, disabilities and discrimination significantly affect the causes of child poverty. Lack of parental economic resources such as disposable income restricts children’s opportunities and therefore the children are unable to go to school and allot of these children are forced to work. The problem is that allot of these jobs where children are forced to work are very dangerous and can cause injuries, health problems and even death. E.g. the recycling of old oil drums that contain harmful toxins. The main reason why the children in Hackney are trapped in the poverty cycle is because of the parents/Careers as well. The cycle of poverty is when a family remains in poverty over many successive generations. Family issues can play a big part in the reason for the child being submitted to a life of poverty. If the parents get in debt then this can be the cause of allot of stress, this can also cause the child to have stress which can affect their learning ability and health. Stress can also cause breakups between couples; this can lead to single mothers who are left on their own to support the child and themselves, which can also lead to father stress. Most single parents are unemployed because they haft to look after the children and so they rely on benefits. Teen pregnancies in both MEDCs and LEDCs are big causes of child poverty. Children resulting from unwanted pregnancies are more likely to live in poverty; raising a child requires allot of resources, so each additional child increases demands on parental resources. Families raised by a single parent are generally poorer than those raised by couples. This can be a big issue in LEDC countries such as Lagos. Many teens abandon their children as they simply do not have the resources available to support their child as they cannot claim benefits as they do not exist. Where as in MEDCs, teen moms are supported by the government and family. The problem in Lagos is that children generally suffer from absolute poverty; however there is also relative poverty. With absolute poverty children generally do not have what they need. They are short of basic food, water, shelter, clothing and adequate or sufficient health care. Where as in Hackney people do not suffer from absolute poverty and so are better off, however they live in relative poverty that is poverty under relative terms is viewed as being what some people lack in relation to other people. In my opinion the worst experience of child poverty in Lagos would be the lack of Clean water which causes a significant amount of deaths and illnesses and affects the family as a whole as the money used to pay for the child’s healthcare comes from the money normally spent on other necessities like food or education. The government of Nigeria could provide communities with wells however it would cost a phenomenal amount of money , and the majority of the people don’t live on legal grounds as they have just moved there and have not actually paid to live there and so the government would not be allowed to build wells as most of the people don’t have permition to live there in the first place. The worst experiences for children living in Hackney would be the culture of the area and so children grow up with crime related experiences, this then means that most of the children get brought up with crime and this can keep them in the poverty cycle. The government of Britain could increase prison sentences and increase policing in these areas. This policy would be expensive however it would increase the standards of living for these people and help them get out of relative poverty. Both cases of poverty affect the childs opportunities in life. This means they are limited jobs available to them or unemployment if there is a lack of job opportunities. There future generations will probably also live in poverty, whether absolute or relative. They will rarely experience if at all the luxuries and experiences we take for granted. Their only hope getting out of poverty is if the government adopts a poverty reduction strategy paper (PRSP) and use schemes like the growth of the cities and urban development, employment opportunities and poverty reduction and housing schemes. Also the best way to reduce child poverty would be to reduce child labour and increase accessibility to education by building more schools and improving the quality of education. This is a key point that governments need to adopt in order to reduce child poverty and help break the poverty cycle.

Sunday, July 21, 2019

History Of Police Interviewing In England And Wales Criminology Essay

History Of Police Interviewing In England And Wales Criminology Essay CHAPTER 1- Interviewing suspects and witnesses is a basic operation of policing all over the world. In England and Wales, pre PACE, historically there was no formal interview training for police officers and officers learnt how to interview through observation of other police officers. Thus, the best evidence of guilt was confessions and theoretically good interviewers were those who could convince suspects to confess to crimes. Police interviews prior 1984 were governed by Judges Rules, these were just guidelines for the officers who they were allowed to execute interviews unrecorded and then to write a report of the interview from memory. Afterwards, officers memory of the interview was presented in court from the handwriting report. The dangers of this are self-evident officers can pick up bad practises or miss valuable information. Eventually investigations can be damaged, disrupted or even destroyed. The secrecy of the police interview room led to widespread concern about the tactics used to extract confessions things like intimidation, oppression, deception, and even physical violence (Leo, 1992). It has been shown that these tactics can lead to false confessions, in which case a double miscarriage of justice occurs not only is an innocent person convicted but the true offender remains free (Gudjonsson, 1992). The aim of this chapter is to discuss the old investigative interviewing which led to miscarriages of justice. Also, what was happening to police interviewing, why false confessions were frequent phenomenon and what types of false confessions exist. An important theme is public perception about police interviewing at this historical time. Finally the primary improvements that have been done, such as PACE and Circulars 7 and 22. Miscarriages of Justice When the term miscarriages of justice is used, it usually refers to what are called questionable convictions or wrongful convictions. Walker (1999: 52-5) summarises the causes of questionable convictions which are: fabrication of evidence, unreliable identification of an offender by the police or witnesses, unreliable expert evidence, unreliable confessions resulting from police pressure or the vulnerability of suspects, non disclosure of evidence by the police or prosecution, the conduct of the trial and problems associated with appeals procedures. However, the term miscarriages of justice as relating to questionable convictions is itself partly adequate (Adler and Gray, 2010). Consequently, the term can also occur when there is no action, inaction or questionable actions, whereby an offence has taken place but no action or insufficient action or interference has followed. Questionable actions include police unprofessional conduct and lack of ability (e.g, failures to investigate ef fectively, poor treatment of victims and their family), insufficient prosecution processes (poor communication with police, risk avoidance ), and problematic trial practices (hostile cross examination of witness, weak presentation of the prosecution case). Therefore, questionable actions represent police failure to identify suspects and to press charges, the lack of success of the prosecution to mount a case, the collapse of the prosecution case during the trial and as a result, agencies ineffectiveness to inform or support victims and their families (Newburn, Williamson and Wright, 2007). Traditionally, the primary aim of police investigators has been to obtain a confession from the primary suspect, the confession being seen by officers to be the key of a successful investigation and the predominant means by which a conviction can be secured. To understand why a confession was so pivotal concern it is essential to consider the operation of various systems of justice. In an adversarial system, the judge is considered to be neutral during the trial process and should leave the presentation of the case to the prosecution and defence who prepare their case, call and examine witnesses. According to Zander (1994), the adversarial system is not a search for the truth. The inquisitorial system aim to be a search for the truth, in this system the judge is not neutral but will play critical role in the presentation of the evidence at the trial. The Judge calls and examines the defendant and the witness. While the trial is in progress lawyers for the prosecution and defence can merely ask complementary questions. The Royal Commission stated that It is important not to overstate the differences between the two systems because all adversarial systems contain inquisitorial elements and vice versa (Runciman, 1993). The court was not interested in the truth; it just had to decide whether punishment has been applied beyond all rational doubt. Therefore, it is not surprising that confession evidence had priority and investigators relied on a confession within the investigation process. Certainly, investigators focused on a confession and to attain a confession used coercive methods, allowing the investigation team to move on to the next case. False confessions lead to false convictions, thus police officers reproduced miscarriages of justice within their behaviour and interviewing tactics (Newburn, Williamson and Wright, 2007). False confessions lead to false convictions In the UK and other countries, a number of miscarriages of justice have established that false confessions occur and a large number of these are due to factors which exist within the interview context. Kassin and McNall (1991) analysed the tactics described by Inbau, Reid and Buckley (1986) which lead to false confessions; and found two categories: maximisation, where interviewers use scare tactics to intimidate a suspect believe to be guilty and minimisation, where interviewers underrate the offence seriousness and charges. Three categories of false confessions were identified by Gudjonsson and MacKeith (1988) and expanded by Shepherd (1996). These categories are as follows: Voluntary false confession Voluntary false confessions occur when the interviewee falsely confesses for personal reason without pressure. Possible reasons that suspect give false confession are: to exempt feelings of guilt about a real or imagined crime or situation in the past (this is most possible to happen for people with depression, Gudjonsson, 1992). To pre-empt further investigation of a more serious offence; to cover up the real culprit; to gain notoriety- a wish to become infamous and to enhance ones self esteem; an inability to distinguish reality from imagination(people with schizophrenia); to take a revenge on another and to hide other non criminal actions. Coerced-compliant false confession Coerced-compliant false confessions arise when the interviewee agrees to make a confession in order to make some kind of gain. This category of false confession occur from social influence factor; compliance. Compliance is a change in ones behaviour for contributory purposes, it is first found in Aschs (1956) primary studies of conformity and Milgrams (1974) research on obedience to authority. Interviewee sees the short term advantages of confessing (being released) outweighing the long term costs (such as prosecution and imprisonment). People, who are passable to compliance such as people with learning disabilities, may be especially vulnerable to this type of false confession. Coerced-internalised false confession The last category is a coerced-internalised false confession in such cases suspects come to believe that they are guilty because they no longer trust their own memory of certain details. This type of false confession derives from a cognitive effect and refers to the internal acceptance of beliefs held by others. An interviewee who is anxious, tired and confused actually comes to believe he or she committed the crime. The suspects memory may be altered in interviewing process. This can be linked to the false memory syndrome. The memory distrust syndrome concerns interviewees who distrust their own memory and consequently depend on external guide for information (in this particular situation -interviewer, Wolchover Heaton-Amstrong, 1996). This syndrome can be explained in two ways. The first relates to amnesia or memory damage. The interviewee has no clear memory and does not remember if he committed the crime or not. Also he or she does not remember what exactly happened the time of the crime. This may be due to amnesia or alcohol induced memory problems. The second way occurs when the interviewee is aware that he or she did not commit the crime and when the interviewer makes cases, manipulates the interviewee with suggestions. The suspect mistrusts his or her self and start thinking if he or she committed the crime. Ofshe (1989), stated that three common personality characteristics are situated on people who give this type of false confessions. They trust in people of authority, lack of self confidence and heightened suggestibility. Gudjonsson (1997) also argued, the false belief and false memories in cases of coerced- internalised false confession are most commonly developed as a result of manipulative interviewing techniques. Gudjonsson and Clark (1986) also introduced the theory of suggestibility which is a theoretical model of interrogative suggestibility and arises from a social cognitive viewpoint. It is argued, that most people would be susceptible to suggestions if the necessary conditions of uncertainty, interpersonal trust and heightened expectations are present. Implicit in such a model is the assumption that interrogative suggestibility is a distinct type of suggestibility. Gudjonsson also points out that; suggestibility is, to a certain extent, influenced by situational factors and experience. IS is defined as the extent to which, within a closed social interaction, people come to accept messages communicated during formal questioning, as a result of which their su bsequent behavioural response is affected (Gudjonsson and Clark, 1986). The IS is comprise two separate susceptibilities: to yield to leading questions, where yielding regards to the reliability of testimony and closely reflects memory processes; and to shift the primary answer in response to negative feedback, where shifting is related to coping process which are mainly affected by personality traits and experience (convicted in past, Gudjonsson, 1992). The literature on miscarriages of justice highlights the role of coercion in obtaining confessions and the problem with convictions based only or mainly on confessions. Using unfair means and tactics to secure a conviction is sometimes known as noble cause corruption. That is to say, so strong is the desire to achieve a correct conviction that any means to that end are justified. The adversarial process combined with the pressure for a quick result creates noble cause corruption. Resounding examples are Guildford Four and Birmingham Six, which have been described in newspapers as the worst miscarriages of justice in England in the last century. The Guildford four took palce on 5 October 1974, in which members of the Irish Republican Army planted bombs in two public houses in Guildford, Surrey: the Horse Groom and the Seven Stars. The attacks left five people killed and over 100 injured. Kennedy (1989) describes how Conlon, came to sign his confession and what previously happened. Pol ice officers were violent and immoral. As Conlon stated I was crying and frightened. Simmons said if I didnt make a statement, he would ring Belfast first thing in the morning and I would never see my mother or sister again. The last of my resistance shattered when he said this. I was crying and shaking uncontrollably. I said my family hadnt done anything. I fell apart. Simmons said what happened to my family was up to me. I said I would make a statement like they wanted, but it wouldnt be true as I really didnt do it (Kennedy, 1989). The four men spent 15 years in prison before the case was overturned in 1989 after a new police investigation had found serious flaws in the way Surrey police noted the confessions of the four: that the notes taken were not written up immediately and officers may have colluded in the wording of the statements (Gudjonsson, 2003). Another event happened as it was called The Birmingham Six, after one month when Guildford four took place, namely on 21 Nove mber 1974. Two public houses In Birmingham were bombed by the IRA in which 21 people were killed and more than 160 were injured. Six men were convicted for this crime and they were released after 16 years (in 1991) Scientists admitted in court that forensic tests which were originally said to confirm two of the six had been handling explosives could have produced the same results from handling cigarettes (Gudjonsson,2003). In Guildford four, the confessions that had been central of their conviction in 1975 were shown to be unreliable and in, sometimes fabricated. In the second case, Birmingham Six, the confession was discredited. Thomas Heron, who was on trial for the murder of a young girl, was acquitted when the interviews, which led to his confession, were dismissed by the trial judge as oppressive. In this case interviews were recorded in compare of Guildford Four and Birmingham Six in which the interviews were not recorded. The Police Studies Institute Report found (1983) that the most widespread opinion about police interviewing and the most popular police misconduct is that police officers threatening and the use of unfair pressure. Around fifty percent of the respondents believed that police use threats and pressure at least sometimes but the more important is twenty five percent thought that it often happens and this was a usual behaviour of police officers. A de facto percentage of Londoners believed that other kinds of misconduct happened at least once in a while. Around ten percent of Londoners thought police officers fabricate evidence and use inexcusable violence on people were detained at police stations. The findings of this research showed the public perception which was negative and critical against police. . The majority of Londoners had serious doubt about police conduct. People did not trust police interviewing, it showed that there was a complete lack of confidence and reliability (Smit h 1983: 325). One third of young white people thought the police often used threats or unreasonable pressure during custodial questioning while 62 per cent of young people of West Indian descent believed that they did so. Therefore, people were critical of police where they had a high degree of conduct with the police or they were subject to a high level of victimisation (Jones et al, 1986). The successful appeals of Guildford Four and Birmingham Six and the acquittal of Heron received widespread publicity and brought heavy criticism of the police and affected public opinion. A general public survey found that 73 per cent of the participants believed that the police broke the rules to obtain convictions (Williamson, 1991). By 1993 police interviews were described as a grave concern (Shepherd 1993). These surveys provide a rich picture of the nature and quality of the relationship between the citizen and the police in the past (Williamson, 2005). By the 1970s and 1980s in England and Wales it was clear that the legitimacy of the criminal justice system was at stake. Something had to be done. This became the focus of policy making. Such were the concerns that the Royal Commission on Criminal Procedure (1981) was set up, in turn leading to the passing in 1984 of the Police and Criminal Evidence Act (PACE) a key piece of legislation to monitor, amongst other things, the integrity of evidence production (Maguire, 2003) Through PACE (enacted 1986), police interviews with suspects were to be tape-recorded. This, it was hoped, meant the old regime of police investigations would be brought to an end and police interviews should be open to scrutiny (Lea, 2004). PACE suggested that investigation should separate from prosecution and should have an independent investigation service. Scientists with educational background should work in these laboratories and help the police to investigations and police officers had to be trained. All pol ice manuals are based on experience rather than objective and scientific data. Experience is invaluable to police work and its usefulness is illustrated by the effectiveness of the techniques recommended. However, relying solely upon experience in determining procedure may create serious pitfalls and fail to bring to light important facts about human behaviour, such as the susceptibility of some suspects to give erroneous information when placed under interviewing pressure. What is needed is more research into the effectiveness and pitfalls of different interviewing techniques. Also they argued that forensic laboratories should be independent from police. Home Office Circular 22/1992 provides the following seven principles of investigative interviewing: 1. The role of investigative interviewing is to obtain accurate and reliable information from suspects, witnesses or victims in order to discover the truth about matters under police investigation. 2. Investigative interviewing should be approached with an open mind. Information obtained from the person who is being interviewed should always be tested against what the interviewing officer already knows or what can reasonably be established. 3. When questioning anyone a police officer must act fairly in the circumstances of each individual case. 4. The police interviewer is not bound to accept the first answer given. Questioning is not unfair merely because it is persistent. 5. Even when the right to silence is exercised by a suspect the police still have a right to put questions. 6. When conducting an interview, police officers are free to ask questions in order to establish the truth; except for interviews with child victims of sexual or violent abuse which are to be used in criminal proceedings, they are not constrained by the rules applied to lawyers in court. 7. Vulnerable people, whether victims, witnesses or suspects, must be treated with particular consideration at all times. Questioning also may be considered oppressive if the officer asks: multiple questions (i.e. several questions rolled into one); ambiguous questions (i.e. where the potential answers have more than one meaning); irrelevant questions (i.e. questions which have no logical connection with the police enquiry); questions concerning other offences; hypothetical questions; questions based on dubious or non-existent evidence; questions concerning a co-suspect. (Home Office Circular 22/1992) The effectiveness of Pace is debatable, on the one hand McConville and colleagues suggested in 1991 that little of police interviews had changed especially in relation to interrogative suggestibility. Namely, the tape recording of interviews had not changed the power relations in the whole interview process, principally the fact that Interrogation takes place in an environment which increases the vulnerability of the suspect and maximises the authority and control of the police (1991, p78). On the other hand, Ede and Shepherd (2000, p109) stated that tape recording of PACE interviews led to a sharp decline in forceful interviewing and revealed the widespread ineptitude of police officers in the interviewing role In the same concept Milne and Bull (2003) report experience officers views. Since the 1986 introduction of PACE regarding audio-taping interviews with suspects, police interviews have become better planned, more structured, and the use of trickery and deceit has all but vanis hed (p121) . PACE appears to have markedly reduced the number of manipulative and persuasive techniques that police officers use when interrogating suspects, except perhaps in the most serious cases (Milne and Bull, 1999). Interestingly, there appears to have been no overall effects on the confession rate of suspects. The reason that police interviewing was still poor (Baldwin, 1992) was because of police role in the investigation of offences was still one of persuading suspects to confess rather than engaging in a process of inquiry, which was a search for the truth. The persistence on confession evidence also meant that witness and victims were often ignored, not seen as an important part of the investigation process, consequently were not interviewed methodically and so were not capable to present all the information they were competent of giving as evidence (Adler and Grey, 2010). Obviously, there was a need for a change of investigative interviewing to meet the ideals of the new legislation and to prevent challenges to the evidence achieved through questioning. This constituted in the establishment of a national committee on investigative interviewing that involved police officers, lawyers and psychologists. That result was the beginning of the PEACE interviewing model (Milne et al, 2007).

A history of Common Law

A history of Common Law Common Law In order to be influential, the law is to be professed as both certain and predictable, and also flexible and fair.   Specifically, it needs clear rules on the one hand, but flexibility on the other to produce exceptions to cases that lead to apparently incongruous or unjust conclusions if the rules are applied rigidly.   Equity is an essence of principles, doctrines, and rules advanced initially by the Court of Chancery in positive competition with the rules, doctrines and principles of the Common Law Courts.  The obliteration of the old Court of Chancery and the Common Law Courts, has led to the proposition that the distinction between law and equity is now outdated; that the two approaches are now ‘fused.’   On the contrary, the better analysis, is that the common law and equity remain distinct but mutually dependent features of law: ‘they are working in different ways towards the same ends, and it is therefore as wrong to assert the independence of one from the other as it is to assert that there is no difference between them.’ For a long time, the two structures of common law and equity ran uncomfortably side by side.   Until 1615 it was by no means established which one was to prevail in the event of a dispute.   Yet, even after that year the inconsistency between the two systems continued for a very long time.   After the restructuring of the English court system in 1865, it was decided that in the event of a conflict between the common law and equitable principles, equity must prevail.   The Judicature Acts 1873-1975 created one system of courts by amalgamating the common law courts and the courts of equity to form the Supreme Court of Judicature which would administer common law and equity.   Accordingly the court ‘is now not a Court of Law or a Court of Equity, it is a Court of Complete Jurisdiction.’ The area of law recognized as Equity developed in England and Wales in the Middle Ages in situations where the ordinary common law had failed to afford suitable redress.   Many legal actions, for example, originated by the issue of a writ but the slightest inaccuracy on the writ would invalidate the entire action.   Another inadequacy in the ordinary common law involved the fact that the only remedy was damages; that is, compensation, therefore, the court orders did not exist to require people to do something or to desist from some conduct, for example, sell as piece of land according to an agreement made or stop using a particular title.   Dissatisfied litigants frequently preferred to petition the King for him to mediate in a specific case, the courts were, in any case, the King’s courts.   These petitions’ for justice were dealt with by the King’s Chancellor who determined each case according to his own discretion.   Over the years, the decisions mad e by Lord Chancellor became known as the rules of equity, derived from the Latin meaning levelling.   These new-found rules came to be applied in a special court, the Chancellor’s Court, which became identified as the Court of Chancery.   Equity began to appear as an apparent set of principles, rather than a personal jurisdiction of the Chancellor, during the Chancellorship of Lord Nottingham in 1673.   By the end of Lord Eldon’s Chancellorship in 1827 equity was recognized as a precise jurisdiction. Nevertheless the development of a parallel but distinct system of dispute resolution was certainly bound to generate a conflict.   An individual wronged by a failure of the common law to remedy a gross injustice would apply to the court of equity.   The Chancellor, if the case accepted it, would approve of a remedy preventing the common law court from imposing its order.   The catharsis transpired in the Earl ofOxford’s Case, where the court of common law ordered the payment of a debt.   The debt had previously been paid, but the deed giving affect to the requirement had not been cancelled.   The court of equity was prepared to grant an order preventing this and resolving the deed.   The collision was in due course resolved in favour of equity; where there is an inconsistency, equity prevails.   This rule is now preserved in the Supreme Court Act 1981, s 49. The history of equity is regarded by its constant ebb and flow between compatibility and competition with the common law.   More recent developments in equity include, for example, the recognition of restrictive covenants, the expansion of remedies, the development of doctrines such as proprietary estoppel, the enhanced status of contractual licences, and the new model constructive trust.   There is an effort, then again, to validate these new developments, which are all illustrations of judicial inspiration, by precedent.   As Bagnall J said in Cowcher vCowcher: ‘this does not mean that equity is past childbearing; simply that its progeny must be legitimate- by precedent out of principle.   It is well that this should be so; otherwise no lawyer could safely advise on his client’s title and every quarrel would lead to a law-suit.’ In all probability the single most significant feature of equity is the trust.   If title to any property is vested in a person as trustee for another, equity not only restrains the trustee from denying his trust and setting himself up as absolute owner, but impresses on the trustee positive duties of good faith towards the other person.   Although one of the original development of equity, the protection granted to equitable owners behind a trust has developed considerably over the last 50 years. Remedies represent some interesting illustrations of the difference between law and equity; a difference which arose as; ‘an accident of history,’ according to Lord Nicholls in A-G v Blake. Ordinarily legal rights and remedies remain separate from equitable ones.   Some similarities do, nevertheless, occur.   For illustration, an injunction, an equitable remedy, can be sought for an anticipatory breach of contract, or to stop a nuisance, both common law claims.   In A-G v Blake, the House of Lords authorized the equitable remedy of account of profits for an assertion for violation of contract where the common law remedy of damages would have been insufficient. The equitable remedy of account of profits is usually accessible where there is a fiduciary relationship but the House of Lords endorsed its request otherwise in exceptional cases where it was the operative way to remedy a wrong.   By distinction, in Seager v Copydex, proceedings were brought for breach of confidence in regard for confidential information exposed by the defendants about a carpet grip.   Such a claim is equitable and normally the equitable remedies of injunction and account are obtainable.   On the other hand, an injunction would have been unsuccessful and he judges awarded damages.   It would appear, consequently that a common law remedy is available for an equitable claim for breach of confidence. The new model constructive trust resulted in the main due to the resourceful activity of Lord Denning MR.   In Hussey v Palmer, Lord Denning explained the constructive trust as one ‘imposed by the law wherever justice and good conscience require it.’   Cases such as Eves v Eves, where the woman was awarded an equitable interest in the property signifying her involvement in terms of heavy work, and Cooke v Head, a comparable case, regard this progress further.   On the other hand, it might be that this progression has come to a standstill since the retirement of Lord Denning.   A number of modern cases, including Lloyds Bank v Rosset, have re-established former ideology in this sphere relating to the survival of a common intention that an equitable interest should occur, and the existence of a direct financial contribution.   These ethics are more analogous to those relating to the formation of a resulting trust.The new model constructive trust has been for the most part thriving in the field of licences.   At common law, a contractual licence was controlled by the doctrine of privity of contract, and failed to present protection against a third party.   Equitable remedies have been made accessible to avoid a licensor violating a contractual licence and to permit a licence to bind third parties. It has been acknowledged that certain licences may produce an equitable proprietary interest by means of a constructive trust or proprietary estoppel.   In Binions v Evans, it was decided by Lord Denning that purchasers were compelled by a contractual licence between the former owners and Mrs Evans, an occupant. A constructive trust was imposed in her preference as the purchasers had bought specifically subject to Mrs Evans’ interest and had, for those grounds, paid a reduced price.   Also in RE Sharpe, a constructive trust was imposed on a trustee in bankruptcy regarding an interest obtained by an aunt who lent money to her nephew for a house purchase on the arrangement that she could live there for the rest of her life.The volatility of these progressing fields is once more shown in recent case law which seems to hold back from an advancement which may have pushed the boundaries too far.   Obiter dicta from the Court of Appeal in Ashburn Anstalt v W JArnold Co, accept ed in Habermann v Koehler, propose that a licence will only give effect to a constructive trust where the conscience of a third party is influenced:   it will be imposed where their behaviour so deserves.   Judicial resourcefulness in equitable disciplines is therefore made subject to refinements by judges in later cases. Proprietary estoppel is an additional illustration of an equitable doctrine which has seen momentous progression in the interest in justice ever since its formation in the leading case of Dillwyn v Llewelyn.   The dogma is established on encouragement and acquiescence whereby equity was equipped to arbitrate and adjust the rights of the parties.   Its relevance has been further improved by the Court of Appeal in Gillet vHolt, where a wider line of attack to the doctrine was taken that depended, eventually, on the unconscionability of the act.   Once more, it is an advancement which is outside of the organization of property rights and their registration recognized by Parliament. Cases such as Jennings v Rice show that the principle of proprietary estoppel and the protection of licences by estoppel continue to be a successful means used by the judges for the protection of licences and equitable rights.   The extent to which the right welcomes protection is adaptable owing to the conditions of the particular case.   For example, in Matharu v Matharu, the licence did not bestow a beneficial interest but presented to the respondent a right to live in the house for the rest of her life. A different prevailing progression in equity has resulted from the decision of the House of Lords in Barclays Bank plc v O’Brien.   The case has proclaimed the re-emergence in a broad sense of the equitable doctrine of notice.   They present that, where there is undue influence over a co-mortgagor or surety, this may provide augmentation to a right to prevent the transaction.   This right to avoid the transaction amounts to an equity of which the mortgagee may be considered to have constructive notice.   This revivification of the equitable doctrine of notice in a contemporary situation reveals evidently the flexibility of equity.   A number of cases pursued this pronouncement.   In Royal Bank of Scotland v Etridge, the House of Lords laid down common procedures for the application of the doctrine of notice in this situation. In summary equity fulfils the common law, although it does not endeavour to displace it with a moral code.   There have been setbacks and refinements, over the last 50 years, in the progress of new doctrines relating to the trust, above all when later judges seek to rationalise and consolidate new ideology.   Nonetheless it is apparent that equity remains its traditions, and prevails over the common law in the event of conflict.

Saturday, July 20, 2019

Report on Long-term Financing Policy :: essays research papers

Work Teams: Dispute Resolution Abstract Can conflict among work teams or individual employees be avoided? This and other conflict resolution issues will be addressed in this paper along with a couple of hypothetical workplace disputes and the viable solutions that can be applied to resolve the conflict(s). Work Teams and Conflicts   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"The use of work teams has become a popular strategy for increasing productivity and worker flexibility in the United States. Seventy-eight percent of U.S. organizations report that at least some of their employees are organized into work teams. In those organizations that utilize teams, an average of 61% of all employees is members of teams† (Bishop, Scott, and Burroughs, 2000). â€Å"A team is a group of people who are interdependent with respect to information, resources, and skills and who seek to combine their efforts to achieve a common goal† (Thompson, Aranda, and Robbins 2000, p9).   Ã‚  Ã‚  Ã‚  Ã‚  In most cultures and most global organizations, individuals have been paired or grouped into teams that are required to work together towards the completion of set goals. Today’s employees come from diverse cultural backgrounds with diverse attitudes and values. This can be good in that it can provide an organization with new and innovative ideas for positive and profitable direction in a global economy that is dominated by many of the same types of businesses. However, when employees are placed in groups or work teams, conflict can, sometimes, arise. Types of Hypothetical Workplace Disputes   Ã‚  Ã‚  Ã‚  Ã‚   Conflict can be good or bad for an organization. It is good or functional when it causes a team to perform effectively. However, conflict can be bad for an organization when it causes a group or team to perform inefficient and ineffective work that keeps the team from achieving its desired goals and objectives in the specified timeframe. Some conflicts support the goals of the group and improve its performance; these are functional, constructive forms of conflicts. There are also conflicts that hinder group performance; these are dysfunctional or destructive forms (Robbins 2001, p262-263). What Causes Conflicts   Ã‚  Ã‚  Ã‚  Ã‚  Several factors can lead or contribute to the escalation of conflict among groups or teams in the workplace. Some factors include but are not limited to: communication barriers, lack of good interpersonal skills, and poor ethical behavior. Desired Outcomes   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"Conflict is constructive when it improves the quality of decisions, stimulates creativity and innovation, encourages interest and curiosity among group members, provides the medium through which problems can be aired and tensions released, and fosters an environment of self-evaluation and improvement† (Robbins 2001, p269).

Friday, July 19, 2019

Essay --

According to the Stanford Encyclopedia of Philosophy, the discussion of definite and indefinite descriptions has been at the center of heated debates of analytic philosophy for over a century. There have been many compelling arguments and interesting views by many philosophers on this topic and it is hard to yet conclude whose argument is more correct. In this essay, I will first briefly explain Russell’s analysis of definite descriptions, then present both Strawson’s and Donnellan’s views of descriptions in opposition to Russell’s, then I will conclude the essay by showing why I find the analysis of definite descriptions by Donnellan more persuasive than the others’. To put it simply, Russell believes that the statement, ‘the F is G’ has three components: existence (âˆÆ'xFx), uniqueness (∀x∀y((Fx∠§Fy)→y=x)), and predication (∀x(Fx→Gx)). In other words, for a statement, ‘the F is G,’ to be true, there must exist at least one thing which is F, there must exist at most one thing which is F, and whatever is F must be G. To expand on this, a sentence of the form ‘The F is G’ states, ‘There is one and only one F and it is G’ and the difference between ‘The F is G’ and ‘An F is G’ is that the latter is just stating there is a (G) F, whereas the use of the definite article, ‘the,’ emphasizes extra uniqueness. For example, it is true to speak of â€Å"the son of Eric† even when Eric has several sons, but it would be more correct to say â€Å"a son of Eric.† Russell further argues that if there is no unique F, an a ssertion of â€Å"the F is G† is false. Strawson thinks otherwise. Strawson claims that Russell confuses properties of a sentence with properties of a use of that sentence. To explain, while Russell thinks truth-value belongs to sentence meanings... ...rase ‘the F’ to refer to something, thus it does not completely embrace the definite descriptions as actually used in a natural language. For example, when I say, â€Å"the leaves are red,† I am referring to the object, leaves, that I am trying to communicate across, but with Russell’s theory, this may not be the case. Using Strawson’s theory, we must ascertain what object is being identified or referred to and what is being ascribed to it even before we evaluate for truth or falsity. For instance, when I say, â€Å"Smith’s murderer is insane,† and it turns out that Smith was not actually murdered at all, then his theory fails as the description, ‘Smith’s murderer,’ does not apply to anyone. Contrastingly, to me at least, Donnellan’s theory encompasses the weaknesses of the theories by the other two, which is why I believe it is the more persuasive argument over the others’.

Thursday, July 18, 2019

YouTube Essay -- Technology, Video, Copyrights

Broadcast Yourself YouTube is an online form of entertainment. While some viewers do not appreciate its format, others enjoy watching and creating videos on YouTube. YouTube videos range from being educational, instructional, comedic to amusing. Creating videos to upload to YouTube is being done by people of all ages from all over the world. According to author Alex K. Rich, â€Å"thirty-eight percent of Americans want to distribute content online.†(Rich 1) YouTube has brought about a new form of high quality amusement and entertainment to a lot of its viewers. YouTube â€Å"is a popular video streaming website that displays uploaded video files created or disseminated by its users† (Belanger 1) writes Craig Belanger in his overview of YouTube. It is free and user friendly which makes it very popular. According to Jennifer Sexton this innovative website was founded by three former PayPal employees who had a â€Å"simple desire to capture short videos and share them with others.† (Sexton 1) While their intentions were not to make money and become a popular website, very quickly YouTube’s popularity increased and it is used by many internet users. According to the viewpoint of Alex K. Rich, â€Å"YouTube has lowered the bar for what is considered entertainment†(Rich 1) It is true that a majority of the videos created and uploaded to YouTube are not professional quality, it is a website that allows submitters of all ages and degrees of creativity to make a video. For example, the Lonelygirl15 videos were â€Å"sho t on a $150 web camera and showed that digital videos could be made by anyone.† (Hirschorn 3) The motto of YouTube is â€Å"Broadcast Yourself.† Michael Hirschorn wrote in his article, â€Å"Thank You, YouTube†, that the â€Å"start of low cost videos and its... ...s become part of the culture of the internet and influences things going on in the world today. As a viewer, people become of what is accepted and what is deemed not worth watching. In â€Å"YouTube: Guide to Critical Analysis†, some of the â€Å"videos that YouTube viewers have watched are 1) Soon after YouTube’s launch, clips from the 2006 Winter Olympics were posted, 2) Pop band OK Go won a 2006 Grammy award for a video that had originally achieved notoriety on YouTube and 3) excerpts from â€Å"The Daily Show with Jon Stewart† were regularly featured on YouTube.† (YouTube: Guide to Critical Analysis 2) So, as long as YouTube exists, while some of the videos will be done by professionals wanting to promote their product, there will always be the submitter who wants to â€Å"broadcast themselves† and upload it, even if it is using their cell phone and the use of their internet.

Microsoft Environment Analysis Essay

1. The five vulnerabilities that exist for this LAN based workgroup are 2755801, 2501696, 2588513 2639658, 2659883. 2. Yes, the vulnerability that involves privilege elevation is 2639658 (Vulnerability in TrueType Font Parsing), but it is not a high priority. 3. 2719662 Solution: Workarounds refer to a setting or configuration change that does not correct the underlying issue but would help block known attack vectors before a security update is available. Apply the Microsoft Fix it solution that blocks the attack vector for this vulnerability. Disable Sidebar in Group Policy. Disable the Sidebar in the system registry. 2737111 Solution: Workarounds refer to a setting or configuration change that does not correct the underlying issue but would help block known attack vectors before a security update is available. Disable WebReady document view for Exchange. 2755801 Solution: Workaround refers to a setting or configuration change that would help block known attack vectors before you apply the update. Prevent Adobe Flash Player from running. Prevent Adobe Flash Player from running on Internet Explorer 10 through Group Policy on Windows 8 and Windows Server 2012. Prevent Adobe Flash Player from running in Office 2010 on Windows 8 and Windows Server 2012. Prevent ActiveX controls from running in Office 2007 and Office 2010. Set Internet and Local intranet security zone settings to â€Å"High† to block ActiveX Controls and Active Scripting in these zones. Configure Internet Explorer to prompt before running Active Scripting or to disable Active Scripting in the Internet and Local intranet security zone.

Wednesday, July 17, 2019

Maureen Frye at Quaker Steel and Alloy Corporation Essay

Frye made some(prenominal) mistakes with respect to her initial attempt to run with multifariousness, yet in that location be wider companion issues beyond Fryes present(prenominal) support that also contributed to the failure of her initiative.Having take ton her original memorandum attract criticism for its arbitrary nature, Frye failed to richly comprehend the concludes for the initial rejection of her proposal, when she proceeded with her January 1995 meeting with the DSMs. This is receivable to the item that Frye did non right sympathise the way in which the gross revenue segment worked. On page 7 it is mentioned that Frye had not been able to spend as more conviction in the field as she had hoped, while on page 9 Frye says we gave them a rough protrudeline of what we treasured done, and we expected the DSMs to follow through as they saw fit. As a leave of this, we speculate that she was unaw ar of the intumescent layer of autonomy afforded to individu al gross revenue state by the regional DSMs. In a scenario where there is ordinarily a large stagecoach of autonomy, a rough discoverline presented to people who then crap to pass on the c erstwhilept to their respective subordinates is tot every(prenominal)y inadequate.Frye showed a complete want of empathy with the changes baffling for the sales fierceness. She has not solicited widespread feedback on her proposals and from her spot behind a computer analyzing cold hard numbers, she has entirely underestimated the change involved to the nature of the sales forces work. Addition anyy she has made no causal agency to understand their demands and frustrations.Frye does not appear to have engaged the General gross sales Managers at entirely. By sidelining them in this way she removes their motivation to construe correct instrumentation. She thus tackively discards what could be very effective resources that wield bear line responsibility everyplace the employees who will in the end need to go through Fryes proposed changes.Finally, Frye was not properly authorise by her superiors and debatems to have made no effort to cut across this. As demonstrate on Page 2 the tangled responsibility lines that cut across departments meant that typically managers who joined Quaker from new(prenominal) companies build Quaker a confusing order to work. These complicated responsibility lines (Exhibit 1 and Exhibit 3) meant that Frye was not given expressed control over the people who would ultimately implement her proposals. In the workplace, believability grows off of some(prenominal) sources expertise and consanguinitys1 Coupled with the incident that Frye did not have installed workings relationships, this confusing mental synthesis meant that in the absence seizure of explicit empowerment, Frye lacked the credibleness to effect change.The two overriding themes that we have identify are that Frye has demonstrated a clear lack of people skills. She has shown no collar of the central motivators of the sales force and communication more or less implementation of her idea has been poor two in terms of content and its direction. Frye has been unavailing to exhibit leadership due to twain a complicated organizational structure and her soulfulnessal lack of established credibility due to lack of relationships.What would you do if you were Maureen Frye, at the end of the case?One standalone alternate(a) that Frye could pursue is for Israel to send a direct order to his entire department petition that they comply with Fryes proposals. This proposal benefits from the fact that Israel has direct line representation over the salespeople and is in a better incline to monitor the implementation plan.This ersatz however entirely fails to address concerns around soliciting feedback and ignores the largely accepted norm of influencing through mentation and analyses earlier than through form-only(prenominal) author ity.2 Additionally this entirely underestimates the change for the salespeople, which Frye was initially guilty of. What is more, this does not address what appears to be one of the primordial frustrations that salespeople have when dealings with large accounts, namely that the quality of do from the practiced Service department varies greatly depending on the salesperson involved. Thus, whilst Frye might see a change in way she may not necessarily see the desired result of higher sales due to lack of buy-in from the technical service Department.Another alternative is to try and implement her proposal while at the alike time introducing a change to the remuneration policy whereby salespeople would be remunerated found on a fixed payment plus a large inconsistent component determined as a commission on sales revenue. This alternative however requires a radical swap in the corporate culture and its potential outcome of success is severely rock-bottom by the fact that whe n talking al nigh motivation of salespeople in the Chicago and forward-looking York offices, All rated monetary rewards and incentives lowest on the scale3. This solution also fails to address the problem of making sure that both the gross revenue and technological Services departments are pulling in the same direction.Our lucky alternative composes several elements Frye call for to germinate the VP for Technical Services on board. This is in all likelihood most easily achieved by a meeting involving Salk, Bethancourt and Israel where all spell out their clear support for the excogitate. Frye needs to cause comprehensive feedback on her proposals from the sales force. She should do this by straightway visiting all regional offices and conducting interviews with the General sales managers, all the DSMs and as many salespeople as possible.o The meetings among Frye and the salespeople should not be of a formal kind, but rather sexual and friendly in order to properly devel op a collaborative relationship.o If we assume that meeting each and every salesperson is impossible, then she needs to demand the people she meets with on a strategical basis by choosing those who exert most influence on their young mans.o She should clearly explain the rationale for her proposals in person and take account of any feedback provided and embarrass in the implementation where possible. Feedback should not except be point in time but should be on expiration.o gibe to the case, there is already one aged salesperson that is convinced about the project and has implemented the project to some completion and believes in its future outcomes. Frye needs to make out good use of this senior salesperson because as we know, credibility, along other lines female genitals be built or bought.4 He earth-closet serve as a good liaison between her and the other salespeople, showing evidence that the project working and emphasizing to his colleagues the benefits based on hi s first-hand experience.o Given that monetary rewards are not a high priority Frye must emphasize that whilst they may have an initially fallow period in sales, the ensuant benefits from their time and effort will result in increased sales of a higher magnitude. Additionally she should emphasize that the meanwhile period will also take back scope for significant satisfaction as they collaborate with clients in order to pick their problems. In addition to seeking commentary from the sales force, Frye needs to further establish credibility with the sales force sooner asking them to implement her proposal. As a result of our first point, we believe she can do this by ensuring better cooperation from the Technical Services Department for all salespeople. In this way she helps them see how they can bugger off from here to there, by establishing some credibility and by giving them some reason and help to get there.5 There should be memo sent by the VPs for Technical Support Servic e, and Sales to their subordinates whicho dilate Fryes proposals and explicitly mentioning that she should be afforded all possible help in implementing her proposals.o Emphasizes that the company practices a strong philosophical system of providing customers with the best technical service and aid available6o Insists on each DSM providing a weekly progress reputation in order to ensure greater accountability.o Gives thanks to staff for their slender performance thus far.By going through the points above we believe that Frye addresses the issues that we set when answering the first question, namely a lack of empowerment, a lack of understanding of the sales department, a lack of empathy and a failure to engage the General Sales Managers.The surgery however does not break down there. Close monitor of the implementation is fundamental so that any deviation is identified and corrected appropriately in a timely fashion. Frye should ensure that she uses the need for monitoring as a way to collect continued feedback and comments and thus evaluate the change in sales behavior and its effect not only on sales but also on employee satisfaction. She needs to establish an ongoing and collaborative relationship and make sure that the sales force see her as an approachable colleague working towards the same company goals rather than as a demanding taskmaster.Frye needs to ensure that she has a contingency plan in place. We suggest that should there be complaints from the Sales Department in relation to Technical Services Department cooperation, Frye should escalate immediately to the VP in charge as wellspring as Israel and Bethancourt. Assuming she continues to encounter metro on the Sales side, this should be escalated to Israel for immediate action.Should the trial of Fryes proposals be victorious i.e. increase overall sales through a greater focus on large accounts, we believe that when rolled out to other products that a more formal relationship should be established between the Technical Services Department and the Sales Department. As part of this process we instigate a process of 360degree evaluation feedback where employees are ranked versus their peers.For Fryes personal learning she must realize that feedback is not an interpersonal process where others tell one how they fight down to his/her behavior. It is rather a self initiated process where one examines the effects of ones behavior on others therefore once the implementation plan has been drawn up and executed, it would be valuable for Frye to request 360 degree feedback from all stakeholders engaged in the reallotment process and initiate a thorough self-assessment to address her areas of weakness.

Tuesday, July 16, 2019

Bruno Bettleheim’s “The Use of Enchantment”

Bruno Bettleheim’s “The Use of Enchantment”

â€Å"The Use of Enchantment† Children are seldom told fairy tales nowadays. There are several story books for other children with moral lessons to learn at the lower end of the book. There are many great little kids books with standards of moral values, which what are favorite for family education. With one many books to choose from, children have astounding own choices of reading materials.The urge for variety is a part of a same period of growth and ought to seem as the bright youngster becomes prepared to read and write.Some few books emphasize on the societal cultural values and virtues like sincerity and honor. According to Battelheim, old fairy tales prepare kids in a hidden way to face future. Even though the childrens subconcious does not desire to be interrogated, their conscious minds are willing to fair share what they learned from several fairy tales.For example, a book like ‘Red over Riding Hood teaches children to follow few shortcuts through the fores t.The solution is the most likely.

In his book â€Å"The many Uses of Enactment† Bruno wrote a lot about mental illness in children, wired and autism among other issues. Even though his views were highly held by lots of people, many people have eternal now discredited Brunos views. Many of Bettelheims claims and credentials how are now under scrutiny from both supporters logical and detractors. He applied the theory of Freudian on fairy other tales for children.Some fairytales are now clarified in a orthodox Freudian mannor.Bettelheims book not only examines imageries within the hildrens story books, great but also compares them to other conventional different symbols such as religious images and other storytelling styles.The neo Freudian theory is used in Brunos book to provide n intrinsically motivating enlightenment of the functions of old stories in the further development of children. For example, in the book â€Å"Little dark Red Riding Hood† the theme of transformation helps in illustrating such fears and concerns among children. Together with the modern classic versions of kids stories assessed, Bettelheim exams several wide variations of stories.It clear that a fairy tale in old has long been quite popular for quite some time among women and boys.

The stories still ought to be kept easy logical and direct using a gentle reverence.Parents are extremely easily scared.Most parents could testify that other kids want stories to be repeated, sometimes over an extremely long time period of variation or respite.Kids do not need such explanations! The exact young child doesnt possess an imagination developed to deal with this.

Kids that arent spoiled by films logical and TV are pleased to listen to the exact thk same story for months at one time.Its never second one thing.My experience now was not that dramatic.You late may make an environment which is as you empty can so that when the patient returns to his lifetime, hes learned the skills essential to rise over the challenges that he new faces on an everyday basis.