Monday, September 30, 2019

Osmosis in Quails’ Egg Essay

Title:Osmosis in quails’ egg Aim: To observe the effect of different concentrations of sodium chloride on a de-shelled quail’s egg To explain the effects in terms of osmosis Research Questions: Does the different concentrations of sodium chloride on a de-shelled quail’s egg effect the final mass of quail’s eggs that is measured by using electronic weighing balance? Introduction: â€Å"If a cell is to perform its functions, it must maintain a steady state in the midst of an ever-changing environment. This constancy is maintained by the regulation of movement of materials into and out of the shell. To achieve this control, cells are bounded by a delicate membrane that differentiates between different substances, slowing down the movement of some while allowing others to pass through. Since not all substances penetrate the membrane equally well, the membrane is said to be differentially permeable. The external and internal environment of cells is an aqueous solution of dissolved inorganic and organic molecules. Movement of these molecules, both in the solution and through the cell membrane, involves a physical process called diffusion – a spontaneous process by which molecules move from a region in which they are highly concentrated to a region in which their concentration is lower. A special kind of diffusion is the phenomenon of osmosis. Simply defined in biological systems, osmosis is the diffusion of water through a differentially permeable membrane from a region in which it is highly concentrated to a region in which its concentration is lower. ;

Sunday, September 29, 2019

Hamlet Theme of Appearance vs. Reality Essay

Shakespeare examines the theme of appearance and reality in his book-Hamlet. The dilemma of what is â€Å"real† is established at the very beginning of the play. Hamlet doesn’t know what to believe and devises a plan to find out. The old king Hamlet appears to be bitten by a snake, but in reality he was poisoned, the ghost appears as an apparition, but it’s actually real, and the play-with-in-a-play strongly depicts the theme of appearance vs. reality. The dead King appears to have been bitten by a snake. In reality, he has been poisoned. Everyone believes that the king died from snakebite, but once Hamlet knows the truth he is unsettled by the revelation. When Hamlet’s dead father directs his son to, â€Å"Avenge him of his foul and most unnatural murder† (1. 5. 25), Hamlet’s response shows determination to act and a curiosity to know all the facts surrounding the murder: (1. 5. 29-31) â€Å"Haste me to know’t, that I, with wings as swift, as meditation or the thoughts of love may sweep to my revenge. † Hamlet’s choice of image is significant here. A person who wants to take revenge rarely has â€Å"thoughts of love† but only concentrates upon thoughts of revenge, but Hamlet’s thirst for revenge is immediate and deep. Shakespeare also develops the theme of appearance vs. reality when Hamlet resents his mother’s insinuation that he is putting on a show of being grief-stricken. Strangely, he is the only one in the family who is truly mourning his father’s death. He replies that all outwardly signs of his grief, such as his black cloak of mourning, his tears, and his sighs, are mere appearances, not even close to the depth of the real grief in his heart (1. 2. 70-80). This theme of appearance vs. reality will play an important part in the entire play. Another example of appearance vs. reality is the Ghost that appears as an apparition from the depths of hell, when actually he is the medium of reality, revealing the facts to Hamlet. The ghost tells Hamlet that his father was murdered, â€Å"Revenge his foul and most unnatural murder† (1. 5. 25). Since Hamlet doubts the sincerity of the Ghost’s revelation, he decides to put on the appearance of being mad to see if this is true, â€Å"I’ll wipe away all trivial records ? and they commandment all alone shall live† (1. 5. 99-102). Hamlet’s decision to simulate madness as a means of enacting his revenge is important. The news that Hamlet received about his father and his mother could drive anyone insane. As a result, the line between appearance and reality becomes notably distorted as the play progresses. Guildernstern says in Act 3 lines7-9, â€Å"But with a crafty madness keeps aloof when we would bring him on to some confession of this true state. † At times it also seems that Hamlet’s appearance of madness has become a reality, (3. 1. 201-203) â€Å"You should not have believed me, for virtue cannot so inoculate our old stock but we shall relish of it. I loved you not. † Hamlet loved Ophelia so this is definitely not true, but during the course of the play, his madness seems so genuine that one wonders if he is acting. The most obvious symbol of ? appearance vs. reality’ is the play-within-a-play. The actors appear onstage and act out the events that actually happened in reality. Hamlet has carefully orchestrated this play so that he can gauge the degree of reality by Claudius’ reaction, â€Å"For murder, though it have no tongue will speak with most miraculous organ? Before mine uncle I’ll observe his looks? If ? a do blench, I’ll know my course† (2. 2. 605-610). Besides furthering the plot of Hamlet, the play-within-a-play also again develops the theme of appearance vs. reality. The fictional drama being presented before the King is a parallel to the past reality of the King, and will serve to shape the future reality of the King and several other characters. Hamlet, as director of this great deception on stage, cautions the players not to exaggerate their expressions and emotions, stating that only uncivilized â€Å"groundlings† (3. 2. 10-11) are impressed by excessive over-acting. In Act II, Scene 2, Hamlet had asked the players to give a passionate presentation of the killing of Priam by Pyrrhus. Now he specifically instructs the players to â€Å"beget a temperance† in the â€Å"whirlwind of passion† in order to give it â€Å"smoothness† (3. 2. 1-9). He tells them that the aim of the play is to hold â€Å"the mirror up to nature,†(3. 2. 23-25) saying that the representation of action should be a realistic reflection of life, with moderation as the keynote (3. 2. 1-45). Hamlet’s advice to the players is important, because it reveals his state of mind before the staging of the play indicating that Hamlet’s own mind has finally reached a reasoned balance. In summary, the theme of appearance vs.reality is so well developed that everything in the play must be questioned, for nothing appears certain. Hamlet doesn’t know who is telling the truth because of the appearance of some things. Hamlet lives in a reality that appears to be true, but appearances can be deceiving. Hamlet learned that reality is completely different from appearance. The old king Hamlet appears to be bitten by a snake, but in reality he was poisoned, the ghost appears as an apparition, but it’s actually real, and the play-with-in-a-play strongly depicts the theme of appearance vs. reality.

Saturday, September 28, 2019

Armageddon & Physics Essay Example for Free

Armageddon & Physics Essay In 2007, the September 1st issue of The New Scientist alleges that the film Armageddon is shown by the management training programs of the National Aeronautics and Space Administration (NASA). A 1998 Jerry Bruckheimer-produced disaster thriller directed by Michael Bay in which deep core drillers attempt to avert an asteroid’s collision with the planet Earth, The New Scientist contends that NASA’s screening of a razzle-dazzle blockbuster claiming ground in science, is purely for entertainment purposes. â€Å"†¦the screenings are just a game for NASA’s space geeks: who can find the highest number of impossible things in the movie? † Regarding the scientific fallaciousness of Armageddon, astronomer Philip Plait has many contentions. Plait notes that the introductory premise of the film, in which an asteroid of the same size which humanity faces was a â€Å"dinosaur killer† that possesses the same destructive capacity of â€Å"10,000 nuclear weapons. † However, he asserts that this is a severe underestimation, for the fictional asteroid would actually release at the very least, eight hundred thousand nuclear weapons, based on conservative estimates. Plait implicitly infers that the writers were going for a dramatic figure, but one whose complete lack of scientific basis leads to a severe underestimate. It is also preposterous for it to be impossible to communicate the drilling experience of an oil rig crew to astronauts or engineers, former engineer turned writer Tom Rogers notes. However, this is how the movie rationalizes the oil rig crew’s participation in Earth’s salvation despite their complete lack of astronautical experience. But even excusing such a premise, Rogers notes that the film stretches credulity when the Mir space station rotates at high velocities to induce artificial gravity. Amazingly enough, it rotates so fast that it can create gravitonic conditions in under half a minute, despite the fact that the Mir station’s mass exceeds a hundred tons. Rogers’ contention in this scenario is that the planetary gravity conditions could not be possibly simulated unless the human’s height is a small percentage of the rotational radius. As such, the astronauts would only experience gravitonic force on both ends of their bodies, which would feel â€Å"disorienting and probably cause [them] to stumble and vomit. † The Jupiter Scientific Organization also asserts that NASA’s plan of inserting a hydrogen bomb eight hundred feet deep into an asteroid that is three hundred miles wide – essentially a Texas-sized asteroid, which is exactly what it is called at one point in the film – does not actually scale very well. The film’s core (all pun intended) premise is actually absurd: attempting to split an asteroid with two pieces by exploding it with a hydrogen from within would be like hypothesizing that a single hydrogen bomb could fracture the state of Texas. It’s â€Å"like a pin-sized hole no deeper than a scratch in a ten-foot rock. † Such a hydrogen bomb â€Å"would roughly be like lighting a match. Can the ignition of such a match split a ten-foot rock? † Rogers also observes that a flaming shuttle crash site contradicts what the astronauts are told earlier about the gravity being about a tenth of that on the planet Earth. Such a low gravity cannot support an atmosphere – which is why they wear space suits in the first place: the asteroid surface does not and could not hold oxygen – yet for some reason, flames burn in the absence of oxygen. Lastly, a successfully halved asteroid would still be disaster, as the gravitonic forces they exert would cause catastrophic tidal changes that would eradicate most of the Earth’s population. â€Å"Sometimes there’s just no way to have a happy ending,† Rogers notes. â€Å"Feedback. † The New Scientist, Issue 2619. 01 September 2007.Plait, Phil. â€Å"The Astronomy of Armageddon. † Phil Plait’s Bad Astronomy. 08 August 2007. Retrieved June 6, 2008 from: http://www. badastronomy. com/bad/movies/armpitageddon. html â€Å"Movie Review of Armageddon (and Deep Impact) from a Scientific Viewpoint. † Jupiter Scientific Information. July 1998. Retrieved June 6, 2008 from: http://www. jupiterscientific. org/sciinfo/armageddon. html Rogers, Tom. Insultingly Stupid Movie Physics: Hollywood’s Best Mistakes, Goofs and Flat-Out Destructions of the Basic Laws of the Universe. Connecticut: Sourcebooks Hysteria, 2007. Armageddon & Physics. (2017, Jan 08).

Friday, September 27, 2019

Analysis of Claude Levi Strauss's Books Essay Example | Topics and Well Written Essays - 750 words

Analysis of Claude Levi Strauss's Books - Essay Example According to Levi-Strauss, â€Å"Heterogeneous beliefs and customs have been arbitrarily collected together under the heading of totemism.† There were many scholars who became supporters of totemism when they tried to decode the secrets of evolution. Levi-Strauss supported the anti-totemic school together with other anthropologists such as Goldenweiser and Boas. They believed that totemism was just a social historical reality. He concluded that totemism is just an exercise in logic of the savage mind. It is not the start of vast accomplishment of savage ancestors to form the first unit of social organization. In the book, Levi-Strauss also compared the Bricoleur and Engineer.. Bricoleur comes from the French verb bricoler which originally meant extraneous movements in ball games, hunting, gun firing, but now referred to repairing things by one’s self. The Engineer was referred by Levi-Strauss as the proper craftsman. According to Levi-Strauss, there is a difference betw een the two. Engineer sees things in its entirety and gathers all things needed in building or creating its masterpiece. On the other hand, a Bricoleur utilizes what materials are existing and finds new ways to create a masterpiece. The engineer uses a â€Å"scientific mind† while a bricoleur exercises a â€Å"savage mind†. ... Bricoleur, is closed to whatever is imposed by the state of civilization. Thus, according to Levi-Strauss, engineers works by concept while bricoleur works with signs. Signs incorporate certain amount of culture into reality while concepts tries to be transparent to reality. This view shows how Levi-Strauss discussed the world between technology and metaphysics. Thus talking about the engineer being able to utilize the available practical knowledge exhibited by the bricoleur, technology therefore was a tangible expression of metaphysics. The two don’t have a big difference but is interconnected. The Savage Mind focused on the division of world during the 1960s. It showed how the scholars had a hard time deciphering a specific formula of how the world works. With what the book has discussed, the world is torn between technology and metaphysics. Scholars also have different views such that others support in totemism while other are support the anti-totemic school such as the aut hor Levi-Strauss. The Tristes Tropiques Claude Levi-Strauss The Tristes Tropiques book by Levi-Strauss provided a very wide exploration of the relationship of human beings and the environment. This book focused in Levi-Strauss’ research in Brazil which discussed sociology, religion, education, as well as urban development. Being an anthropologist, he has shown his feelings, fears and the possible criticisms in this book. On the first part of his book, he showed his talent in writing and him being a good social scientist. He also discussed urban development in Part Three of his book that can be of great reference and influence to architects and urban planners. Being an anthropologist, Levi-Strauss has the responsibility to write his views and opinions. Writing about the

Thursday, September 26, 2019

Audit Report Research Paper Example | Topics and Well Written Essays - 1000 words

Audit Report - Research Paper Example Table 4 Year 2001 2002 2003 2004 2005 2006 Jewry Inn 2.1 2.4 3.91 4.68 5.75 6.3 5. The turnover index relatives of the three hotels for a base year of 2006, computed using Excel (rounded to whole numbers) are given below: Table 5 Year 2001 2002 2003 2004 2005 2006 Moorchester 66 73 83 102 99 100 The Frilton 51 56 67 82 90 100 Jewry Inn (index) 33 38 62 74 91 100 6. (a) Absolute and relative changes in the three turnover indices between 2001 and 2006 (round to whole numbers) are shown below. Table 6 - Absolute Growth in Turnover (Base year 2006) Hotel / Period 2001 - 02 2002 - 03 2003 - 04 2004 - 05 2005 - 06 Moorchester 11 10 19 -3 01 The Frilton 10 11 15 8 10 Jewry Inn 15 24 12 17 09 Table 7 - Relative Growth in Turnover (Base year 2006) Hotel / Period 2001 - 02 2002 - 03 2003 - 04 2004 - 05 2005 - 06 Moorchester 11 14 23 - 03 01 The Frilton 10 20 22 10 11 Jewry Inn 15 63 19 23 10 (b) Interpretation of results: (i) Moorchester: It had almost equal absolute growth during 2001 - 02 and 2002 - 03 but had a sudden rise during 2003 - 04. It had a steep fall during 2004 - 05. Then it had an insignificant growth during 2005 - 06. So far as relative growth is concerned, it had uniform rise in growth during three consecutive years 2001 - 02, 2002 - 03 and 2003 - 04. It had a major setback during 2004 - 05 and an insignificant growth during 2005 - 06. (ii) The Frilton: Its absolute growth during 2001 - 02 and 2002 - 03 were almost equal. Then it had an appreciable rise during 2003 - 04 but had much lower growth during 2004 - 05. During 2005 - 06 it had marginal growth. In terms of relative growth, it had an upward trend during 2001 - 02, 2002 - 03 and 2003 - 04. But the relative... (i) Moorchester: It had almost equal absolute growth during 2001 - 02 and 2002 - 03 but had a sudden rise during 2003 - 04. It had a steep fall during 2004 - 05. Then it had an insignificant growth during 2005 - 06. So far as relative growth is concerned, it had uniform rise in growth during three consecutive years 2001 - 02, 2002 - 03 and 2003 - 04. It had a major setback during 2004 - 05 and an insignificant growth during 2005 - 06. (ii) The Frilton: Its absolute growth during 2001 - 02 and 2002 - 03 were almost equal. Then it had an appreciable rise during 2003 - 04 but had much lower growth during 2004 - 05. During 2005 - 06 it had marginal growth. In terms of relative growth, it had an upward trend during 2001 - 02, 2002 - 03 and 2003 - 04. But the relative growth was reduced to half during 2004 - 05. However it maintained almost equal growth during 2005 - 06. (iii) Jewry Inn: The picture taking 2006 as base year is altogether different than that with 2001 as base year. In absolute growth it had up and down in alternate years during entire period of evaluation 2001 - 02 to 2005 - 06. The Laspeyre Index indicates that had the number of employees remained the same there would h

Using Manipulatives in Teaching Math for High School Students with Research Paper

Using Manipulatives in Teaching Math for High School Students with Learning Disabilities - Research Paper Example Manupilatives are used to bridge the gap between informal Math and formal Math. To achieve these objectives manupilatives used in classroom instruction must fit the development level of the students (Case et al, 2009). Young students have counters while older students use coloured wooden rods that represent difficult numbers. Maccini, & Hughes (2006) stated that according to the Principles and Standards for School Mathematics. Manupilatives existed since time in memorial, and it is crucial for teaching students at all levels in order for them to aqcuire knowledge in Mathematics. High school students with learning disabilities require the use of manupilsatives to ease understanding Mathematics. Moyer-Packenham, Salkind, & Bolyard, (2008)) suggested that students with learning disabilities may develop more concept understanding of difficult concepts when using virtual manipulatives than those that do not have learning disabilities. This review attempts to review studies conducted on th e use of manupilatives in teaching math for high school students with leaning disabilities. The purpose of this paper is to examine the importance and benefits of math manipulatives among students with learning disabilities. 2.2 Literature review Several Mathematics topics can be taught using different manupilatives. These materials should foster students concepts of numerals, geometry, measurements, problems, solving and data analysis (Moyer et al, 2008). The teachers can use counters, blocks cubes and cuboids to teach ordinal numbers, place values, fractions and understanding algebra. Students with learning disabilities can use geoboards when learning geometric shapes, and geometrics solid models can be used when learning spatial reasoning. Rulers and measuring cups can be used to represent length and volume in measurement, and students can use spinners when learning probability. A case study conducted by Puchner, Taylor, O’Donnell, and Fick (2008) they analyzed the use of manupilatives in teaching Mathematics at the elementary level. He decided to use manupilatives rather than using learning outcomes of the learners. The study found that in some of the Mathematics lessons, studied the use of manupilatives is turned into an end in itself rather than an instructional tool. While others, the use of manupilatives failed to help students with learning disabilities. Puchner, et al (2008) in their study noted that this weakness occurred because the teachers concentrated in content teaching and the end product in itself. In other situation, the use of manupilatives was separated from the actual teaching, and in second grade, the students copied the teachers’ examples making it difficult to learn Mathematics content. This misuse of manupilatives provided the researcher with further areas of research. The researchers also found that teachers needed support in the selection of manupilative used in teaching Mathematics among students with learning disabil ities. A study conducted by Munger (2007) where, in the experimental group, the teachers used manupilative models to teach Mathematics and the control group the teacher mainly used drawings and charts while teaching Mathematics. He conducted an analysis of covaerience, and it revealed that the experimental group using the manupilatives when teaching scored significantly higher than the control group that used drawings and charts. More research studies reveal that students who use manupilatives

Wednesday, September 25, 2019

Reposition sense in the knee joint in individuals with and without low Essay

Reposition sense in the knee joint in individuals with and without low back pain - Essay Example (Gill & Callaghan 1998; Newcomer et al. 2000; O`Sullivan et al 2003). Although not significant to prove the hypothesis, it could be seen how the result of this study has drawn the realization of the fact that proprioception needs to be increased among patients of LBP as they undergo particular therapies to treat their health issues. Through focusing to this need, it could be noticed how the entire system of therapy applied among those in need of healthcare assistance in connection with LBP could be improved through the implication of the importance of seeing how giving attention to bodily proprioception could be a huge difference in the process of curing those who have LBP. The limited proportion of the samples between each other has a huge significance with the result that has been garnered from this study. The fact that the participants came from the same institution and are having quite the same age range made the study more focused on a particular group of the population who may or may not be in constant possibility of developing LBP, which is the youth. Diversity was perhaps the lacking factor in this study. As this study lacked the said element, the application of the results to a more general scope of population affected by the health situation becomes a huge question of limitation. The LBP subjects included in this study described their pain as mild to minimal severity. Moreover, the recruitment period was conducted during summer vacation. Likely because of the situation, the season and the perception of the participants with the time, they are rather expected to have moods and certain perceptive reactions to the experiment which could have likely affected the whole result of the study. To overcome the whole limited sense of the study, an application of the isokinetic testing could be applied. This testing could help in

Tuesday, September 24, 2019

Influence of Close Relationship Status and without Close Emotional Essay

Influence of Close Relationship Status and without Close Emotional Relationship Status on GPA - Essay Example This relationship can impact many aspects our day-to-day life. Friends in need are friends indeed. More than that, close relationship with friends will impact the way an individual reacts or respond to both positive and negative things. If the friends make a positive impact on an individual or student in a academic environment, then he/she will absorb those positive aspects and use it many aspects of life particularly education. However, if the friends are a negative influence on the student, it will wreck not only his/hers education, but whole life. â€Å"The influence of peers can be both positive and negative. On the positive side, it can serve as an important incentive for adolescents to perform well in school. On the negative side, peer influence can lead to discipline problems and delinquent behaviors both inside and outside school† (â€Å"Students’ Peer Groups in High School† 1997). Relationship is completely an emotional characteristic which affects the e ntire psychological processes and it particularly has impacts on the curriculum development. So when students are limited to move with the people around then how the relationship is affecting the entire GPA? My hypothesis is that how close relationship status or without close emotional relationship status affect the GPA in and out. Thus, in this study we are interested in analyzing the influence of GPA (junior GPA, California State University Northridge GPA (CSUNGPA) and overall GPA over (1_ Close relationship status and (2) without close emotional relationship status. The earlier studies mainly focused on finding how whether the student will perform better, if he/she has relationship with academically oriented friends, more than the delinquent oriented friends. According to the survey done by the National Center for Educational Statistics, it is suggested that â€Å"students who had more "learning-oriented" friends tended to perform better in school than other students over the co urse of their schooling, and students who spent time with those interested in delinquent activities were less likely to experience success in school.† (â€Å"Students’ Peer Groups in High School† 1997). Thus, it is clear that finding the influence of these relationships on the GPA is very much an important aspect because they are dependent upon each other, as relationship are omnipresent things, which will and will continue to have impacts on every aspect of human or students’ life. In addition, the correlation between relationships and GPA at colleges plays an important role in guiding them to choose a better future careers as well as other future course of actions. Our prediction is that close relationship status may influence the GPA scoring to a considerable extent. In my opinion, GPA is more when the close relationship is stronger. For this, we first of all see the distribution of close relationship status. From the PSY 320L Survey there are several v ariables involved in finding out the influence of the GPA viz. Junior GPA, California State University Northridge GPA (CSUNGPA) and overall GPA. We are interested in analyzing the influence of these GPAs over any of the two relationships (1) the closerelationship status as well as (2) withoutclose emotional relationship status. Method Participants Participants were all students at CSUN. The age ranged from eighteen to fifty-four

Monday, September 23, 2019

Effect of Acute Stress and Chronis Stress on the Extent to Which Research Paper

Effect of Acute Stress and Chronis Stress on the Extent to Which College Freshment Exhibit Depressive Symptoms - Research Paper Example To this end, data will be collected from freshmen studying different courses in different universities in the state using the BDI-II, PSS and the Stress Scale for the Youth, and the data collected was analyzed using factorial ANOVA and Chi-Square. Title The effect of Acute Stress and Chronic Stress on the extent to which College Freshmen exhibit Depressive Symptoms Introduction Depression is a disorder that impacts affective, behavioral and cognitive aspects of an individual’s functioning, and affects anywhere between 8 – 12 % of individuals in the population (Kessler, Berglund, Demler, Jin, Merikangas, & Walters, 2005). Women are more susceptible to depression as compared to men, and nearly twice the number of women are diagnosed with depression as compared to men (Kessler et al, 2005). Individuals in their early adulthood are somewhat more likely to show signs of depression, and there seems to be a strong relationship between stressful events and the onset of depressi on (Kessler et al, 2005). ... Depression is associated with lowered achievement as well as an increased risk for suicidal ideation and attempts (Robbins, 2008). It is thus important to identify and provide support to at risk individuals. Towards this end, this study attempts to explore whether existing life stress and moving away from home to attend college can increase the risk faced by college freshmen for depressive symptoms. Review of Literature Depression is a mood disorder that finds its causes in a number of factors that include biological, sociological, genetic and psychological influences. There have been many theories that have attempted to explain the nature and incidence of depressive symptoms (Monroe, Slavich & Georgiades, 2008) ranging from theories that postulate the role of chemical changes in brain functioning (Tanti & Belzung, 2010) to evolutionary theories that attempt to explain the value of depression in survival (Sloman, Gilbert and Hasey, 2003). Tanti and Belzung (2010) have attempted to ex plain depression using a connectivist approach that uses information about different possible causes for a depressive episode as input nodes to an explanation of the individual’s symptoms and intensity of the condition. According to them, each possible cause affects the individual in a different way; and thus may produce different experiences and emotions. Using this information, it becomes possible to understand the particular manifestation of the illness in an individual on the basis of the reasons that brought about the episode. The theory also uses this model to suggest the utility of different treatment options, so that it may become possible to choose the most appropriate

Sunday, September 22, 2019

Silver Trade Essay Example for Free

Silver Trade Essay In the early modern period, silver became the currency of the world. Never before had any good been so zealously sought after or acquired. Not even the grand spice trade routes over Asia could compare with the enormous scale and complexity the discovery of deposits of silver in Spanish America and Japan brought to global commerce. The silver trade initially brought extravagant, even opulent, wealth to Europe, China, Japan, and the traders in these nations, but in the end resulted in one of the most extreme cases of global inflation ever recorded, ruining the economies of Spain, Portugal, and China. Socially, the silver trade (and Spanish colonization) ended the native way of life in South and Central America; the inflation brought on by it broke the backs of Chinese peasants and allowed for even more European conquest all over the world. When the Spanish founded Potosà ­ in 1545, they discovered a mountain that seemed to be made of impure silver. Since precious metals were what the conquistadors had come looking for, Potosà ­ was (pun intended) a gold mine of wealth. He Qiaoyuan, a Ming court official, mentioned, in one of his reports to the emperor that, â€Å"the Spanish have silver mountains, which they mint into silver coins.† Though it may have seemed to the emperor that Qiaoyuan was exaggerating, in reality, he was entirely correct. Antonio Và ¡zquez de Espinosa, in his Compendium and Description of the West Indies, writes that between the years 1545 and 1628, â€Å"326,000,000 silver coins have been taken out,† not including â€Å"the great amount of silver taken secretly from these mines to Spain†¦ and to other countries outside Spain,† taken out without paying the mandatory 20 percent tax/registry fee. Và ¡zquez also notes that during his visit more than 3,000 Native Americans worked in the mines at one time in horrendous conditions. To better understand the conditions at Potosà ­, it would be very helpful for one to have a detailed description of both the living and working conditions at Potosà ­. Xu Dunqiu Ming in his The Changing Times discusses methods of payment in his contemporary city of Hangzhou, saying: â€Å"In the past†¦ customers could pay for dying the cloth with rice, wheat, soybeans, chickens, or other fowl. Now, when you have your cloth dyed you receive a bill, which must be paid with silver obtained from a moneylender.† The Spanish discovery of silver in America and subsequent purchasing of luxury Chinese goods.

Saturday, September 21, 2019

Trade-centred Approaches to Poverty Reduction

Trade-centred Approaches to Poverty Reduction Question: In the context of the current race to meet the MDG goal of eradicating extreme poverty by 2015, what advantages and disadvantages does the global community face in advancing trade-centred approaches to poverty reduction, as opposed to an agenda focused on aid. In the 2009 Millennium Development Goals Report released earlier this year, the Secretary-General noted that important progress has been made in the attempt to eradicate poverty, but yet there are still many successes on which to build. Furthermore, movement toward that goal was too slowly. (website address) `The worlds least developed countries hold 12 percent of the worlds population but account for less than one percent of global trade so expanding trade with and among developing countries is a critical driver of economic growth and poverty reduction because it encourages entrepreneurship, human resource development, technology transfer (including access to the internet) makes global partnerships easier, technological innovation and good governance all these which are necessary. A new global and regional trade environment presents the Caribbean countries with critical challenges, but also many opportunities to reposition itself as a growing and competitive region, translating into significant economic and social gains, Trade must always be reciprocal However, global integration is being conducted in a context of macroeconomic and financial imbalances. The region experienced large current account and fiscal deficits, as well as high levels of indebtedness, which in the past, slowed trade reforms and are currently a major concern in the evolving trade environment. These macroeconomic and financial imbalances are exacerbated by the current economic crisis. A trade-centred approach to eradicating poverty thus takes into consideration using import and export strategies that include making sure those goods and services are in alignment with worldwide. Trade-centred takes into consideration the skills and the services of the entrepreneur, wholesaler, distributor and manufacturer. The Websters dictionary defines as entrepreneur as : One who undertakes to start and run an enterprise or business, usually assuming full control and risk So that one has to recognize that there is an opportunity to find solutions for needs, wants, problems and challenges). Entrepreneurs must be empowered to believe that they can make the difference in advancement of their economy and that they are a part of the development process to form sustainable partnerships for the future. If trade links cannot be developed internationally then certainly attempts have to be made intra-regionally. It is hoped that the greatest resource, the people, would become more independent in owning a business would make the individual more independent and the profits would not have to go back towards paying back not the loams but the exorbitant interest on the loans. Individuals feel empowered when they have sustainable employment. But this employment should not be done in a haphazard manner but should be done with such amenities as a business plan. Financial Management, Human Resource Management and Risk Management would have a lot to play even as market research is done. Regional Institutions can be strengthened as a mechanism of trade by the coordination of regional objectives and activities with national bodies. National institutions are often those who are in charge of the trade we must try to reduce the trade costs. The Business and regulatory environment, the national Insurance and the Business levy situation must be willing to look at the changes in customer needs so that the reevaluation of the product life cycle must be regarded. The environment must continuously be one that there is going to be some investment. While many Caribbean countries (most notably Trinidad and Tobago, Dominican Republic, and Jamaica) have undertaken policy measures to improve their trade policy, important weaknesses remain in five major areas is the proper establishment of customs procedures and administration. Additionally, the legal framework for businesses including taxation and monitoring must be properly in place because there is going to be active competition with other members of the society. Groups must be authorized by the government and regular training and workshops must be done to be able to reach to government standard (The Trinidad and Tobago Bureau of Standards) that again must be regulated so that there would not be any shady or illegal activity going on. The training of youth is a factor which is critical if Micro Enterprise development is to be an issue. Micro Enterprises include very small businesses that employ about 1 to five persons. The establishment of Micro Enterprises is one strategy that is use by the MDGs in the eradication of poverty. The sizes of micro enterprise businesses may be small but altogether they make up the fastest growing of the private sector that should be a vital contributor of the social and economic creating new jobs every day climate thus creating a large part of the GDP. They are engines of the creative capacity of our economy by creating internal trade which would ultimately lead to regional and global trade. A person becomes more creative in order to be a step ahead of the competition and this uniqueness sets the entrepreneur apart while he seeks to align his products to quality standards. Competition, though, must be comprehensive and everyone must be willing to participate in competition policy. We would seek to capitalize on each individuals strength and not their weakness although we know that the business environment is very competitive The government takes the opportunity, as the strength of the economy increases, to want to encourage investments from international bodies so that technology from other countries could be included and that persons may even want to get in. A country must decide which are there niche markets and using money management strategies could apply them to certain goods. Focus must be done on niche markets and knowing what other countries may have to offer when we do an analysis and know the competition. Create a workforce that is able to sustain that type of environment after thorough research has been done but we must be willing to work hard and not look for handouts. However, failures that may be as a result of overinvestment, poor credit arrangements and poor inventory management must be avoided at all costs. A vision and a mission must be established. The disadvantage of going into business would include taking along of risks, meaning that it is sometimes a lonely scene where invariably one has to work long hours. However, a company has to be careful as global competition that could be dangerous for the company. Next, one has to be wary of barriers to trade that could influence the profitability of entering a trade relationship with partners in a particular area. There are lots of risks that are involved in engaging in such an act that includes the loss of initial start-up capital. Funding Options: The whole idea of an aid focused agenda according to the Aid Guide comes with the idea of richer countries trying to do their moral duties)but instead they are really seeking their own strategic interest which can include the desire to have some say in a countrys political affairs. Thus in order for the Millenium Development Goals to be accomplished, they must be accompanied by the monitoring of donors intentions. A lot of people clamour for aid for aid for impoverished nations but it only seems that aid has allowed the poor to get poorer where there is a situation of corruption and theft of government funds that creates a spiraling effect of inflation and a lack of investment into the country and thus a slower growth of the economy. Moyos idea of aid could entrap a country as the famous Bob Marley song quoted that we need to emancipate ourselves from mental slavery Aid may come in many different forms inclusive of money that is usually a loan, or receiving country must spend the gift on buying the donor countys products. Loans, though, come with many restrictions that are attached to getting the loan though you can raise capital even within a particular country without having to seek additional funding from outside sources. Next, more than half of foreign aid is usually military, is often utilized to fight the donors enemies and terrorists or is given because there is that desire to buy that countrys vote in UN, likewise other future actions. Still, countries tend rather to go this way for many different reasons including the reason that it is an easy source of financing that is readily available to the public. Additionally, though most African nations claim that aid is needed for countries to get a head start in achieving so many other factors inclusive of the development of aid, there must be proper allocation of resources and monitoring should also occurs to make sure that funds are used the way that they have been designated to be used. Then we could use what is known as the traditional method of the Sou Sou. This started as a part of the African tradition could even continue in our traditional society today as this starts with persons. Aid should not only come in the form of money but it should also be in the form of making technology available and transferring technology to various groups so that the eventually the knowledge and the skills and the training could be transferred Aid, whether or not it is given for any developmental purpose costs the taxpayer and raises national debt. Furthermore, it reduces the receiving countrys ability to produce the items they get from us (that means if we send them food, then their farmers wont be able to sell their crops for higher prices) Financing for debt and equity capital is that which is seen as an investment that does not incur any interest and this could be money. Contributors must be able to get something out of the financing that they are putting out according to Management Consultant Sajjad Hamid Even using the Micro Enterprise Development Model, aid for individual business can take the form of venture capital may be another option that is available where management could have a say in how the company is run but this idea may not have a measure of enthusiasm for most who may be the recipient of such offerings. Microfinance Institutions that are not usually regulated by the government and that are viable options for businesses for small loans, savings, insurance and other financial products for low-income families. This is where credit unions come into play. The evidence linking public investment to private capital formation and growth have grown significantly in the past few years Young people, have to be motivated to engage in agricultural production in every country. There are approximately 6.1 billion people worldwide. The Agricultural Development Bank (ADB) covers the agriculture sector with low interest loans and financing for farm projects with little or no initial positive cash flow. Why dont we encourage our populations to start planting rice and wheat since for our populations as required in the daily diet so that the global community could be fed and that each country would not have imbalances in trade? Products however do not need to be a product that is manufactured itself although once this is done there could be more profits but this could also be a product that needs to be distributed. Each country must be clear on what the funds are to be used for if they are to assess aid and there must be a personal evaluation of ones financial position. There must be that ability to negotiate the terms of a contract instead of just accepting that contract. If the whole idea and the entire concept of finding what must be traded needs to be discovered then the whole environment must be scanned for the product to that is to be sold to be discovered. Small changes could make big differences. Some disadvantages of using foreign aid are that it forces an individual to remain in a dependent state meaning that instead of an individual seeking creating alternative they search out excuses to obtain more money. The acceptance of foreign aid can have the effect of opening a can of worms as it allows the international lending agency such as the International Monetary Fund (IMF) to interfere in the political matters of a country. Furthermore, if for some strange reason, the loan cannot be repaid that the country may have to give up some of its resources as collateral for the loan. Many persons think that it is the humanitarian thing to do to offer aid but can this be more of a hindrance than anything else. Thus in evaluating whether or not a trade-centred approach is better it can be said that a country will always be better off if this is if they can develop their trading capabilities instead of using more developed countries as their lifeboat. I am not saying that they should not advocate for help if this is going to happen then the legal framework must be strengthened ultimately for sustainable trade to continuebut at the same time this should not be a situation that lasts for an extended period of time.if aid for trade was urgent in 2007 but it is essential today. It is the investment that will allow many developing countries to prepare to exit the crisis by enhancing their trade capacity. He spoke on Jul 6 at the opening of the second Aid for Trade Review under the heading of Maintaining Momentum. REFERENCES Dambisa Moyo. DEAD AID: WHY AID IS NOT WORKING AND HOW THERE IS ANOTHER WAY FOR AFRICA. London: Allen Lane, 2009. 188 pp.  £14.99 WORLD: TRADE ALONE NOT A CURE FOR POVERTY, CLAIMS REPORT Isolda Agazzi. Global Information Network. New York: Jul 9, 2009. TRADE CAPACITY BUILDING- EXPANDING TRADE WITH, AMONG DEVELOPING COUNTRIES IS CRITICAL DRIVER OF ECONOMIC GROWTH AND POVERTY REDUCTION US Fed News Service, Including US State News. Washington, D.C.: Jul 8, 2009 CARIBBEAN/NEW WORLD BANK STUDY: TRADE INTEGRATION, KEY FOR GROWTH AND POVERTY REDUCTION US Fed News Service, Including US State News. Washington, D.C.: Apr 6, 2009. Financing SMEs: Look Ye Shall Find Business Day Newsday Thursday September 24, 2009 Pg 16, Sajjad Hamid Roads out of Poverty? Assessing the Links between Aid, Public Investment, Growth, and Poverty Reduction Pierre-Richard Agà ©nor,* Nihal Bayraktar,** and Karim El AynaouiThis version: December 23, 2004 http://online.wsj.com/article/SB123758895999200083.html By: Moyo, Dambira. Wall Street Journal Eastern Edition, 3/21/2009, Vol. 253 Issue 66, pW1-W2, 2p, 2 color, 3 bw; (AN 37020959) Database: Academic Search Complete OneWorld.net Aid Guide http://uk.oneworld.net/guides/aid?gclid=CO2B8aSkmp0CFRpdswodORx12A

Friday, September 20, 2019

My Philosophy of Education Essay -- Teaching Educating Education Essay

Philosophy of Education For many individuals, choosing a career is one of the hardest decisions to be faced with. The majority of students in college spend their first year stressing about what they are going to do with the rest of their life. I, fortunately, have known since I was in middle school that I wanted to be an elementary school teacher. As a future teacher I feel that essentialism and progressivism are going to be my unique philosophies of education. It is very important to know the nature of your students. I strongly believe that all children can be taught, but not all at the same level. All children have different levels of learning. Some students may be faster learners than others. It is very important, especially as an elementary teacher, to understand that subjects have to be taught at different levels according to the ability of each individual student. I realize that I am going to have to teach material at several different levels and spend more time on certain subjects with certain individuals. The overall purpose of education is to better society. Without education society would be deprived of all new technology that many people today cannot live without. There would be a decrease in career choices. Education is very important in life. Without educators there would not be any jobs in the world today. As a future educator I plan to give back to society what I have received from my experience in school. I hope that I influence my students as much as some of my teachers have influenced me. I want my students to be able to trust me and to tell me whatever the want. I feel that it is important to treat all children equally. I want to increase self-esteem in all of my students and not decrease it. It ... ...pher John Dewy, who saw education as an opportunity to learn how to apply previous experiences in new ways. I plan to use this philosophy by letting my students work together in small groups and do experiments. I am planning on finishing my education with a Master’s degree. I want to get a job close to home. I am a big family oriented person. I want to start a family of my own a few years into my teaching career. This is another one of the many advantages of being a teacher because I will have a lot of time to spend with my own children. I also want to coach a basketball team in the future. I want to be able to influence and shape the lives of young innocent children. The idea that I can shape a child’s life means more to me than any amount of money. I want to help children in any way I can. Education is what makes the world work and I want to be a part of that.

Thursday, September 19, 2019

The Impact of Absent Fathers in Black Female Upbringing Essay -- Famil

A father’s role in a child’s life is extremely important when it comes to a child’s development. With so much emphasis placed on young black boys needing their fathers during crucial developmental ages, the rate of our young black girls growing up without fathers is staggering and overlooked. What is an absent father? The definition is quite simple; an absent father can be defined as a father who is not present in the life of their child whether it is physically, emotionally, or both. Although the absence of a father is detrimental in any child’s life, the absence of such in a young black girl’s life is even more crucial. The absent father in a black girl’s life leads to, in some cases, promiscuity and teenage pregnancy, poverty, and emotional affects such as feelings of unworthiness and unable to be loved, fear of abandonment, and issues with rejection and commitment. The ways in which they view the opposite sex, the outside world and their self are forever tainted as a result of missing the key element of a father. I do not have any memories of my own father as a child. I met him when I was about fourteen years old. My mother and grandmother, with the help of my uncles and aunt, raised me. Although I had strong positive male role models in my life, there was always the void of my father that I dealt with on a daily basis. I can remember at a young age, before blowing out the candles on my birthday cake, I would wish that my father would show up to my party. I had elaborate daydreams of him coming back into my life and doing things with me like I saw on television. It never happened. While walking to the train station one evening my uncle casually said to me â€Å"there’s your father† as if I saw him on an everyday basis. I didn’t... .../p/articles/mi_m1272/is_n2572_v121/ai_13358877/ Ellis, B.J., et al. 2003. Does father absence place daughters at special risk for early sexual activity and teenage pregnancy? Child Development 74(May/June):801-821. Hogan, D., P., and Kitagawa, E. M. (1985). The impact of social status, family structure, and neighborhood on the fertility of black adolescents. Am. J. Sociol. 90: 825-855. Kost K, Henshaw S and Carlin L, U.S. Teenage Pregnancies, Births and Abortions: National and State Trends and Trends by Race and Ethnicity, 2010. Stanton, U.S. Department of Health and Human Services. National Center for Health Statistics."National Health Interview Survey." Hyattsville, MD, 1988. Toppo, Greg, â€Å"Obama urges absent fathers to re-engage in children's lives†. USA Today. 19 Feb, 2011. http://www.usatoday.com/news/education/2010-06-22-obamafathersday22_ST_N.htm

Wednesday, September 18, 2019

Investigating the effect of Temperature on the reaction between Sodium Thiosuphate and hydrochloric acid :: GCSE Chemistry Coursework Investigation

Investigating the effect of Temperature on the reaction between Sodium Thiosuphate and hydrochloric acid  · Planning I am investigating the different temperatures on the reaction between Sodium Thiosuphate and Hydrochloric acid. The factors I could investigate would be temperature, concentration and substances. I have chosen to investigate Temperature. I predict that the higher the temperature the more rapidly the cross would obscure. This is because the higher the temperature the more often the particles collide and react, when the particles collide more often they would collide harder because they have more energy, making the collisions bigger and faster, the collision success rate is higher. I will make my investigation a fair test by keeping the quantities of the Hydrochloric acid at room temperature and Sodium Thiosuphate heated as accurate as possible. Also make sure the stop clock is started at the same point each time a measurement is taken. I will carry out the investigation by: 1. Set up the Diagram 2. Put the test tubes of Sodium Thiosuphate into the beaker above the Bunsen burner 3. Put a thermometer into it 4. Remove the test tube once its reached the desired temperature and pour contence into the empty beaker 5. As you begin to pour the test tube of Hydrochloric Acid contence into the beaker start the stop clock 6. When the cross on the paper becomes obscured stop the clock and record the result 7. Rinse out the beaker where the reaction took place 8. Repeat with five different temperatures, using ice to cool down the Sodium Thiosuphate, and repeat it all twice. The equipment I will use is:  · Hydrochloric acid  · Sodium Thiosuphate  · 2 x Measuring cylinders  · 2 x Test tubes  · stop clock  · 2 glass beakers  · 2 thermometers  · Bunsen burner  · water  · tripod  · heat mat  · gauge  · paper with pencil cross I will make sure my results are accurate by referring to graphs, e.g.: if one point is greatly out of alignment, it should be repeated. Also I will make sure that the meniscus of the hydrochloric acid and Thiosuphate is flat and not to one side of the test tube or measuring cylinder. I will take five measurements with a 10 gap interval and I will repeat this twice and take an average to make my results more accurate. Back ground Research - Trial Experiment I conducted a trial experiment to find out the correct quantities of sodium thiosulphate and hydrochloric acid for the main experiment. We were aiming for the cross to disappear in around one minute. We found the more hydrochloric acid the slower the X disappeared.

Tuesday, September 17, 2019

Music of Mexico and Central America Essay

Musical expressions in Central America and Mexico are very diverse. Types of music in this geographic region have similarities with other types of Latin American music but have their distinctive differences. For instance, the marimba of Guatemala cannot be compared to a charcarera melody from Argentine. Also, it is quite easy to mariachi for merengue and vice versa if one doesn’t know the subtle differences between the two genres. The wide variety of instruments, the varied aspects of texts, poetic structures, languages, and dance rhythms in the music of Central America and Mexico prove the richness of these regions’ culture (Campbell et al.  9). Music tends to reflect the cultural values, behaviors, and surroundings of a given geographic region and its people. For this reason, musical traditions in Central America and Mexico have grown very diverse through centuries. Descendants of Native Americans, Africans, and Europeans who settled in Central America, Mexico, and the entire Latin America retained many features of their musical roots and creative various blends of Latin American music. Latin American songs touch on various themes. Mexico, and countries in Central America such as Belize, Costa Rica, El Salvador, Guatemala, and Nicaragua have many love songs that are passionately sung by people, often with lyrics expressing loneliness, longing, and unconditional love. Aside from love songs, music in the Latin American region also have themes of current events and history, such as the nueva cancion of Chile and corridor of Mexico. Some songs also try to establish a connection between the singer and the supernatural, such as the songs that Chilean female shaman singers sing or the dances and chants that believers of Afro-Brazilian bahia perform. These types of songs are quite different from other musical traditions in the rest of the world but they are quite typical in Latin America. In addition, Mexico and Central American countries also have a huge collection of children’s songs, tribute songs, and songs of the seasons. Instruments used in the music of Central America and Mexico usually involve the guitar. The instrument is quite prominent in most Latin American cultures, especially those influenced by Hispanic traditions. Artists from Mexico and other Latin American countries like Brazil, and Venezuela usually make use of the maracas, clave, and guiro to produce the effect they want. Drums are also very important in the music of the region and various types of drums are used for different genres. Melodies are usually composed of notes in the minor key and rhythms which are crosses of threes and twos. Native Americans are known to produce pentatonic melodies while people of African descent frequently employ syncopation in their musical styles. Perhaps the best known feature of Mexican and Central American music is its ability to make people dance. It’s easy to dance to Latin American music, whether alone or in synch with partners (Campbell et al. 9). Over the years, radio, film, and television have popularized Mexican music to higher levels. Listeners worldwide are able to recognize Mexican music although they sometimes confuse it with other types of music from the Latin American region. The icon of Mexican music is the mariachi – a Mexican musician wearing a charo costume (Hutchinson 1192). Mariachis are known all over the world to transmit the meaning of being a Mexican. This musical group can sing anything, from ballads to songs about the revolution, from songs describing bar scenes to odes to regions and towns. Mariachis are also popular for their uniforms called charros. A charro consists of a bolero-type jacket, tight pants with a belt of intricately woven design, and a wide-brimmed hat filled with ribbons, chains, and silver buttons. This unique Mariachi costume is very similar to the simpler costumes that cowboys wear. Aside from the costume, Mariachis and cowboys also have origins in the same place, which is in Jalisco and other neighboring states (Kermecker 49). A mariachi band usually consists of three or four guitarists. Bands would usually play together for townspeople at gazebos or â€Å"quioscos† in the Main Square or â€Å"zocalo. † Today in Mexico, up to eighteen mariachi musicians can organize in a main square and play any song that the townspeople want to hear. Aside from the guitar, mariachis use instruments such as vihuelas (smaller guitars with five strings), guitarrones (six-string vihuelas with big bellies), violins, harps, and trumpets for the energetic accents of Mexican songs. The term â€Å"mariachi† could have originated from the French word â€Å"mariage,† which would make sense since mariachis usually play at weddings. However, experts today insist that mariachis have existed long before the French came to Mexico. The name might have originated from the Mexican word â€Å"mariachi† which refers to a small platform for musicians and dancing couples. Mariachis can be found all over Mexico, but especially in places such as Garribaldi in Mexico City and in Guadalajara, in the Plaza de Los Mariachis located at the intersection of Independencia Sur and Mina. Visitors at these places can pay mariachis to play them any Mexican song they want (Kernecker 49). Mariachis can employ other Latin American musical instruments to play their songs. They can use the the marimba, a hugely popular musical instrument in Central and South America. Marimbas are xylophones that consist of several wooden plates of different sizes and thickness. Modern versions of the instrument have hardwood bars of uniform thickness and tubular metal resonators that encompass six to seven octaves. Two to five players would play these xylophones with warm, mellow tones (Apel 505). Central America is a geographic region that is located in the southernmost part of the North American continent connecting South America to the southeast. A large part of Central America rests above the Caribbean Plate, making the region geologically active and the site of relatively frequent earthquakes and volcanic eruptions. Cities in Central American countries have been destroyed by earthquakes before, such as Managua, capital of Nicaragua and El Salvador. However, the volcanic lava from eruptions has made the region agriculturally fertile, enabling it to sustain huge populations of people. While modern Latin American music is recognizable throughout Central America, indigenous music in the region have received the least exposure among other types of music in the Western Hemisphere. For instance, Garifuna music from the Garifuna people of Belize, Nicaragua, Honduras, and Guatemala has quite a limited audience. Instruments used in this type of music include tree â€Å"garaon† or drums: the primera which improvises the segunda which produces counter rhythms, and the tercera which takes care of bass lines. Two wires are stretched over the tops of the drums to generate the buzzing sound that is typical of West African music. Other instruments used in Garifuna music are guitars, claves, shakers, scrapers, and bottle percussions (Nidel 291). In terms of modern music, one popular genre is Punta rock which is a dance music similar to Trinidadian Soca. The standard ensemble to play Punta rock includes instruments such as synthesizers, brass, electric bass, and keyboards. The song â€Å"La Punta† of the Punta rock genre became popular in Honduras during the 1980s (Nidel 291). People in Central America absolutely love listening to the marimba. In Guatemala, the xylophone used is considered the national instrument. Marimbas of all sizes and styles are made in the country. Some models are designed to be played by a single player while others are so big that seven people are needed to play them. Musical genres like the meringue and other dance compositions usually rely on the xylophone to produce the bass rhythms (Apel 505). During the later parts of the 20th century, marimba in Mexico became popular in the southernmost state of Chiapas. The instrument is also played in neighboring states of Tabasco, Oaxaca, Veracruz, and in the nation’s capital. Mariachis and other musical groups playing marimba are scattered all throughout the country but they are especially concentrated in Mexico City and Chiapas. In terms of performance, multiple players playing marimbas are more common in Mexico than single players. In Mexico today, marimba music is mostly a regional phenomenon. It is associated with the southern part of the country and is often placed in the same category as popular music genres like jarocho from Veracruz, mariachi from Jalisco, and norteno from northern Mexico (Beck 9). In the state of Veracruz, street musicians called â€Å"ambulantes† typically play marimba for people. These musicians would perform and compete with each other for twenty-four hours a day in the streets and in buildings. The type of marimba in this seaport city is known for its sharp-edged and heavily syncopated style. The unique characteristics of marimba in Veracruz indicate its Afro-Cuban influences (Beck 224). Mexican music is primarily of Hispanic flavor because of the imposition of European musical culture on the natives by Spanish conquistadors. In Mexico today, nobody knows what real pre-Columbian music sounds like. Even the type of music that natives play in Indian communities is noticeably influenced by the Spanish. African slaves though tempered this music by adding their own style to it. Mexicans are proud of these traditional musical genres, although many of them now listen to Western rock and pop (Hutchinson 1192). There are many popular genres of Mexican music that are meant for singing instead of dancing. One is the corrido, a narrative form of music that’s derived from old Spanish ballads. The genre spread throughout the country as armies of the revolution roamed across the land. Corrido has since become a popular mode of expression for regular citizens and artists. Another genre is called cancion which means â€Å"song,† literally. Cancion highlights the romantic and sentimental aspects of Mexicans, and is therefore naturally languid and slow. An example of cancion is â€Å"Las Mananitas,† which is usually sung to serenade people on their birthdays. Finally, there’s the ranchera genre which is a mix of Mexican country and Western styles. The genre was originally associated with the cattle men from the Bajio region. Ranchera featured prominently in many Mexican films from the 1930s to the 1940s and consequently became known all over Latin America as the typical music of Mexico (Hutchinson 1192). The Mexican Film and recording industry are powerful forces throughout the entire Latin American region. They helped several Mexican artists to become household names, drawing fans and profit to the industry. Some of the most popular Mexican artists include Pendro Infante, Pedro Vargas, Miguel Aceves Mejia, Jorge Negrete, and the Trio Los Panchos. Songwriters and composers can also gain popularity in Mexico, such as Agustin Lara who is a prolific composer of romantic â€Å"boleros,† which are Latin dance types of music However, despite the popularity of these artists, mariachis are still the most popular musical groups in the country (Hutchinson 1192). Musica tejana, Texas-Mexican music or simply Tex-Mex has attained a huge following all over Mexico, Central America, and the whole Latin American region today. The genre contains influences from various musical styles, such as bolero, ranchera, and cumbia. It is very flexible and can even draw beats from other genres such as reggae, country, rap, pop, and disco. Musica tejana is also known as â€Å"tejano† music in Mexico, Texas, and other parts of the United States (San Miguel 3). The term â€Å"tejano† may also refer to people of Mexican descent who live in Texas. Musica tejana has been created by Tejanos to reflect the sensibilities of their fellow Tejanos and Mexicans. Tejanos started demanding that traditional Mexican music meet their sensibilities as early as 1920s. Early in the twentieth century, much of musica tejana was formed by accordion sounds. After World War II, Tejano musicians tried to adapt elements of Mexican music to their musical style. Artists incorporated female duet and vocal singing into musica tejana, which was previously instrumental in nature. They also continued to use the bajo sexton and accordion to produce their music. Saxophones, and trumpets later known as â€Å"los pitos† or horn section, were also employed to create musica tejana. During the second half of the century, Tejanos continued to adapt Mexican music by using instruments such as guitars, keyboards, organs, and brass instruments (San Miguel 7). Tejanos have lived alongside Anglos for a long time and conflicts between the two races are discernible in the musica tejana that evolved from this relationship. Corridos expressed the historical conflict between Mexicans and Anglos in South Texas during the late nineteenth and early twentieth centuries. According to experts, old corridos were basically narrative ballads that told the adventures of a hero and were sung to simple tunes. In many ways, singing corridos was a symbolic means to fight the dominant Anglo culture. An example of this type of corridor is â€Å"The Corrido of Gregorio Cortez,† a narrative ballad that tells the story of a hero who single-handedly fought the law of the Anglos and won (San Miguel 8). Traditional Mexican songs like canciones reflected the changes that occurred and the attributes that were retained by Tejanos in the state. Canciones are composed of various types of songs, including: corridos, canciones romanticas, canciones rancheras, and canciones tipcas. The corridor and cancion tipica dominated vocal music by Tejasnos throughout most of the nineteenth century. During the late nineteenth century, the cancion romantica started to emerge and compete with other types of cancion. In the twentieth century however, the cancion ranchera attained a huge following, which made it the dominant type of song among Mexicans in Texas and for those who lived near the border (San Miguel 8). Aside from musica tejana, there are many other musical genres that has gained wide popularity in Central America. One is cumbia, a Colombian style of folk dance music that’s considered to represent Colombian culture, like Vallenato. Cumbia is especially popular in Panama, another country in Central America. The region is mostly inhabited by mestizos who are people of European, African, and indigenous descent. The culture of the Azuero region located in the west of the country has come to dominate Panama. The country’s preference for music such as cumbia is very similar to the musical preferences of its neighboring country, Colombia. The most significant native instrument in Panama is the mejorama, a guitar with five strings, which looks quite similar with the Venezuelan cuatro. The mejorama are often used by musicians in the country to play songs termed â€Å"torrentes. † The most recognized Panamanian musician in the world is Ruben Blades who became a star in the Fania stable of New York musicians. Blades started his career with doo-woop but branched off to different musical styles later (Nidel 291). While it is true that music is the universal language, the music of Mexico and Central America is still very unique in their own social and historical contexts. The mariachi of Mexico reflects the energetic Mexican people and their passionate tendencies. Dances with fast beats illustrate the festivity of Mexican culture while slow and languid songs show the longing of Mexicans for intangible things such as love, honor, and the past. Whether it’s marimba, corridor, cancion or ranchera, Mexican music stands out as among the best and most colorful types of music in the world. Central America also has a rich collection of Latin American music, such as musica tejana, bolero, and cumbia. Each country in this region has a different past that is reflected in their preferred musical styles. As each style crosses and mixes with each other, the music of Central America is bound to get richer in the future. Through modern forms of communication and broadcast such as the Internet, Latin American music in Central America may gather more followers in regions far away from it. The various kinds of Mexican and Central American music all have their own flavors and they must be preserved for generations to come. They contain the spirit of the Latin American culture and must therefore be listened to by new generations of Latinos and other artists and ordinary people outside of the region. Works Cited Apel, Willi. Harvard Dictionary of Music. Cambridge: Harvard University Press, 1969. Beck, John. Encyclopedia of Percussion. London: Taylor & Francis, 1995. Campbell, Patricia Shehan et al. Songs of Latin America: from the Field to the Classroom. Van Nuys: Alfred Publishing, 2001. Hutchinson, Peter. Central America & Mexico 2004. Bath: Footprint Travel Guides, 2003. Kernecker, Herb. When in Mexico, Do as the Mexicans Do: The Clued-in Guide to Mexican Life, Language, and Culture. Columbus: McGraw-Hill Professional, 2005. Nidel, Richard. World Music: the Basics. New York: Routledge, 2005. San Miguel, Guadalupe. Tejano Proud: Tex-Mex Music in the Twentieth Century. College Station: Texas A&M University Press, 2002.

Monday, September 16, 2019

John Proctor †the fair and noble character Essay

The novel The Crucible by Arthur Miller is about witchcraft and the accusations of witches in Salem, Massachusetts. One of the main characters in the story, which happens in the spring of 1692, is John Proctor, a farmer in his middle thirties. He is married to Elizabeth Proctor. It is not directly said, but they have at least two sons and a servant named Marry Warren. Because Proctor seems to be very religious, he really loves his wife and he confesses his affair with Abigail Williams to Elizabeth; furthermore he later refuses to be with Abigail, this makes him a very fair man. First of all, the protagonist John Proctor seems to be religious, in view of the fact that when he is taken to jail he does not defend himself at all; he simply accepts that he did something wrong and he can live with that. This makes him religious, because he does not want to harm the Ten Commandments. He writes a confession that he has seen the devil and that he was the only one. He even signs this paper, but as soon as Deputy Governor Danforth asks Proctor to give the confession to him, Elizabeth’s husband refuses and tears it up. On the one hand he does that, because he thinks that his name cannot be taken away from him; on the other hand he knows that the paper does not tell the truth. He rather wants to be hanged than to live with the thought that he has lied to the church. This is a very strong and self-confident consideration. Another proof that John Proctor is fair can be seen in his former affair with Abigail Williams, the servant to the Perris-household. She was once in love with him, but they broke up because Proctor realized that he really could not afford to be in love with a girl while being married and having children; this makes him being fair to his wife as he does not want to hurt  her. Later when Abigail threatened to tell Elizabeth about their affair he wisely chose to tell the truth to his wife. He refused not to tell her earlier, because he did not want to hurt her. It is discovered in the last act that their relationship is so strong that she forgives him. Telling her about his affair so late is probably not the best solution, but it is certainly better than saying nothing, so that Elizabeth finds our on her own. A further indication that John Proctor is fair would be that he remains strictly faithful to his wife once he realized that having affairs while being in love with someone else is a bad conception. So when Abigail later comes to Proctor to ask him for continuing their relationship the protagonist refuses. He cannot do this to himself or to his wife. Otherwise he would commit adultery once more. Again, this makes him being fair to his wife. In conclusion one can say that the character John Proctor is a quite fair person. After he realizes some things–for example, having an affair is not the best while being married–he tries to do the best for himself and the people around him. This includes no voluntarily contact with Abigail. They only talk when he tells her that he cannot or does not want her anymore. Finally he pays with his life for committing adultery. This action is one of the most expressive acts in the whole play. John Proctor is a good and noble man and because of this he believes that he can’t be hanged and die a martyr when he has this sin blooming over him every waking moment.

Sunday, September 15, 2019

Nigeria My Country

After an initial lag in 1973 and 1974, when large surpluses were saved and invested abroad, consolidated public expenditure accelerated rapidly: by 1976 it absorbed the entire oil windfall (Figure 2). By 1977 combined federation and states capital expenditure increased six fold over their 1970 level. Public capital expenditure accelerated so strongly that it alone accounted for the spending of more than half of the entire oil windfall. However, Nigeria's continued failure to improve its ranking in measures of educational success or infrastructure quality suggest that much of this expenditure was conceived too hastily and ended up largely leading to waste and corruption. Weak institutions and poor governance have contributed substantially to Nigeria’s public debt problems, as the majority of projects financed by public borrowing during the late 1970s and 1980s failed to generate an adequate rate of return needed to improve the repayment capacity of the country. Thus during the 1970s, public expenditure was primarily financed from oil revenues, made possible by the high oil prices in the 1970s, some domestic borrowing, and relatively modest external borrowing. At the time of the second oil shock in 1980, when oil prices jumped to almost $40/bbl, the Since the oil prices collapse in the early 1980s, Nigeria experienced rapid external debt built-up and dwindling foreign exchange reserves: public and publicly guaranteed external debt increased from $4. 3 billion to $11. 2 billion, while foreign exchange reserves were almost exhausted, from $10 billion to $1. 23 billion, all between 1981 and 1983.

Saturday, September 14, 2019

Case Analysis for Nursing Ethics Paper Essay

Overview A forty-eight year old female patient was brought into the emergency department with petechiae/purpura distributed over her skin. Her husband reported that she started to bleed from her nostrils and mouth. She suddenly appeared to have had what seemed to be unexplained bruises on her body and was semi comatose. In a state of panic, her husband brought her to the emergency department. With a heart rate of 180, her blood pressure was 60/24 and she was going into endotoxic shock. She received emergency care that made her stable enough to be transferred to the ICU where she became conscious and able to communicate. The medical team explained the seriousness of her condition and their plans for her treatment but she declined their proposal for further care and complained about inadequate insurance coverage for that hospital. She further professed her faith in God for divine healing. The medical team was then faced with offering this patient treatment regardless of her ability to pay to av oid the imminent danger of her leaving the hospital at that time. Medical Indications This forty eight year old female patient, who had no medical history in this hospital was diagnosed with Disseminated Intravascular Coagulation (DIC). DIC is a rare, life-threatening condition that prevents normal blood clotting in an individual. A treatment refusal or decline may hasten the disease process resulting in excessive clotting (thrombosis) or bleeding (hemorrhage) throughout the body leading to shock, organ failure or even death. Prognosis varies depending on the underlying disorder and the extent of clotting. Regardless of the cause, the prognosis is often poor, with 10-50% of patients dying. The goal of treatment is to stop bleeding and prevent death. According to WebMD (2007), in DIC, the body’s natural ability to regulate clotting does not function properly. This causes the platelets to clump and clog small blood vessels throughout the body. This excessive clotting damages organs, destroys blood cells, and depletes the supply of platelets and other clotting factors so that the blood is no longer able to clot normally. This often causes widespread bleeding, both internally and externally, a condition that can be reversed if treatment is carried out  promptly. Current indication for treatment include interventions such as transfusion of blood cells and other blood products to replace what has been lost through bleeding. Numerous tests to establish the probable cause of this condition have to be done because it is usually a first symptom of a disease such as cancer or it could be triggered by another major health problem. Patient Preferences The patient is informed of the benefits of follow up interventions after emergency care as well as the likelihood of losing functions of major organs and even death without following interventions being implemented. The principle of autonomy comes to play since it is her right to choose where, when and how she gets her health care. Based on the medical report and her personal reasons for deciding to leave the hospital against medical advice, there seems to be no evidence that she is mentally incapable. There is also no justification in disregarding her requests nevertheless, it is doubtful if she actually understands and appreciates the situation. Her preferences were to be signed AMA (against medical advice) so she can find cheaper, alternative care. Her husband, who was present with her, tried to convince her to accept the teams’ proposal but she insisted that she could not afford it. In my opinion, the patient decision was as a result of her ignorance of what choices was av ailable to her. Quality of life The quality of life for this patient is severely compromised because of the symptoms associated with this diagnosis (bleeding, syncope, weakness, shortness of breath, etc). As stated earlier, DIC could be as a result of an underlying disease such as cancer. If so, chemotherapy and radiation could help alleviate symptoms and give her a vibrant life expectancy. Also, there is the possibility that she would experience tremendous medical progress with treatment if her diagnosis has to do with platelet malfunction. However, we cannot tell, since she turned down any advice by the team to carry out blood tests. Without immediate treatment, she runs the risk of damage to major organs of her body, which could eventually lead to death. Time is of essence here because the longer she delays intervention, the more likely she has irrevocable damage that might negatively alter her previous  quality of life. Ethical issues that would arise with this patient is the emergency care she got, it got her stable enough to where she could refuse treatment. An assumption that we could make about receiving that care is, ‘what if she got into a DIC coma and had to be on a ventilator?’. She would have been unconscious and would probably not be able to debate whether she receives care or not. Contextual features Without casting aspersions, the reason, obvious to me, for refusal of care is financial. The patient talked about shopping for cheaper healthcare. This is a patient born to American missionaries in Brazil. As an American citizen, she took up the calling of her parents and was also a missonary in Brazil for most of her life. She married a man from England who is unaware of how the American system works. Her reason is justified because she probably had little to no social security and with her sojourn in Brazil, we can say that she has been accultured. Therefore her outlook and way of thinking would affect her decision about healthcare in America. Another contextual feature is that of religion and faith, the patient said that her faith in God would heal her but failed to see that this might be why she was at the hospital at that time. It is difficult to attribute her decision solely to faith or finance alone but one thing that stands out is the fact her husband tried to convince her otherwise. Still, she kept saying this was what she wanted. Her husband seemed helpless as he tried to communicate with the team however the patient kept saying that this was about her not him. My patient’s lack of insurance, her job as a missionary and her inability to pay acts as a bias that would prejudice the providers’ evaluation of her quality of life. Analysis The goal of medicine involves promoting health, curing disease, optimizing quality of life, preventing untimely death, improving function (maleficence), educating and counseling, avoiding harm (non-maleficence) and assisting in a peaceful death. The ethical dilemma is deciding to let her go based on her wishes (autonomy) versus doing what seems to be the overall right thing (paternalism), which is giving her treatment (beneficence), thus preventing harm (non-maleficence). The maleficent nature of medicine propels the team to convince the patient of what they think would restore her  health. In a bid to ‘do good(maleficence), she got emergency care that made her stable enough to communicate and state her wishes. Apart from maleficence and non-maleficence there are multiple ethical issues embedded in this case; the medical team is faced with honoring this patient’s autonomy and letting her go when they know she could be dead in a few hours without treatment. Nevertheless the patient is exercising her autonomy at her own detriment because she and her husband got adequate disclosure communicated clearly by the healthcare team about the reasons for treatment and the benefits & burdens related to her decision. The team’s scope of disclosure covered her current medical state, the possible interventions to improve prognosis and their recommendation based on clinical judgement. In addition, they are faced with medically determining her decisional capacity because of the possibility that her mental state might be affected by the pathology and her inability to afford care. If proven to be incompetent, then interventions are carried out regardless of what she wants. Hence, the medical team will deliberately override this patient’s autonomy because of their perceived notion of beneficence (paternalism). As medical practitioners, the team weighs the consequence (utilitarianism) of letting her go. To them, the action that would produce the best overall result is to go ahead and give her treatment. The ethical theory of deontology gives the team, the moral duty and obligation to do good and prevent harm. Compassion and sympathy (Ethics of care) also play a big role here, consider a patient who had committed her life to helping others, yet in her time of need could not get reciprocity. These emotions should play a major role in how the team decides to proceed. The nurse involved with this patient has an obligation to get to know this patient so that she can effectively advocate for her. Inasmuch as I know she has the right to refuse treatment, I strongly believe that her refusal is based on the insubstantiality of information and her lack of knowledge of what is accessible to her. Recommendation I recommend that the patient’s autonomy be empowered not overpowered by giving her information on what is available to her. An advocate (her nurse, case manager or social worker) should be assigned to her. In addition, the Chaplain should be invited to offer spiritual counseling. Asking the right questions, getting to understand her fears and giving her hope. Many  hospitals and clinics have patient navigators that can help determine financial aid for patients who cannot afford care or who do not have Medicaid/insurance. The team should encourage the patient that at this point money is of no consequence, her life and health come first in other words everything will be done to get her aid. I also recommend that the team critically asseses the decision-making capacity of the patient since it determines whether a patient’s health care decisions will be sought and accepted. Furthermore the patient should also be educated on and encouraged to put in place advanced directives to promote her autonomy and avoid a situation where there is no one to decide in case she is incapacitated. Justification In my opinion, Individuals respond favorably to people, things, beliefs and circumstances that hold significance, value and passion for them. Pesut’s (2009) article, confirms that incorporating spirituality into care where appropriate, has the potential to maximize health care quality. For this to be effective, the healthcare team has to look at the patient holistically, they have to put into consideration her profession of faith and how getting the chaplain involved will convince her that the medical team does not just want her money rather they value her worth. Subsequently, paternalism as a recommendation seems to be arbitrary and counteracts the autonomy of the patient, yet Whitney and McCullough (2007) in their article Physicians Silent Decisions: Because Patient Autonomy Does not Always Come First, give support to selective paternalism. They argue that Patients’ values and preferences play varying roles in medical decisions (Whitney et al. 2004). Indeed my patient’s refusal to accept care was not because she wanted to die but because her values of faith and her preference to spend within her means trumped getting the immediate intervention. Suffice to say that culture can be considered in this case because it influences values and preferences. My patient’s background was Brazilian, this is a country where there is little trust for the healthcare system. Hospitals and clinics are more interested in how much money they can make. So, Individuals that reside there, do not have routine checkup, they often wait till they are about to die before they go to a physician. And in this time they are constantly visiting places of worship in belief that they would be miraculously healed. As a result, my  patient probably had many symptoms over a period of time but did not go to the hospital, incidentally when she was brought in, it was a matter of life and death. With the team’s knowledge of her diagnosis and its pro gnosis, my patient’s preference became largely irrelevant. Yet, the physicians wanted to respect her autonomy and her sense of dignity by maintaining her part in the decision-making. As medical practitioners we uphold the goals of shared decision-making and of empowering patients to make important choices. However, these objectives provide important insights, not universal answers. In medicine, as elsewhere, individual choice, however highly we value it, must compete with individual welfare and with constraints of time and money hence the decisive factor will depend on the particular situation at hand. (Whitney and McCullough 2007 p. 37). Next, they explained that decision-making, whether silent or spoken by the physician must be understood in terms of the clinical encounter. In fact the overriding of her autonomy was for her own good. My rationale for encouraging advanced directives especially if she is deemed competent at the moment is, in the event that she can no longer make a decision in the future, something and someone will be in place to help. It will help to guide future clinical decisions and promote confidence in the decision of the surrogate she choos es. According to Lynch, Mathes and Sawicki (2008), patients are in the best position to make choices for themselves, or at least a position that is superior to that held by any other party. Therefore, patient directives must be enforced, though not through the mechanism of strict liability. (p. 158). Therefore, a decision written and signed by the patient legally would prevail, in the event that she becomes incapacitated and cannot decide she would already have that in place. Medical practitioners are encouraged to inform all patients’ about the importance of advance directives because it removes the burden of dealing with what the patients would have wanted. In summary, the discussion and justification of proceeding with medical intervention yet disregarding the patient’s decision, proves that autonomy can be respectfully countered. This is congruent in continuing with medicine’s obligation to ‘do no harm’, ‘do good’ and serve in the best i nterest of the patient. Evaluation The desired outcome was that this patient receives the care and intervention  that she needed in time to prevent gross damage to her body thus altering her quality of life. With the input of the chaplain, her husband, the advocate and careful communication with this patient, the patient admits that she wanted the best care. She accepts the offer for financial assistance and receives the appropriate intervention. The nurse and medical personnel express satisfaction in saving her life (maleficent), Her husband is elated and he also signs an advanced directive for himself. It seemed difficult to convince the patient at first but once the suggestion for financial aid and the Chaplain was received, the patient complied with all other recommendations. References Lynch, H. F., Mathes, M., Sawicki, N.N., (2008). Compliance With Advance Directives: Wrongful Living And Tort Law Incentives. The Journal Of Legal Medicine, 29:133–178. Retrieved from http://www.ncbi.nlm.nih.gov.proxy.medlib.iupui.edu/pubmed/18569439 Pesut, B. (2009). Incorporating patients’ spirituality into care using Gadow’s ethical framework. Nurs Ethics. 2009 Jul;16(4):418-28.Retrieved from http://nej.sagepub.com.proxy.medlib.iupui.edu/content/16/4/418.long WebMD, (2007). Retrieved November 26, 2012, from http://www.webmd.com/a-to-z-guides/disseminated-intravascular-coagulation-dic-topic-overview Whitney, S. N., McCullough, B. L. (2007). Physicians’ Silent Decisions: Because Patient Autonomy Does Not Always Come First. The American Journal of Bioethics, 7(7): 33–38, 2007. Retrieved from http://mcr.sagepub.com.proxy.medlib.iupui.edu/content/early/2012/10/31/1077558712461952.long

Friday, September 13, 2019

Information flows and financial management Essay

Information flows and financial management - Essay Example The first scenario is a simple procedure for adding a new project code to the system. One needs to enter the user name to get access into the production screen. To create a new project code, project code form has to be filled by entering all the required information. We can also confirm the submission of the project code and review the route log. There are some new features that are added in the KFS module. For instance Kuali automatically directs the routing of the eDocs for online approval. The built in Kuali Enterprise Workflow (KEW) sends documents to the users set up by the organization. There are also control points established to ensure that the system does not allow duplicate entries and displays appropriate error messages. The system also allows us to send ad hoc requests even after the product code is created which makes it easier for the end users. . The second scenario incorporates transferring funds from one account to another account using eDoc. To create a new transfer of funds eDoc, the description, account number and document overview field needs to be filled out. If invalid information is filled out, the application would indicate an error message. Once all the information is filled in, the eDoc can be submitted for Routing and approval. If the value is known to the user, it can be directly entered in eDoc otherwise the lookup icon is a very useful field which helps us search for the right values. There is another important KFS feature which allows importing of accounting lines from comma separated values (CSV). We can access the templates from accounting fields, fill in the data and add the accounting lines by attaching the template. My assessment of this system is that the KFS design includes a base system of general ledger, transactions, reporting and workflow hence this system can be adapted and customized to any institution as per the

Thursday, September 12, 2019

Food Journal Analysis #1 Essay Example | Topics and Well Written Essays - 500 words

Food Journal Analysis #1 - Essay Example As for the rest of the food, which is only 1 yoo-hoo chocolate and 1 plain milk chocolate- the former is good for the body because it provides calcium, and was also the only dairy product I ate during the day, and the latter belongs to the fats, oils and sweets group, which is permissible to eat occasionally. Seeing as how I only ate one bar, the consumption of it is also alright. B. I did not consume the minimum number of servings for each of the food groups. In fact, that was the case in four of the five groups. I had the perfect amount of fruit, 2 cups per day, and a decent amount of grain, 5.1 oz equivalent, when the recommended amount is 7. However, as far as the vegetable, milk and meat and beans groups, I miserably failed to reach the minimum amount: I had 1.3 cups equivalent of vegetables out of the 3 recommended- a bit less than a half; I had 2.1 oz equivalent out of 6 recommended- about a third; and I had 0.2 cup equivalent of milk out of 3 recommended- one-fifteenth of the recommended portion. The reasons for this are simply because I didnt have enough foods of those groups- I didnt have enough vegetables because I ate a small portion of salad; I needed to consume a little more grain, which I could have done by eating another slice of bread or perhaps a small portion of corn flakes; I didnt nearly have enough dairy products, which I could have solved by drinking another glass or too of yoo-hoo chocolate and maybe eating some cheese with the bread; and I didnt have enough meat and beans, which I could have by eating some chicken or turkey or even more fish, and perhaps some beans too. D. My diet provided a certain variety of foods. I consumed foods from all food groups, but in very different quantities. I needed to consume much more food from the milk food group, the meat and beans group and the vegetable group, as well as having a bit more of the grain group, whereas I had the perfect amount of the fruit group. This could have been solved had I

Wednesday, September 11, 2019

American Patriotism During World War One Essay Example | Topics and Well Written Essays - 1500 words

American Patriotism During World War One - Essay Example The army provided concise stirring and patriotic speeches in the local communities. The information had both positive and negative effect on patriotism. On one hand, it persuaded people to identify with America and think that, their country was doing the right thing. On the other hand, the information demonized those who opposed the war. Among other things showing American patriotism is the Espionage Act of 1917. The act recommended stiff penalties to those who declined to work in the American armed forces during the war, helped the enemy or distributing information against the war. The Sediction Act was also enacted making it illegal to engrave or publish anything that criticized the government, the army or the constitution on the basis of the war. As a result, many people ended up being convicted by the law for violating these acts as they were considered unpatriotic. All these acts were created in an attempt to create and define patriotism due to the World War 1. The United States wanted to prove that it was a world power thus, the need to make the people invest their efforts in the war. The only way the government could do this is by increasing people’s patriotism to the country. ... For instance, some communities barred teaching of German language in government schools; hence, German Americans were irregularly targets of mob violence. Those Americans who opposed the government’s participation in the war or condemned president’s administration strategies faced challenges to their patriotism. They also risked being convicted or imprisoned based on the Sedicition and Espionage Acts. Even at the end of the war, any patriotic Americans became worried due to the threatened homeland security resulting from the radical ideas adopted, hence, the red scare. During World War 1, passionate patriotism was widespread in the United States. It was as a result of the patriotism, that the red scare took place. During this war, Armistice was performed in 1918 and around nine million people were employed in war industries as suggested by Lorini (1999). Other four million worked in the armed forces hence this shows how people were being patriotic. The Americans showed their patriotism in two main ways during the World War 1. First they showed patriotism by sending sixteen million soldiers to fight in the war. In order to achieve this number of fighters the government had to create a sense of patriotism among the citizens. This patriotism was created through circulation of information (propaganda) which was either correct or not. This was aimed at creating the citizens’ interest in their country hence the willing to fight for it. Secondly, there were also many companies which produced wartime materials. The American government established many companies which ensured sufficient supply of fire arms used by the soldiers during the World War 1. Many people including women who wanted to proof patriotic to the country participated in these companies and