Saturday, August 31, 2019

Counseling Specializations and Multidisciplinary Terms Essay

This paper discusses the importance of collaboration within the different specializations of the counseling field. Two specializations, mental health counseling and addictions counseling are reviewed and are brought together to help a hypothetical 12 year old girl â€Å"Ashley† in her own education and problem-solving while in therapy. Counseling Specializations and Multidisciplinary Teams The counseling profession and all of its specializations and the related fields that came before, all emerged due to the inabilities for some individuals cope with life stresses. These individuals were seen as non-resilient. Newman (2012) explains the meaning of resilience as: individuals who exhibit positive outcomes in the face of serious threats to development. They may have experienced prolonged, severe poverty; they may have a parent with a serious mental illness; or they may have been exposed to ongoing abuse or violence. Faced with these and or other difficulties, resilient individuals show low levels of psychological symptoms and function effectively in the basic developmental tasks expected for their stage of life. (pg. 78). Individuals who could not conform to â€Å"normal† societal expectations and were often locked up in the name of keeping society safe. It didn’t matter if these individuals were alcoholics, drug addicts, manic depressives, traumatized Vets, schizophrenics, or someone who merely suffered a temporary situational ordeal; they were locked up for the safety of others Smith & Robinson (1995) explain how Clifford W. Beers’s published autobiography in 1908 raised public awareness by detailing his own inhumane treatment while in a mental health institution. In 1793 the definition of mental health care was extended to include liberty, equality, and fraternity by Philippe  Pinel who was the director of Bicetre, the largest mental hospital in Paris. Pinel believed that punishment was ineffective upholding the idea that patients need some degrees of normalcy in their lives. Brooks and Weikel promoted the idea of â€Å"nonmedical approaches† to psychotherapy and state that this was an important step to the characterization and progression of mental health care. The client-centered theory emphasized by Carl Rogers and Fritz Perls, also helped to pave the way for current wellness models used today. Addictions counseling seems to follow a similar model and is often categorized under the same umbrella as professional counseling, however, â€Å"it is recognized that the addictions counselor needs to have specialized knowledge about what clients experience that have addictions problems† (Page, R.C., & Bailey 1995 pg. 170). White (2004) asserts the advantages of mental health and addictions counselors who work together: As mental health professionals, we owe our clients who present with addictions no less in respect, support, or treatment than we would bestow upon any other client. The counseling relationship or therapeutic alliance is perceived to be central to achieving a positive outcome in all mental health counseling (Gelso & Fretz, 1992), and it is especially important that a positive relationship or therapeutic alliance be formed early in addictions counseling before the more difficult or challenging times (e.g., withdrawal symptoms, relapse) occur (pg.3) As an example, consider a team that successfully joins forces in order to help a 12 year old girl named â€Å"Ashley†. Ashley asks her school counselor to help her set up an appointment with a therapist named â€Å"Ms. Henning.† Ashley tells the school counselor that she is unable to concentrate on her schoolwork because she is depressed. She further explains that her mother just recently re-married, her step-dad has 2 kids, and she is not adjusting well to the situation. Ashley asks the school counselor to speak to her mother on her behalf because she is afraid to ask. The school counselor makes the call. Fortunately, the family has health insurance and mom is onboard because she has been concerned about Ashley for awhile now and was considering this possibility as well. The first meeting with Ms. Henning and Ashley goes well. Ashley explains that she misses her mom. Her mom is busy all the time. Her step-dad is nice but she misses her â€Å"real  dad† and her new siblings are â€Å"okay† but she gets really jealous sometimes. Ashley is specific and articulate when explaining her depression but says that it gets worse sometimes the day after she does drugs with her friends. Ms. Henning explains to Ashley everything that she knows about drugs and the adolescent brain but suggests that Ashley get more information from an AODA counselor. Ms. Henning also encourages Ashley to inform her mother of the drug use. Ashley agrees reluctantly but states that she would be more comfortable addressing this issue with mom while in session. Ms. Henning agrees to make the arrangements. This therapist realizes that this is one of her easier cases. The family has health care and seems supportive rather than angry and defensive. Ms. Henning continually reminds and comforts Ashley in the fact that this is her therapy and her choice and any suggestions that are made will be discussed first—there will be no surprises. One of Ms. Henning’s goals is to provide a â€Å"crisis plan† with the school counselor for Ashley in case Ashley needs additional support during the school day. Ms. Henning also wants Ashley to see an AODA counselor at least once a week (Mr. Marks), and will keep Mr. Marks up to date on what is happening in therapy while she implements his evaluations and suggestions. She has communicated this to him in a credulous manner. Ms. Henning also hopes to initiate family support for Ashley by teaching and encouraging family members to openly discuss the family changes, possible effects, and brain-storm potential solutions. Ms. Henning would like to include â€Å"real† Dad and new siblings, at some point, if feasible and appropriate to Ashley and her family. Ashley’s ability to understand her sadness and develop coping skills will be greatly increased with a team of family members, the therapist, the AODA counselor, the school counselor, or possibly a psychiatrist if it is suspected that medication might be needed. Ms. Henning is dedicated to keeping all team members informed beyond progress reports by scheduling group meetings with everyone involved once a month. She is dedicated to receiving and offering feedback at every turn throughout the duration of Ashley’s therapy and reiterates this frequently to every member on this â€Å"team† emphasizing the value and importance of each team member. She knows that one field (or specialization) cannot effectively handle it all. The significance of promoting team work and joining forces in the counseling field is also included in some college  counseling curriculums. McAllister, M., Morrissey, S., McAuliffe, D., Davidson, G., McConnell, H., & Reddy, P. (2011), present the importance of the cooperation of professionals within the field and how some students are required to reach outside of their own specialization (or discipline) to connect with those students who have chosen other disciplines in order to build an understanding and respect between specialties. These students are required to share their own POEM’s (philosophy, ontology, epistemology and methods) with students in specialties other than their own. Studies and research; on spirituality, the human body (especially the brain), pharmaceuticals, addictions, or how society, science, technology, or government and new laws can affect individuals, will continue to shatter preconceived ideas and current acceptable â€Å"norms† of life and society. Those who choose this field must keep up. Specializations and collaboration in counseling seems to be invaluable and necessary. References McAllister, M., Morrissey, S., McAuliffe, D., Davidson, G., McConnell, H., & Reddy, P. (2011). Teaching ideas for generating critical and constructive insights into well-functioning multidisciplinary mental health teams. The Journal of Mental Health Training, Education, and Practice, 6(3), 117-127. oi:http://dx.doi.org/10.1108/17556221111171711 Merta, R. J. (2001). Addictions counseling. Counseling and Human Development, 33(5), 1. Retrieved from http://search.proquest.com.library.capella.edu/docview/206851023?accountid=27965 Newman, N. &. (2014). Development through life a psychosocial approach. Stamford: Cengage. Page, R. C., & Bailey, J. B. (1995). Addictions Counseling Certification: An Emerging Counseling Specialty. Journal Of Counseling & Development, 74(2), 167-171. Smith, H. B., & Robinson, G. P. (1995). Mental Health Counseling: Past, Present, and Future. Journal Of Counseling & Development, 74(2), 158-162. White, W. (2004). The historical essence of addiction counseling. Counselor, 5(3), 43-48.

Friday, August 30, 2019

Beauty Lies in the Eye of the Beholder

McNulty, J. , Neff, L. , Karney, B. (2008). Journal of Family Psychology. Beyond Initial Attraction: Physical Attractiveness in Newlywed Marriage, 22(1), 135-143. â€Å"Beauty lies in the eye of the beholder†. A famous statement that normally holds true. However, how long will this beauty last in the beholder’s eye? Will physical appearance affect a relationship over time as the relationship deepens and develops? A study was conducted by James K. McNulty, Lisa A. Neff, and Benjamin R. Karney attempting to answer how physical appearances continue to affect established relationship.The study was published in the â€Å"Journal of Family Psychology† in 2008 titled Beyond Initial Attraction: Physical Attractiveness in Newlywed Marriage. The primary reason for the study was to expand on prior studies of physical attractiveness which suggested that physical attractiveness should be connected with more positive outcomes in marriage. Apparently, many studies of physical a ttractiveness came about to support or over- throw two poets recognition on the period of physical attractiveness.Poet John Keats believes that the benefits of beauty are everlasting while poet G. B. Shaw believes that beauty is destined to fade over time. Different theories were also taken into consideration. Equity and similarity theories predict that attractiveness should be connected with greater levels of satisfaction and vice versa. Evolutionary perspectives and normative resource theories suggest that the gender of the more attractive partner should play an important role in determining the effects of different attractiveness.The author had cited clear review of literature and the problem was clearly visible to the average reader why the researchers felt this study needed to be done. With that said, this research tested hypothesis about whether physical attractiveness continues to influence relationships after marriage or fade with time and experience. The focus of the study was to obtain observer ratings of physical attractiveness, observer ratings of behavior, and self reports of satisfaction from a sample of recently married couples.Relative levels of attractiveness were then analyzed in order to understand the impact of each spouse’s attractiveness on how they compare with one another. Only newlyweds were selected for this particular study. The couples had to be recently married, were relatively around the same age, and were selected within the first 6 months of both partner’s first marriage. The selected 82 eligible couples went through a formal laboratory session and questionnaires before any experiments were conducted.To conduct the ratings of physical attractiveness, the researchers had to use the Quality Marriage Index, a six-item scale asking spouses to rate general statements about their marriage. Higher scores would reflect greater satisfaction with the relationship. To conduct ratings of behavior, trained raters had coded vide otaped discussions of support topics based on The Social Support Interaction Coding System. Every behavior such as speaking, turning, and gestures were recorded and analyzed.To conduct self reports of satisfaction, researchers rated the facial attractiveness of each spouse from the recorded videotapes. From a scale from 1 to 10, higher ratings indicated more attractive faces. The results of the study reflected the researchers’ expectations in newlyweds. According to the tables and data, both husbands and wives had relatively high level of marital satisfaction, there were more positive behaviors during their social support interactions, and their facial attractiveness were at the attractiveness scale.Further analyses were conducted on levels of physical attractiveness connected with outcomes of established relationships. Regression models were drawn separately for husbands and wives and the results indicated that the absolute levels of attractiveness were associated with both satisfaction and behavior. Surprisingly, findings shows that more attractive husbands tended to behave more negatively in an established relationship but neither the husbands’ nor wives’ supportive behavior was related with their partners’ attractiveness.Results indicate that relative attractiveness was a better predictor of behavior; thus, the analyses were consistent with the predictions derived from evolutionary and normative recourse theories. Both husband and wives behave more positively when the wives are more attractive than the husband, but more negatively when the husbands were more attractive than wives. It is believed that physical attractiveness is less important to the wives; thus, attractiveness may only affect them through the effect on husbands.The current study is consistent with Poet John Keats’ view where the attractiveness that brings people together will continue to influence relationships even after marriage. However, the way physica l appearances affects the relationship seems to change over time. The recommendations for the current study were to a call for additional research in the area. It is suggested to use larger samples with varying attractiveness. More variables in other indicators of attractiveness are definitely recommended as well. This was a very in-depth research project.For the most part it was well written and well organized. The methods use to gather the data for the study was clearly explained. The instruments and development were explained and all possible tests were given. The findings were well organized, sectioned, and reported objectively. The conclusions of the study were based on the findings and logically stated. The article did get a little complicated in the reporting of data due to the complicated statistical procedures used. Overall, it was a very interesting, significant contribution to the field of research in family psychology.

Thursday, August 29, 2019

Erich Maria Remarque and the Nature of War Essay

Unlike truly historical works emphasizing the human side of war, for example, Cornelius Ryan’s The Longest Day or A Bridge Too Far, in which the author provides highly detailed accounts of historical events through the eyes of participants leading to an objective treatment and analysis of those events, Erich Maria Remarque’s All Quiet on the Western Front is a novelization of the experience of German soldiers in World War I. Remarque thus follows a literary line which includes William Shakespeare’s Henry V, Stephen Crane’s The Red Badge of Courage, and Leo Tolstoy’s War and Peace and extends through cinematic efforts such as â€Å"The Big Red One† and â€Å"The Hurt Locker†, which utilize historical context in order to examine the transformative nature of war on those most intimately involved. Each work examines a central theme, e.g., patriotism, cowardice, social change, brotherhood, etc., interwoven with and supported by details of v arious wars. The particular details chosen by the authors, with the possible exception of Tolstoy who seemingly left nothing out of his opus, are those lending support to that central theme. Thus, to understand the process used by Remarque in making his choice of which details of World War I to include in All Quiet on the Western Front, one must first ascertain his thesis and its origin. Referring to the biographical notes following the novel, we learn that Remarque â€Å"was himself in combat during World War I, and was wounded five times, the last time very severely (Remarque, 1928, p. 297).† That during the time of his service Remarque was near the age of his protagonist, Paul Baumer, suggests an autobiographical nature to the novel and lends credence to the story that no second hand account could provide. Yet Remarque does not take the opportunity to provide closure to his experience or to provide a set of objective conclusions to the war. Drawing again from the biographical notes, Remarque possessed â€Å"intense determination to concentrate in his fiction upon the worst horrors of the age, war and inhumanity (Remarque, 1928, p. 297)†. Three major themes can be found within All Quiet on the Western Front combining to support Remarque’s ideology – the legitimacy of statehood, the futility of war, and the dehumanizing effects of war. Given his experiences and his viewpoint, what details did Remarque expound upon and to what purpose? In a discussion  among the soldiers as to the origins of the war, they openly question the authority by which war was declared. When Tjaden asks how wars begin, Albert answers, â€Å"Mostly by one country badly offending another (Remarque, 1928, p. 205).† Yet it is this notion of country which perplexes the most. In Europe’s past, wars were fought over disputes between smaller nation states by order and to the benefit of local rulers. This was clearly not the case in World War I, a fact not lost on the soldiers: â€Å"But what I would like to know,† says Albert, â€Å"is whether there would have been a war if the Kaiser had said No.† â€Å"I’m sure there would,† I (Paul) interject, â€Å"he was against it from the first (Remarque, 1928, p. 203).† What the soldiers had not yet come to terms with was the rampant nationalism that had swept Europe. Rising from the Industrial Revolution, nurtured by the Atlantic revolutions, and spurred by the globalization of trade, Europeans of smaller states set aside their notions of subjects under a common ruling dynasty to a sense of unity among peoples bound by blood, customs and culture. â€Å"All of this encouraged political and cultural leaders to articulate an appealing of their particular nations and ensured a growing circle of people receptive to such ideas. Thus the idea of â€Å"nation† was constructed or even invented, but it was often presented as an awakening of older linguistic or cultural identities (Strayer, 2011, p. 797).† Such were the notions the young schoolboys received from their schoolmaster Kantorek who spoke of country and honor before shepherding them to their enlistment. Yet, when those identities failed to adequately address the cultures affected, as in Austria-Hungary, nationalism failed to suppress dissent. With the assassination of Archduke Franz Ferdinand, heir to the Austrian throne, by a Serbian nationalist, the system of rigid alliances established among the emerging nations plunged the world into war (Strayer, 2011, p. 979). After further reflection, the soldiers began to understand how they came to be in a war whose causes could not be satisfactorily explained by patriotism alone: â€Å"State and home-country, there’s a big difference.† (Kat) â€Å"But they go together,† insists Kropp, â€Å"Without the State there wouldn’t be a home country (Remarque, 1928, p. 205).† Remarque addresses the futility of war in various ways. He describes the effects of the material  advantages of the Allies throughout the war, particularly following the entrance of American forces, foretelling defeat for Germany in a war of attrition: â€Å"Our lines are falling back. There are too many fresh English and American regiments over there. There’s too much corned beef and white wheaten bread. There are too many new guns. Too many aeroplanes. But we are emaciated and starved. Our food is bad and mixed with so much substitute stuff it makes us ill†¦..Our artillery is fired out, it has too few shells and the barrels are so worn that they shoot uncertainly and scatter so widely as even to fall on ourselves (Remarque, 1928, p. 280).† Most tellingly, Remarque condemns the madness of trench warfare which â€Å"resulted in enormous casualties while gaining or losing only a few yards of muddy, blood-soaked ground (Strayer, 2011, p. 982).† Paul’s Company engages in a protracted, vicious trench battle in Chapter Six in which they are first driven back in retreat, regain the lost ground after an hour to eat, and push forward into the French trenches before realizing their new position is untenable. â€Å"The fight ceases. We lose touch with the enemy. We cannot stay here long but must retire under cover of our artillery to our own position (Remarque, 1928, p. 117).† In the end, it was everything ventured, nothing gained. The senseless loss of life on both sides and the indifference to the carnage is highlighted in his description of the battlefield itself. â€Å"The days are hot and the dead lie unburied. We cannot fetch them all in, if we did we should not know what to do with them. The shells wil l bury them (Remarque, 1928, pp. 125-126).† Lastly, Remarque relentlessly stresses the dehumanization of the soldiers throughout the course of the war. In his forward, Remarque makes his purpose for writing All Quiet on the Western Front clear: â€Å"It will try to simply tell of a generation of men who, even though they may have escaped shells, were destroyed by the war (Remarque, 1928, p. i).† The first step in the process comes with the realization that those shaping their future have done so with an agenda of their own. In speaking of Kantorek the schoolmaster and Corporal Himmelstoss, Paul reflects, â€Å"For us lads of eighteen they ought to have been mediators and guides to the world of maturity, the world of work, of duty, of culture, of progress – to the future†¦the idea of authority, which they represented, was associated in our  minds with a greater insight and a more humane wisdom. But the first death we saw shattered this belief (Remarque, 1928, p. 12).† The second phase in the downward spiral is presented as the desensitization of the individual. Remarque portrays this through the soldier’s continued acceptance of the squalor of their condition. Through poor rations, living in mud filled trenches, and being in constant fear for their lives from regular shelling associated with trench warfare and from the use of a deadly new weapon, mustard gas, Paul and his comrades develop a detached persona which shields them from their hideous reality: â€Å"Just as we turn into animals when we go up to the line, because it is the only thing which brings us through safely, so we turn into wags and loafer when we are resting†¦We want to live at any price so we cannot burden ourselves with feelings which, though they might be ornamental enough in peacetime, would be out of place here (Remarque, 1928, pp. 138-139).† A third phase lies in the objectification of the soldier by others. Remarque best accomplishes this in his portrayal of medical treatment for the wounded. Early on, he establishes this premise through the death of Franz Kemmerich. A lack of supplies has denied him morphine to reduce his suffering. The higher than expected casualty count has begun to turn doctors into processors of human flesh: â€Å"One operation after another since five-o’clock this morning. You know, today alone there have been sixteen deaths – yours is the seventeenth. There will probably be twenty altogether – (Remarque, 1928, p. 32).† Kemmerich’s body is quickly processed: â€Å"We must take him away at once, we want the bed. Outside they are lying on the floor (Remarque, 1928, p. 32).† As the war drags on and casualties mount, the individual casualty becomes less a patient and more a number. Following an injury, Paul enters the hospital to learn of the latest advance in wartime triage: â€Å"A little room at the corner of the building. Whoever is about to kick the bucket is put in there. There are two beds in it. It is generally called the Dying Room. They don’t have much work to do afterwards. It is more convenient, too, because it lies right beside the lift to the mortuary (Remarque, 1928, p. 257).† Through his experience in the hospital, Paul comes to a stark realization, and Remarque drives home his point: â€Å"A man cannot realize that above such shattered bodies there are still human faces in which life goes its daily round. And this is only one hospital,  one single station; there are hundreds of thousands in Germany, hundreds of thousands in France, hundreds of thousands in Russia. How senseless is anything that can ever be written, done, or thought, when such things are possible. It must be all lies and of no account when the culture of a thousand years could not prevent this stream of blood being poured out, these torture-chambers in their hundreds of thousands. A hospital alone shows what war is (Remarque, 1928, p. 263).† The ultimate phase is the transition of the soldier from object to invisibility. Paul’s death, and the â€Å"matter if fact† manner in which Remarque presents it, stands in stark contrast to the official report of the day – â€Å"All quiet on the Western front. (Remarque, 1928, p. 296).† The fate of a man has been subordinated to the fate of a nation without the nation realizing his sacrifice. Throughout All Quiet on the Western Front, Erich Maria Remarque selects his details of World War I to support his themes decrying nationalism, the meaningless state of war, and the disintegration of the human spirit through the pursuit of warfare. No mention is made of specific battles or individual acts of heroism. The lack of specificity adds to the tone of the general, unyielding nature of war. Heroism, writ with a capital â€Å"H†, is a concept not to be found in Remarque’s world of war. In presenting his details of World War I, Remarque remains unyielding in his portrait of the destruction of the human condition on the altar of national pride. REFERENCES Remarque, E. M. (1928). All quiet on the western front. Ballantine Books. Strayer, R. W. (2011). Ways of the world; a brief global history with sources, volume 2: Since 1500. 7th edition: Bedford/St. Martins.

Wednesday, August 28, 2019

Human Right Law Coursework (Final Year LLB Law) Essay

Human Right Law Coursework (Final Year LLB Law) - Essay Example It is in this context that the concept of ‘living instrument’ is often challenged by critics under the scepticism that considering present conditions may be contradictory and evidently different from the set guidelines and regimes followed by state courts; thus raising perplexities and conflicts amid the beneficiaries and the law enforcers. Emphasising this scepticism concerning the effectiveness of the living instrument, Brenda Hale (Baroness Hale of Richmond), stated in her lecture on â€Å"Common law and Convention law: the limits to interpretation† that the living instrument incorporated by the court of Strasbourg should have certain limits and it should not be unstoppable such as the beanstalk grown from â€Å"magic beans†2. Contextually, the primary intention of the essay will be to evaluate the past decisions of cases laid by the Strasbourg Court and critically assess the limits stated by Lady Hale in the context. The essay will also evaluate the cha nces or the probability of introducing any limits in the use of the living instrument in the Strasbourg Court. Discussion Living Instrument The ‘living instrument doctrine’ is often regarded as one of the founding principles of the Strasbourg case-law. Based on this principle, the conflicts registered in the ECHR are interpreted in the light of present day condition. In general terms, the aspect of a living instrument can be explained as an approach of the ECHR to consider the present day conditions while making a decision rather than what the drafters thought way back in the conventional era. This idea of the court is often regarded as â€Å"dynamic or evaluative†, which is however criticised as directly contradictory to the concept of ‘originalism’3. It will be crucial to mention that since the convention is considered and practiced as a living instrument, it is bound to consider only the present day conditions in order to ensure the practicality a nd effectiveness of the ECHR4. This particular notion adopted by ECHR, as a living instrument, can be comprehensively understood with reference to the cases of Mata Estevez v Spain (2001) and Schalk and Kopf v Austria (2010). For example, in the case of Mata Estevez v Spain (2001), the Strasbourg Court disapproved that the relationship between same-sex couples falls within the principles of Article 8 (â€Å"Right to respect for private and family life†) of ECHR and thus cannot be considered to be under the family scope to be entitled for the related human rights. However, in the case of Schalk and Kopf v Austria (2010), the court approved the relationship of same sex couples to be applicable under the principle of Article 8 of ECHR. In this case, the court considered the present day condition where same sex couples are treated and accepted with utmost respect in the society5. Strictly following the principle of ‘living instrument’ can give rise to various drawbac ks in the law enforcement procedure, which has become the base of continuing debate on the effectiveness of

Tuesday, August 27, 2019

Human Resource Management Assignment Example | Topics and Well Written Essays - 3000 words

Human Resource Management - Assignment Example Employees have started relating their career success in terms of their upward mobility in the organization. The major vehicle for climbing up the ladder is the promotional system of the organization. The study would mainly focus on promotional decisions of the organization and present different facets of promotional system in the companies. Stumpf and London (1981) had developed a representation that included the influence of the organization and the individuals on the promotion decisions. It also involved the types of promotion decisions, such as potential of the individuals, performance level, etc. Later Stumpf and London (1981), found that the promotional decisions should be based on the potential ratings of the employee. The other research states that there are many other informal and formal criteria of evaluation for taking the promotional decisions based on the ability and the seniority (Halaby, 1978; Mills, 1985). Other features like performance, education and demographic char acteristics also matter in this case (Taylor, 1975). The two major inputs considered by most of the organization for taking promotional decisions are potential of the employee and the performance. Still the question remains unanswered, as how can we understand that an employee has potential. The well-designed tool for the measurement of potential can be done at the assessment center. According to the results from a study, bad hiring and poor promotion in organizations are increasing and about 51 percent of the survey respondents in the survey agreed to the fact. Poor promotion decisions include undeserved promotions, favoritism, etc. Among all the reasons that can be stated for poor promotion decisions, favoritism is the most common. In US, about 92 percent agreed that favoritism takes place in almost all large organizations. 75 percent have witnessed this and about 23 percent have practiced this. The surprising element is that about 83 percent executives agreed that favoritism lead s to poor promotion decisions, yet they follow it blindly. The promotion decisions include searching competencies of the employee to fit in to the new job profile and match up to the manager's expectations. However, it is difficult to identify competencies. Managers face the dilemma while selecting the appropriate candidate. If they consider new candidates or even the existing employees, they have to evaluate, assess and monitor their performance and potentials. This is a time taking and laborious method, though the most efficient one. In this scenario poor promotion decision-making creeps in. Ineffective promotion can increase the inefficiency of the organization as well. Poor Promotional decisions can rouse suspicion, and fear among the employees. For example, promotions given to those employees who have good relation with the upper management are often seen in organizations. When such employees are given promotion, they might threaten the managers to complain against them to the members of the top level management. It can also become a major issue for discrimination. After considering the significance of promotional decisions and the general factors that affect the poor promotional decisions in the organization, further study on the issues related to poor promotion decisions would be done in context of Peter Principle. Peter Principles states that the individua

Extended definition of risk management Essay Example | Topics and Well Written Essays - 750 words

Extended definition of risk management - Essay Example For instance, engineers can also benefit from risk management in minimizing costs, medical practitioners can be prepared in combating anticipated epidemics and agriculturist can remedy impending food deficiency through risk management. This wide essentiality of risk management brings interest of knowing about it not only to the business world but to almost every individual. According to Michel Ravassard, risk management â€Å"is a systematic approach to managing risks throughout the whole organization by identifying, assessing, understanding, acting on and communicating risk issues† (2010). By saying it is a systematic approach; the author suggests that the process has a set of procedures which needs to be observed. Moreover, it is scientifically founded on research and intense study of the procedures, making the process more reliable in terms of accuracy. Therefore, risk management is not just based on a theory nor is it an instantaneous changing of the mind of the manager but it is a well-established principle that has been tested and tried for years in several organizations. Another aspect of risk management that needs to be defined in order for someone to understand further its meaning is risk. The aforementioned author says that risk is â€Å"the expression and the likelihood and impact of an uncertain, sudden and extreme event that, if it occurs, has many impact positively (opportunity) or negatively (threat) on the achievement of a project or programme objective†. ... For instance, when a company decides to use the internet to expand on its business; there might be problems on delivery, payment, demand, availability of products or materials that would occur. Therefore, these important issues should be determined so that the businessman will be able to prepare solutions to anticipated problems in order for the dilemma to be minimized if not avoided. The act of trying to minimize or avoid problems is actually what is called risk management. The first step in the process is for a manager to identify the risks of a certain project so that appropriate solutions will be later prepared. Once the risk is known, they have to be evaluated, considering all the angles of the issue that they may bring about that will affect the project’s objectives. Consequences may be multi-faceted so that managers should not concentrate only in the obvious or visible effects of the risks but should look deeper into what other results there may be. in doing so, one exh ibits a clear understanding of the project and thereby knows what to expect. Furthermore, risk management serves as a motivation to act on a project optimistically because of being assured that there would be minimal mistakes that will take place. Another important measure in risk management is communicating the likelihood of sudden impact to the people involved in order for them to be able to understand the process. This will greatly affect the project because it determines how people should deal with the expected problems or project and how it will be maintained. In the definition of risk, it should be noted that it does not only consider the negative impact but it also mentions the positive effects. This is so because even

Monday, August 26, 2019

Network Security Principles Essay Example | Topics and Well Written Essays - 750 words

Network Security Principles - Essay Example In other words, in order to ensure network security computer users must follow security plan or guidelines (Laudon & Laudon, 1999; Kaminsky, 2010; Ray, 2004). In the past few years several technologies have emerged throughout the whole globe and networking technology is without doubt the most amazing achievement in this era. On the other hand, security has turned out to be a challenging task for present network administration. In fact, the advancements of information technology have also offered a lot of benefits for the negative minded people. Now they have a wide variety of tools and technology which they can use to get illegal access to a network. In this scenario, it is essential for an organization to implement strict security policy. However, if an organization fails to put into practice an effective network security then an attacker or competitor can get access and use the important or secret data and information, probably causing data destruction or damage, or even the entire destruction of the computer network (Kaminsky & Foster, What is Network Security? , 2011; Armoni, 2002; Bhattacharya & Ghosh, 2009). It is an admitted fact that the emergence of the Internet has modernized our lives. On the other hand, it has as well introduced some of the severe safety and confidentiality issues. These issues can be tremendously devastating for private information. Hence, in an attempt to effectively deal with these issues organizations use network security rules and measures (Kaminsky & Foster, What is Network Security? , 2011; Armoni, 2002; Bhattacharya & Ghosh, 2009). As discussed above to deal with network security threats and an organization must implement an effective security policy. This policy should be an agreement, explaining in depth the organization’s decisive resources and how sound they are organized. In fact, the fundamental aim of creating a network security policy is to provide the organizational employees with a brief outline of the "acce ptable usage" of some of the business information and resources. Additionally, this policy is also intended to adeptly illustrate the permissible rights of workers and as a result employing them in securing the data and information. In actual fact, a security plan works like a "must interpret" fashion of business information for everyone exploiting in any form, computer and network resources are believed to be possible targets. On the other hand, a high level and excellently created security policy is supposed to tackle some these subsequent fundamentals: (Danchev, 2003; Kim, Lee, Han, & Kim, 2009) How vulnerable business data must be organized and managed How passwords and other credentials have to be maintained securely How to respond to a possible security issue, disruption efforts, etc. How to make use of resources such as computers and the Internet in a better way How to properly make use of the business communication infrastructure In general, the most important reasons follow ing the creation of a security policy is to establish an organization’s private data and information security basics. Another aspect is to inform to workers how they are responsible for the security of business resources and assets, and give emphasis to the implication of taking benefit from secured business communic

Sunday, August 25, 2019

The Silence of the Lambs Movie Review Example | Topics and Well Written Essays - 500 words

The Silence of the Lambs - Movie Review Example She strikes deals with him, sometimes falling aprey to his words. She keeps coming across clues and tries solving the case with investigative procedures. Contribution: The gloomy images of the mental asylum, the personified darkness and imagery of the moth contributes a great deal to enrich the feel of the film and in creating a greater impact on the audiences. Contribution: The characterization of the film contributes greatly to the overall quality of the movie. The forensic psychiatrist turned cannibalistic killer, the serial killer, a young detective, the Senator, murders, etc. greatly accentuate the plot and the effect of the film. Explanation: This theme is carried on throughout the movie since all attempts are made by the FBI to investigate the series of murders committed by Buffalo Bill. In t he process, Starling takes the help of forensic psychiatrist turned cannibalistic killer, who is serving consecutive sentences at an asylum. Thus, this theme of Murder and Investigation, amidst some great psychological action runs throughout the film.

Saturday, August 24, 2019

Why is China characterised as a 'Party-State' Essay

Why is China characterised as a 'Party-State' - Essay Example (Haggett, 2002:2386). Facts surrounding the general governance of such a large country agree it is a complex matter to deal with. Formal examinations done in a number of cities within China conform to this claim. However, putting focus on structural party membership shows that what is happening is largely contributing to state-party character. This is evident in that, the State of China has a system of governance that does not allow any other candidate to vie for any seat in the general elections since it is a single-party state. Reformers characterize People’s Republic of China as a state-party country due to several factors. For instance, since 1949 there has been only one party ruling all over the State of China (Shambaugh, 2009: 4). This party, Chinese Communist Party, often deals with dissents brutally and does not tolerate opposition. This State has bodies that that facilitate adjacent ruling throughout different channels of command within all its governing arms that inc lude judiciary, legislature, and executive. There are also other governing organizations and bodies in China that include; politburo, national people’s congress, courts and prosecutors, party elders, discipline commission, state council, military affairs commission, armed forces, and provinces and townships all charged with different powers and tasks. The most senior organization or body, politburo, is in charge of decision-making with its members facing no competition from anyone during elections, thanks to their survival instincts in a political culture whereby saying anything wrong can result to a life under house-arrest, or even worse. Politburos also make it to the top due to their abilities as well as their patrons support. It is the ruling party that dominates the over all outcome of these decisions made by the politburo. Additionally, people characterize People’s Republic of China as state-partied because power stems in a dynasty for long. What elaborates this is the force granted to administrators serving in the ruling party. Influence of leaders runs across all those loyalties created by him or her within the organization of a family. In this case, Chinese belief that personal relationship with leaders from the ruling party counts more than a title of a job. A distinctive example of such scenarios is the way Deng Xiaoping continued being a paramount leader even after resigning from all his official post long ago. This reveals the reason why elders in the party are critical during critical decision-making. Moreover, the ruling party, Chinese Communist Party, established measures to curb the rising focus on ways of making China a multi-party state, as they would mean competition. Therefore, the party is strengthening its organizational tools by extending further to involve successful businesspersons in its organization. Within China, there is an existing belief that Chinese Communist Party is a by-gone thing and can barely withstand or su rvive in the world’s modern globalization process (Burns, 2003:776). Nevertheless, the party is assuring itself continuum by reaching and gaining enough strength from other organizations and institutions within the new social strata of China’s executives. Consequently, from people’s perspective, it is a redefined but still a centralized government. In addition, is has a central role from the same party, which has been in existence for a long time, hence characterized as a state-party country (Sato & Eto, 2008:654). Political analysts characterize the State of China as a state-party country since independent candidates are facing daunting obstacles to their wish in becoming leaders in People’

Friday, August 23, 2019

Eucharist Essay Example | Topics and Well Written Essays - 3000 words

Eucharist - Essay Example Earlier Christians used it as the synonym of Hebrew term berakkhah, meaning "a blessing". As the Christians opened the gates of vernacular versions, the terms were being translated into other languages in a sense to convey the restricted thoughts of the church rather then exact meanings, the term "Eucharist" also got effected and was restricted to the specific meaning of the ritual of the bread and wine1. Among the different churches, it is known by other names as well, such as, the Lord's Supper, Holy Communion, the Divine Liturgy, the mass, the blood sacrament or simply as sacrament2. As we look at the history of church, in early period there were not much scientific discussions going on , rather the major move in those times was when the shift of the authority of Church to the authority of the Bible. For Roman Catholics both the written and unwritten word of God was taken in authority with equal devotion. Written word was the Bible and unwritten was believed to be the tradition of the Church. For centuries the church remained content with a rough and ready arrangement of the canon but it could not live long. Tradition introduced the doctrines to believers and the scripture was used at the later stage to test and amplify those doctrines. After sharp discussions over it, the Council of Trent decided that the scripture and the traditions (divine and apostolic) are at the same level of authority, to be taken with equal devotion and veneration. But there were certain doctrines that were coming merely from the authority of traditions which became the object of reformi ng attack and Eucharist was one of them3. In the beginning, the Holy Eucharist was held as an ordinary meal in Christian household which they adopted from the Judaic culture. By the 2nd century C.E. the practice of sharing the Eucharist became a traditional sacrament honored as both, a Sacrament and a Sacrifice in the commemoration of Jesus the Christ. Since then, Christians began to gather for Holy Eucharistic ritual. The Catholic Eucharistic prayer and the formal consecration of the bread and wine into the body and blood of Christ became the central features of this sacrament in proceeding centuries4. The Middle-Ages is marked as the period of Dark Age in the Christian history. With the coming of Barbarians, the characteristics of earlier time began mingling and merging with the Barbarian. By the 800 C.E. the Pope at Rome got his control over the civil power and from there began the time when many doctrines sprang up. One of those doctrines understood to be developed by the western church was "transubstantiation" i.e. the doctrine that under the appearances of bread and wine, Jesus Christ is contained, offered, and received. The whole Christ is "really, truly, and substantially" present at the consecration of the elements of the Eucharist5. Eucharist and Christian denominations Eucharist is suspected to have been developed as part of the general doctrine of the sacraments. As we look behind in the history, the first full scale discussions over the issue in the Catholic west emerged out after 9th century and then it began to be celebrated. The Roman Catholic Church is the largest single grouping in terms of numbers of adherents. For them Pope is the spiritual leader and have the authority. On the other hand, reformed churches are those whose separate

Thursday, August 22, 2019

The Interpretation of Dreams Essay Example for Free

The Interpretation of Dreams Essay Sigmund Freud was born in 1856 and died in 1939. He was an Austrian psychologist who marked the beginning of a modern psychology by providing the first well-organized explanation of the inner mental forces determining human behaviour. Sigmund Freud is universally considered the father of psychoanalysis and many date the birth of pychoanalystic theory from the 1899 publication of The Interpretation of Dreams ; which sold a minimal number of copies and received a number of copies and received a number of mixed reviews. The book introduces Freud? Theory of the unconscious with respect to dream interpretation and also first discusses what would later become the theory of the â€Å"Oedipus Complex†. Throughout the book, Freyd analyzes his own dreams as examples to prove his new theory of the psychology of dreams. He posits that all dreams represented the fulfillment of a wish on the part of the dreamer and nightmares are expressions of unconscious desires. â€Å"[ ] every dream turns out to be meaningful, psychical formation which can be given an identifiable place in what goes on within our walking life [ † He considered the interpretation of the dream an unexplored science which only Aristotle had investigated about in his book: On dreams and dream interpretation. Freud asserts that, contrary to the reigning scientific opinion, he will prove that is possible to interpret dreams using a scientific method. Freud makes an important distinction between the conscious and the unconscious mind: The conscious mind includes everything that we are aware of. This is the aspect of our mental processing that we can think and talk about rationally. A part of this includes our memory, which is not always part of consciousness but can be retrieved easily at any time and brought into our awareness. The unconscious mind contains our biologically based instincts fot the primitive urges for sex and agression. It con ins all sorts of significant and disturbing material which we need to keep out of awareness because they are too threatening to acknowledge fully. There is another type that is; the subconscious mind which contains thoughts and feelings that a person is not currently aware of, but which can easily be brought to consciousness. It exists just below the level of consciousness before the unconscious mind. This is what we mean in our everyday usage of the world avaliable memory. Freud applied these systems to his structure of the personality, or psyche – the id,ego and superego. Freud also regarded the mind to be like an iceberg, where the greatest part is hidden beneath the water or unconscious.

Wednesday, August 21, 2019

Ethics in Noble Truth and Eightfold Path Essay Example for Free

Ethics in Noble Truth and Eightfold Path Essay In this paper I will be discussing the concept of the four noble truths and eightfold path within the Buddhist religion. The four noble truths do not give concrete answers to metaphysical questions, unlike other religions. Buddhism teaches human existence is imperfect and the four noble truths are a guide to help steer away from suffering. The four noble truths are important to Buddhist ethics in that they are the way to nirvana and enlightenment. The first noble truth is life is suffering. To live means to suffer and since it is human nature, no one is perfect in any shape or form. While we develop, we inevitably have to endure physical and psychological suffering sooner or later. Each of us, no matter how rich or poor, is going to get sick, grow old, and die. Nothing is permanent, nothing can permanently satisfy us. â€Å" Any aspect of life, no matter how seemingly pleasant, already has the seeds of the suffering that is a common denominator of all human experience† (Young) This is because things change and pass away; everything and everyone we love will someday pass away. The Buddha also taught the reason behind the suffering that individuals experience. The second noble truth is suffering is caused by craving. â€Å"We suffer because our craving leads us to become attached to things or people and deluded as to the real nature of our situation in life (Young). † As long as we are unable to detach of moral pleasures, we will experience suffering. One must learn to overcome these greed, aversion, hatred, jealousy, etc. These conditions are always in hand with society, family, and within one’s self. Recognizing and understanding the second noble truth gives way to the freedom from suffering. The third noble truth is cessation of suffering. It is the complete fading-away and extinction of this craving, its forsaking and abandonment, liberation from it, detachment from it†(welsh). This may be the most significant of all the noble truths, as it reassures us that true happiness is possible. When individuals give up useless cravings and learn to live each day to the fullest, enjoying what each day brings with no expectations, they are able to live a free life. Nirvana arises when an individual becomes free of all sufferings, and eliminates cravings. When an individual is able to attain nirvana, they are able to move on to the next noble truth. The forth noble truth is the means to liberation. This noble truth teaches how to remove all suffering from your life, and explains the various levels of achieving such. So, first of all, in order to gain the good qualities, we need to work on creating all the different conditions that will make those qualities emerge. To develop the various insights of meditation and real wisdom, we need to develop great faith and confidence in the validity and usefulness of that wisdom. Buddhist needs to change their habits so that they have the ability to do all the necessities to make insight and wisdom emerge. Therefore, there are many factors and conditions we must generate within our life that will bring about our happiness. The guide to peace and the end suffering is the eightfold path. The eightfold path is a guideline to ethical teachings and growth of an individual. The goal is to free believers from attachments and ultimately leads to understanding. â€Å" â€Å"Everyone should attempt to live by the eightfold path, and (theoretically) enlightenment is open to anyone, regardless of caste, gender, or whether lay or ordained. † Young. The Eightfold Path consists of three components: wisdom (prajna ): (1) right views and (2) right intention; morality (sila ): (3) right speech, (4) right conduct, and(5) right livelihood; and concentration (samadhi ): (6) right effort, (7) right mindfulness, and (8) right concentration. (Deal). The eightfold path is the way to avoid self-denial and self-indulgence considered the middle way. The first step in the eightfold path is the right view, which falls under the category of wisdom. The right view means understanding the four noble truths and grasping the nature of objects and ideas. Right view is attained, sustained, and enhanced through all capacities of mind. It begins with the insight that all beings are subject to suffering and it ends with complete understanding of the true nature of all things. The second step, which also falls under the component of wisdom, is correct intention. This refers to abandoning one’s own thoughts and desires. This is the step of the eightfold path that one must give up selfish attitudes that lead to more suffering and replace them with the opposite. â€Å"The point is not to nattached from oneself to a particular person but with a caring attitude, but to practice a â€Å"universal goodwill† young† The third step is correct speech. This means to tell the truth, to speak friendly and to talk only when necessary. †Man’s speech must be the truth, his conversation must be edifying and he must not engage in scandal gossip. One should take control with one’s word not only for the sake of truth but to demonstrate control and discipline. † Right speech can be seen as an ethical conduct in Buddhism. The forth step in the eightfold path is that of correct conduct. Young mentions that unwholesome actions lead to unsound states of mind, while wholesome actions lead to sound states of mind. â€Å" Not taking life, not stealing and not having sexual intercourse† (Van Voorst). It is important in Buddhism to concentrate on actions that will help the well beings of others. The fifth step is the right means to livelihood. This path represents earning an honest living. An occupation that is against the other steps of the eightfold path is in return against right livelihood. One should acquire only by legal means, not by illegally; one should acquire it peacefully, without coercion or violence; one should acquire it honestly, not by trickery or deceit; and one should acquire it in ways which do not entail harm and suffering. † (Bodhi) Selling of weapons would be an example of wrong in this religion as the consequences of weapons can cause harm to others. The sixth step in the eightfold path is right endeavor. This step is very important, as it is a necessity to put a conscious effort in what we do. Without right effort less would be able to get achieved. â€Å" Avoiding any sort of unwholesome action that will have a negative karmic influence, and pursuing beneficial deeds. †(Young) being aware of your own mind and not to have a mind that is diluted. This brings us to our next step, the seventh step, which is right mindfulness. This step in the eightfold path refers to the ability to see things without any delusions. â€Å" Right mindfulness refers to the deep, ultimately non-dual, understanding of the body, feelings, mind, and experienced things†(Koller. In the step being consciously aware of all that is that is going on with ones mind and body. Van Voorst states, â€Å" To remain focused on the body in and of itself- he is fervent, aware and mindful- putting away the greed and distress of the world. This step helps to actively observe and control our thoughts. The eighth step in the eightfold path is correct meditation. Once at the stage nirvana is at hand and, in a flash of intuition that state of final bliss dawns† (Young) This step leads to developing a deep insight into reality and the ability to be able to apply levels of concentration regularly. We see by the study of the noble truths and the eightfold path that Buddhist put great emphasis on the practices that they follow in order to reach nirvana. The noble truths and the eightfold path are essentially the ethics of the religion. The foundation of the path is moral virtue. Buddhist ethics is concerned with the practices that contribute to a believer to act in ways that help rather then harm. By following the noble truths and the eightfold path Buddhist are able to reach the goal of nirvana and non-attachment.

Tuesday, August 20, 2019

Bilingualism and Brain Lateralization

Bilingualism and Brain Lateralization Polina Gavrilova Brain Lateralization and Neural Networks in Bilinguals In recent years, various studies have been conducted on bilingualism in regard to the neural basis of the first language (L1) and second language (L2) processing. The new technical advances, such as position emission tomography (PET) and functional magnetic resonance imaging (fMRI) are used to determine whether L1 and L2 share a common neural network or whether languages are represented in different areas of the brain (Dehaene et al., 1997; Perani et al., 1998; Liu, Hu, and Peng, 2010). Studies in neuropsychology have shown that for most people language processing takes place in the perisylvian areas of the left hemisphere. Research on bilinguals and polyglots who suffered brain injury revealed that occasionally aphasia affects only one of the languages that were previously acquired. This finding suggests that languages are represented in different parts of the brain (Paradis, 1995, cited in Perani et al., 1998) and that L2 has reduced leftward lateralization (Albert Obler, 1978, ci ted in Dehaene et al., 1997). Various studies that examined bilinguals and their language processing have shown that L2 in comparison to L1 doesn’t consistently activate the same neural networks across subjects. The inconsistency between participants could be attributed to the age of acquisition and proficiency level of L2 (Dehaene et al., 1997; Perani et al., 1998; Liu, Hu, and Peng, 2010). This paper examines whether L1 and L2 are supported by a common neural system or whether a dedicated cortical area represents each language. Furthermore, this paper identifies neural substrates activated by L1 and L2 during auditory, word production, and picture naming tasks. Dehaene et al. (1997) examined bilinguals (French-English) who acquired L2 after the age of seven. The researchers found that while listening to a task the superior temporal sulcus (STS), superior and middle temporal guri (STG and MTG), temporal pole (TP), and left angular gyrus (AG) were constantly activated in the left hemisphere for L1. STS and TP were also activated in the right hemisphere but it varied across subjects and the activation wasn’t as strong as in the left hemisphere. In addition, the neural pathway didn’t extend to AG. The findings for L2 showed greater inter-subject variability than for L1. The results of fMRI found that six subjects activated STS, STG, and MTG in the left temporal lobe for L2. However, the pixels of these activations were dispersed compared to the results for L1. The second language didn’t cause any activation in the left TP and AG. Also, some of the subjects didn’t show any neural activation in the left temporal region , which suggests that L2 is mostly dominated by their right hemisphere. The results also displayed that subjects activated additional resources while listening to L2. These additional sub-regions were the right STG and STS in the right temporal lobe. In addition, results of L2 showed that some subjects activated various networks outside the temporal lobe. Specifically, these subjects used the left inferior frontal gyrus, located in the Broca’s area, the inferior precentral sulcus, and the anterior cingulate. The research shows that L1 consistently activated the temporal lobe, especially stimulating the STS, STG, and MTG in the left hemisphere. Some subjects also activated these cerebral regions for L2 but with greater dispersion. Participants had strong leftward lateralization for L1 and inconsistent lateralization patterns for L2 across subjects. These results are consistent with the hypothesis that L1 is represented in the left hemisphere for most people. Furthermore, the study suggests that late bilinguals require additional neural networks for L2. Therefore, some subjects recruited left inferior frontal gyrus, which is responsible for language production to help maintain L2 while processing it during tasks. The anterior cingulate was another additional resource, which is responsible for attention and control. This suggests that L2 is not as autonomic as L1 and subjects needed more resources and attention to process L2 (Pardo et al., 1990; Posner Dehaene, 1994; Paulesu, Frith, Frack owiak, 1993, cited in Dehaene et al., 1997). Perani et al. (1998) studied cortical responses by evaluating bilinguals with high proficiency, late acquisition (HPLA) and high proficiency, early acquisitions (HPEA) and comparing their results with low proficiency, late acquisition (LPLA) study (Perani et al., 1996). Similar to previous studies, L1 of the LPLA bilinguals activated the left hemisphere, including perisylvian areas and temporal lobes and L2 activated different networks across subjects (Perani et al., 1996; Dehaene et al., 1997, cited in Perani et al., 1998). On the other hand, the results demonstrated that balanced bilinguals, HPLA and HPEA, activated similar networks while listening to stories in their native and acquired languages. HPLA subjects activated left hemisphere in the temporal pole, the STS, MTG and hippocampal structures for L1, which is consistent with previous results. However, L2 activated similar neural pathways, which suggests that when L2 is acquired to a high proficiency the speakers activate the same areas of the brain for both languages. HPEA subjects activated temporal poles, hippocampal structures and lingual gyrus for both, L1 and L2, which is similar to the results of HPLA speakers. These results show that once the proficiency level of L2 increase, the speakers recruit less networks to maintain L2 and the activation foci between languages doesn’t vary as it does with unbalanced bilinguals (e.g., LPLA). Furthermore, the results showed that the temporal lobes were consistently activated during tasks. Previous studies showed that the temporal poles get activated during tasks that require listening, reading, or speaking (Mazoyer et al., 1993; Perani et al., 1996, cited in Perani et al., 1998). Therefore, the authors suggest that the temporal poles are responsible for processing at the sentence level rather than unconnected word level. In another study, Liu, Hu, and Peng (2010) examined Chinese-English bilinguals using word production and picture naming tasks. The results showed that there was increased activation for L2 in the left inferior frontal gyrus (IFG), bilateral supplementary motor area (SMA), left precentral gyrus, Brodman’s area (BA) and bilateral basal ganglia, including the putamen, globys pallidus, and caudate, and bilateral cerebella.The bilateral SMA, left precentral gurys, and the cerebella functions are related to motor processing for word production; therefore, activation in these regions might be related to phonological and articulatory processing in language production. The researchers also found that L2 activated Brodman’s area of BA44/45/48; the BA44 and BA 45 are known are Broca’s area, which is responsible for motor planning and articulation, as well as phonological processing. Activations in these areas suggest that L2 is less autonomic and requires more neural pathwa ys to maintain and control language production for L2 (Braun et al., 2001, cited in Liu, Hu, and Peng, 2010). L2 also activated regions of basal ganglia, which is related to motor behavior and cognition functions (Graybiel, 2000) and regulates planning and execution of actions, and speech motor control. The activations in these areas could be attributed to the fact that unbalanced bilinguals try to reduce interference from a more dominant L1 (Elsinger et al., 2006; Alm, 2004, cited in Liu, Hu, and Peng, 2010). Interestingly, the authors found that L1 activated the right putamen and right globus pallidus of the right basal ganglia. The dissociation between L1 and L2, which activated the left basal ganglia, suggests that different regions of basal ganglia are responsible for different levels of speech execution( Jueptner and Weiller, 1998, cited in the study). The difference between activation of basal ganglia could also be attributed to the fact that Chinese and English use different phonological systems and language scripts, which might activate different parts of basal ganglia (Liu et al., 2006, cited in Liu, Hu, and Peng, 2010). The results also showed overlapping between neural pathways for L1 and L2. Both languages activated the left IFG, which is associated with semantics and phonology, posterior perisylvian area which is responsible for linguistic functions and the cingulate gyrus for cognition and motor control. The literature review and the present studies concur that L1 has a consistent neural pathway within the left hemisphere and L2 has a more varied cerebral activation patterns. The differences between L1 and L2 are being attributed to the language proficiency of L2 Dehaene et al., 1997; Perani et al., 1998; Liu, Hu, and Peng, 2010). Nonetheless, L1 and L2 also activate common neural system, which differed from one study to another due to the tasks, languages involved, and the level of L2 acquisition. The results of the studies suggest that L2 is less autonomic than L1 and requires more resources to maintain the L2, however as the proficiency of L2 increases the need to activate varied neural pathways decreases, as L2 becomes competent to L1. It’s important to study about the way languages are represented in peoples’ brain as these studies will contribute to our understanding of brain plasticity, language acquisition and neurological diseases, such as aphasia in bilinguals . Also, new studies using advanced technologies will help to clarify agreed upon hypothesis of language lateralization and representation in the human brain. References Dehaene, S., Dupoux E., Mehler, J., Cohen, L., Paulesu, E., Perani, D., et al. (1997). Anatomical variability in the cortical representation of first and second language. Neuroreport, 8, 3809–15. Liu, H., Hu, Z., Guo, T., Peng, D. (2010). Speaking words in two languages with one brain: neural overlap and dissociation. Brain Research, 1316, 75-82. Perani, D., Paulesu, E., Galles, N.S., Dupoux E, Dehaene S, Bettinardi V, et al.(1998). The bilingual brain: proficiency and age of acquisition of the second language. Brain, 121, 1841–52.

Global Connections Essay -- Research Papers Internet Communication Ess

Global Connections The cyberculture of the World Wide Web has created virtual communities by means of bulletin boards. These bulletin boards give any individual the ability to instantly publish their thoughts and advice on a particular subject to a mass audience. This capability to connect with strangers across the globe, as well as the ability to publish to a mass market without the support of a large publishing house was once impossible. The introduction material to the Future of Print Culture series at Benoit College in February of 1997 stated, â€Å"Before the advent of the internet, writers who were not published by major editing firms had little hope of reaching a mass audience. Now thousands of readers can be reached with the touch of a button.† Today the World Wide Web gives anyone with web access the ability to publish their words and communicate with strangers instantly, as well as globally. New kinds of international communities are created by this new type of communication. These virtual communities are built around groups of people who probably did not know one another before meeting on line. They are often organized around specific interest or affinities; for example car enthusiast, adventure seekers, sports fans, teachers, etc. They are usually inhabited by people who do not live close enough to meet face to face regularly. (Rheingold, Mobil Virtual Community) The technology of the cyberculture has not only created a new type of community but has had an interesting effect on the way people communicate. In her essay The Virtual Driving Forces in the Virtual Society, Magid Igbaria states that, â€Å"Electronic interactions in which people don’t know each other make new kinds of communication p... ... Future of Print Culture, 14-15 February 1997: On-Line. Internet: 16 June 2003. Available WWW: http://www.beloit.edu/~confer/print.html Igbaria, Magid. â€Å"The Virtual Driving Forces in the Virtual Society.† Communications of the ACM, December 1999, Vol. 42, No. 12. Murali, J. â€Å"Weblogs: Instant Publishing.† 29 March 2001: The Hindu On-Line. Internet. 16 June 2003. Available WWW: http://www.hinduonnet.com/thehindu/2001/03/29/stories/082 90001.htm Rheingold, Howard. The Virtual Community, Electronic Version. Internet. 16 June 2003. Available WWW: http://www.rheingold.com/vc/book/1.html. Chapter 1 Sosonoski, James. â€Å"Hyper-readers and their Reading Engines.† Tribble and Trubek. 400-409 Tribble, Evelyn B. and Anne Trubek, eds. Writing Material: Readings from Plato to the Digital Age. New York: Longman, 2003.

Monday, August 19, 2019

Family Day Essay -- essays research papers

  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Family Day When I was around 6, I had gotten out of church wearing my nice church clothes with a tie, shoes, dressy pants, and a blazer. I was with my mom, dad, brother, and sister, who all had on church clothes too. My sister had the same things my mom had on, a black long skirt with an expensive white shirt. My brother and dad had on the same thing too: black shoes, navy blue pants, black bowtie and white shirt. I was the only one with a blazer on. My siblings and I were really happy we all went to church together, so I guess my dad was happy because of that, but he had a tired look on his face too.   Ã‚  Ã‚  Ã‚  Ã‚  After church, my parents decided we should go to the botanical gardens and spend the rest of the day there. My dad had an old Chevy that sounded pretty good; it got us where we needed to go. It had some rust on the edges here and there, but all and all it was a good running car. The inside smelled like pine because my dad washed the car that mourning and he always bought a freshener to make it smell like that. I never knew why he liked that smell because I hated it; it always got me sick in that car, but today I didn’t mind because we were going to have a fun time in the Botanical Gardens.   Ã‚  Ã‚  Ã‚  Ã‚  The Botanical Gardens had a parking lot in front but you had to pay to get in. My dad was too cheap to pay, so he just parked it outside th...

Sunday, August 18, 2019

Bayard’s Search for Subjective Truth in Faulkner’s The Unvanquished :: Faulkner’s The Unvanquished Essays

Bayard’s Search for Subjective Truth in Faulkner’s The Unvanquished Unlike Sarty Snopes of â€Å"Barn Burning†, the narrator of The Unvanquished leads a somewhat existential life. Sarty takes an objectively moral stance when abandoning his abusive father. Conversely, Bayard Sartoris is faced with the â€Å"ambiguity and absurdity of the human situation† and is on a search for subjective truth (Kierkegaard). Though he acts on behalf of his family, he does things that he knows can be considered wrong. Additionally, he is asked to believe new information and take in experiences that are foreign to him. For him, it seems that â€Å"existence precedes essence† in his childhood. During this journey, Bayard describes instances in which his apprehension of information is primary, as is his need for empirical evidence. As he is about to run headlong into the first Union regiment that he has ever seen, Bayard observes, â€Å"There is a limit to what a child can accept, assimilate; not to what it can believe because a child can believe anything, given time, but to what it can accept, a limit in time, in the very time which nourishes the believing of the incredible† (66). When he is given visible proof of the Union Army, it is overwhelming. The regiment that he encounters becomes tangible proof of the war. Later in the book, he again reflects on the war. He catalogs the proofs that he has been given — injured and half-starved countrymen — but persists in his existential doubt. He notes, â€Å"So we knew a war existed; we had to believe that, just as we had to believe that the name for the sort of life we had led for the last three years was hardship and suffering. Yet we had no proof of it. In fact, we had even less than no proof; we had had thrust into our faces the very shabby and unavoidable obverse of proof†¦Ã¢â‚¬  (94). Because he has not seen the battles, he has difficulty acknowledging the reality of war. Even as Bayard is faced with the idea of war, he recalls of himself and Ringo that, â€Å"What counted was, what one of us had done or seen that the other had not, and ever since that Christmas I had been ahead of Ringo because I had seen a railroad, a locomotive† (81). In the midst of an already chaotic situation, the childlike fascination with the locomotive is a bit illogical. Bayard’s Search for Subjective Truth in Faulkner’s The Unvanquished :: Faulkner’s The Unvanquished Essays Bayard’s Search for Subjective Truth in Faulkner’s The Unvanquished Unlike Sarty Snopes of â€Å"Barn Burning†, the narrator of The Unvanquished leads a somewhat existential life. Sarty takes an objectively moral stance when abandoning his abusive father. Conversely, Bayard Sartoris is faced with the â€Å"ambiguity and absurdity of the human situation† and is on a search for subjective truth (Kierkegaard). Though he acts on behalf of his family, he does things that he knows can be considered wrong. Additionally, he is asked to believe new information and take in experiences that are foreign to him. For him, it seems that â€Å"existence precedes essence† in his childhood. During this journey, Bayard describes instances in which his apprehension of information is primary, as is his need for empirical evidence. As he is about to run headlong into the first Union regiment that he has ever seen, Bayard observes, â€Å"There is a limit to what a child can accept, assimilate; not to what it can believe because a child can believe anything, given time, but to what it can accept, a limit in time, in the very time which nourishes the believing of the incredible† (66). When he is given visible proof of the Union Army, it is overwhelming. The regiment that he encounters becomes tangible proof of the war. Later in the book, he again reflects on the war. He catalogs the proofs that he has been given — injured and half-starved countrymen — but persists in his existential doubt. He notes, â€Å"So we knew a war existed; we had to believe that, just as we had to believe that the name for the sort of life we had led for the last three years was hardship and suffering. Yet we had no proof of it. In fact, we had even less than no proof; we had had thrust into our faces the very shabby and unavoidable obverse of proof†¦Ã¢â‚¬  (94). Because he has not seen the battles, he has difficulty acknowledging the reality of war. Even as Bayard is faced with the idea of war, he recalls of himself and Ringo that, â€Å"What counted was, what one of us had done or seen that the other had not, and ever since that Christmas I had been ahead of Ringo because I had seen a railroad, a locomotive† (81). In the midst of an already chaotic situation, the childlike fascination with the locomotive is a bit illogical.

Saturday, August 17, 2019

Business partnerships and their benefits to organizations, suppliers, and customers Essay

Introduction A business partnership is an alliance of two or more parties that take on in a business venture in which the earnings and losses are divided equally. The legal description of a partnership business is an alliance of two or more people to collaborate as co-owners of a company for income. The formation of a partnership necessitates a deliberate alliance of parties or businesses that co own the company and aim to conduct it for profit. Partners can shape the partnership by written or verbal agreement. A partnership accord often directs the partners’ dealings with each other and to the company. Each partner has a right to share in the profits of the partnership. Unless the company accord asserts otherwise, associates share profits equally. Additionally, partners must donate equally to joint venture losses except if a partnership accord offers another arrangement. Each partner is also required to participate equally in the management of the partnership. A popular vote settles disagreements involving the administration of the partnership. On the other hand, some choices such as letting in a new partner or force out a partner entail all the partners’ undivided consent. Every partner owes a fiduciary obligation to the firm and to copartners. This duty necessitates that an associate ought to deal with copartners in good faith. It also requires that an associate should report to copartners for any profit that he or she obtains while engaged in partnership business. Each partner also has a responsibility of trustworthiness to the partnership. Unless the copartners assent, a partner’s obligation of loyalty constrains the partner from utilizing partnership assets for personal benefit. It also constrains the partner from rivaling with the partnership, taking on in self-dealing, or seizing partnership opportunities. It is a fact that firms that participates in the business system as partners complement the company and its suppliers, thereby increasing the value to customers. Business partnerships’ benefits to companies, suppliers, and consumers Firms that participate in the business system as partners allow for minimal formalities and regulatory and reporting requirements required in conducting business deals. Although partnerships are governed by statute, the required statutory formalities are few. A concise written partnership agreement is a good investment in almost any circumstance. However, it is not required, and a partnership may be formed by a verbal agreement between two or more people and can be implied by behavior. State statutes vary with regard to partnerships filing requirements and other formalities. The pertinent state statutes must always be reviewed and must be complied with. Most states do not require partnership registration with the secretary of state or other state official before commencing business. However, a certificate of assumed name or similar document is usually required when the partnership will be transacting business under an assumed name, trade name, or fictitious name (Schneeman, 2007, p.73). Minimal formalities ensure that a partnership business is able to do business with its suppliers smoothly without having to jump major hurdles. This saves a lot of time and resources for both the organization and its suppliers (Practicing Law Institute., and United States, 1971, p.47). This smooth operation between the company and its suppliers ensures that the customers are provided with quality services or products in a timely fashion, thus benefiting the organization, its suppliers, and customers. With partnerships, there is participation and flexibility in management. Unless one or more partners waive their rights, every partner has equal power and authority to manage the partnership affair. Partners of smaller partnerships may find this appealing if they have varied backgrounds and areas of expertise, and all wish to participate actively. All partners are allowed to act freely on behalf of the partnership, with few restrictions. Larger partnerships on the other hand are allowed the flexibility of putting the management of the partnership into the hands of the best individual or group of individuals for the job. According to Bradley, firms which participate in the business system as partners are both competitors and collaborates with respect to their suppliers. Participation and flexibility in the management of an organization ensures that only the best suppliers are targeted as partners. For example, British Airways and Singapore Airlines compete for passengers but they played a partnership role in the development of the Airbus superjumbo for which both are major customers. Organizations need to develop partnerships with the best suppliers to leverage their expertise and technologies to create a competitive advantage. Learning how an organization’s suppliers are performing can lead to superior visibility, which can offer prospects for more collaborative involvement in value-added activities. Many organizations are tracking product and services quality, on-time deliveries, customer service efforts and cost-control programs as part of the supplier rating system. This information can be used to develop supplier programs that will improve supply chain management, thus creating more value for consumers. Participation and flexibility in management creates knowledge environments for managers in firms that participate as business partners. Knowledge environments for administrators look like experience environments for clients. Innovations in knowledge environments must reflect the granularity of managerial experiences, just like innovations in experience environments must reflect the depth of consumer experiences. To create more value for consumers, organizations must continually create new knowledge. The opportunities to do so may come from solving a particular problem, for example, reducing the recharge time for a battery pack in a particular cell phone configuration. The opportunity may also come from identifying major emerging opportunities, for example, the explosive growth of market for cell phones in China and India. To make this happen, organizations must create knowledge environments that facilitate the discovery and action in the new competitive space through participation of partners and flexibility in management processes. This creates value for the company, its suppliers, and its customers. Firms in a business system that participate as partners have the added advantage of shared management. A partner will have other partners to rely on to provide expertise in needed areas. Decisions can be made jointly after thorough discussion. This feature of shared decision-making can also be a disadvantage when a quick decision is needed. Partners must consult with each other on significant issues. Partners have the advantage of appointing a certain partner as managers of the business. They can be delegated the authority to make certain decisions by themselves. Shared organizational management by business partners enables purchasing management. This refers to all activities necessary to manage supplier relationships in such a way that their activities are aligned with the company’s overall business strategies and interests. It focuses on structuring and continuously improving purchasing processes within the organization and between the organization and its suppliers. For example, before applying to be a Volvo supplier, an interested supplier must understand and agree on Volvo’s core values. This helps to eliminate any misunderstandings on the quality of products that the company offers. This benefits the company, its selected suppliers and creates value for its customers. In the business system, shared organizational management by firms in a business partnership enables the development of customer loyalty. Customer relationships are built on the basis of trust. Repeat business gets generated only when customers believe their suppliers and perceive them as creating more value. Loyalty is created only when the customer perceives fairness, equity, and transparency in his or her relationship with the seller. This is possible with a shared organizational management by businesses in a partnership agreement because all parties involved create strategies that improve customer relations, ensuring that they remain loyal to the organization. This generates more profits for the organization. Business partnerships require a low cost of organization. There are no minimum requirements for starting a partnership. The startup costs, including any required state filing fees, tend to be lower than those for corporations are. This in itself is a great advantage for small businesses wishing to form business partnerships. Additionally, the low cost of organization ensures that the partnership business has enough resources to conduct numerous transactions with many suppliers. This means that the supply of any needed raw materials is constant. This ensures that the production of goods or services goes on smoothly without hitches. For the company’s consumers, this is a great advantage for them because the production of goods or services will be relatively cheaper. This means that consumers will have access to the products or services at a relatively cheaper price as compared with other organizations, thus benefitting the organization, its suppliers, and customers. In the business system, business partnerships enable the partner organizations to raise capital easily. Because two or more firms contribute financial resources, business partnerships can raise funds more easily for operating expenses and business expansion. The partners’ combined financial strength also increases the firm’s ability to raise funds from outside sources. This ability of a firm to raise capital easily is an advantage for nonfinancial stakeholders such as suppliers, customers, employees, and the community in which the firm operates. They have no direct monetary stake in the company and no direct influence on the firm’s financial policy. This means that they have no decision or voting power. They only have a state in the firm’s financial health. Nonfinancial stakeholders are interested in the firm’s investment options because they can be hurt by its financial difficulties. Specifically, a firm’s capital structure choices can affect nonfinancial stakeholders by affecting the probability of default on their explicit and implicit claims on the firm and by influencing the firm’s production and pricing decisions. Consequently, firms in partnership may be forced implicitly to take the interests of their nonfinancial stakeholders into account in formulating financial policy. The capital structure of a business partnership can serve as a signaling device to these nonfinancial stakeholders and thereby affect their behavior. A firm’s financial condition can affect how suppliers and customers perceive its reliability. Therefore, the ability of a business partnership to raise capital easily from many different sources means that its suppliers and customers trust its ability to make profitable business for all involved parties. This benefits the firm and its suppliers, and consequently, creates value for its customers. Firms participating in the business system as partners combine a variety of diverse skills and expertise. Partners share the responsibilities of managing and operating the business. Combining partner skills to set goals, manage the overall direction of the firm, and solve problems increases the chances for the partnership’s success. Ideal business partnerships bring together people with complementary backgrounds rather than those with similar experience, skills, and talents. This enables the firm to view the diversity of skills in labor as an asset rather than a cost. These are the skills and expertise in employees that contribute to the firm’s level of productivity. With a business partnership therefore, production of goods or services is of a high quality. This benefits the organization and creates worth for its customers, thus leading to its success. Firms that participate in the business system as business partners increase the size of the organization. In businesses, size matters. Corporations that are big enough to control significant shares of sales and profits in one or more industries and enjoy tremendous financial and organizational advantages over small businesses. Financially, large revenue streams mean big budgets, enormous purchasing power, and great bargaining advantage with suppliers of goods and services. Organizationally, the bigness of an organization facilitates the development and application of specialized human and technological resources. Additionally, this enables the organization to determine its future sourcing strategy for every spend category. The organization is able to decide whether to reduce or expand its supply base, and where the suppliers should come from. The company is also able to decide on the type of relationship it would need to pursue with its suppliers. The company is then able to decide on the type of contract it would put in place in its dealings with suppliers. This ensures that the company has a constant supply of raw materials throughout the year. This means that the products and services produced by the company will be of high quality and would meet the consumer demands. This benefits the organization and its suppliers, and creates value for its customers. In the business system, business partnerships lead to reduced price competition. This according to Bradley means that the decisions made by one company affect and are affected by decisions made by other firms. If one company decides to reduce its prices, it will force other companies to do the same. Modern industries remain full of aggressively price-slashing firms. Modern corporate capitalists are compelled by the market to pass the benefits of productivity improvements to customers through price cuts. Failure to do so would mean that rival firms would soon copy an organization’s innovations and lower their prices, thus forcing them to run out of business. Full-fledged price wars are now so anathema that, even in the most competitive industries, corporate wisdom is to try anything and everything before entering into even a single round of unrestrained price-cutting. Corporate capitalism means price inflation. From a corporate capitalist’s perspective, such steady, mild inflation is a good thing. Major firms can bank on being able to charge a bit more for next year’s model than for this year’s and on taking in a bit more revenue for the same output. This is achievable when corporations form partnerships (Dawson, 2003, p.24). The bargaining power of a firm over its suppliers is crucial because it can improve the price, quantity, reliability, and timely delivery of raw materials. The company’s power increases the more the inputs are commodity items and are subject to price competition. The company, rather than the supplier should add the value. For example, a restaurant buys commodity items like vegetables, meat and drinks, all of which are readily available and subject to intense competition. It has power over suppliers and adds the value by processing them into expensive meals. This also creates value for the consumers because the company will have the ability to produce top quality products. Business partners enjoy income tax benefits. The net income or loss of the partnership is passed through to the associates, according to the partnership accord. The partnership is required to file a partnership return form annually with the revenue services in their countries, but no income tax is owed by the partnership itself. Rather, the partnership’s return indicates the income earned by the partnership and allocated to the individual partners. A partnership is not taxable as a separate entity. The partners on income derived from the partnership pay a single tax. Additionally, because the income of the partnership flows through to the individual partners, if the partnership experiences a net loss, each partner’s share of that loss may be written off on the partner’s individual income tax return. Conclusion A business partnership is an association of two or more parties engaged in a business enterprise where all parties involved share the profits and losses equally. This type of association creates benefits for the organizations involved and its suppliers, thereby creating more value for its customers. The minimal formalities required in starting a business partnership enable the company to deal easily with its suppliers without major red tapes. This enables the company to produce products and services in a much quicker way. Partnerships enable flexibility in management. This ensures that only the targeted suppliers are selected for business partnerships. There are many more benefits of businesses joining in partnership as seen from the points above, all of which enable the company to make profits and create value for their customers. References Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Top of Form Baker, H. K., & Martin, G. S. (2011). Capital Structure & Corporate Financing Decisions:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Valuation, Strategy and Risk Analysis for Creating Long-Term Shareholder Value.   Ã‚   Chichester: John Wiley & Sons. Bouchoux, D. E. (2010). Business organizations for paralegals (5th Ed.). New York: Aspen   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Publishers/Wolters Kluwer Law & Business. Bradley, F. (2005). International marketing strategy. New York: FT/Prentice Hall. Business 2.0. (1998). Brisbane, CA: Imagine Media. Campbell, D., Netzer, A., & Center for International Legal Studies. (2009). International joint    ventures. Alphen aan den Rijn, The Netherlands: Kluwer Law International. Coffey, J., & Garrow, V. (2012). Reaping the Benefits of Mergers and Acquisitions. Hoboken:    Taylor & Francis. Dawson, M. (2003). The consumer trap: big business marketing in American life. Urbana:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   University of Illinois Press. Gilmore, S., & Williams, S. (2012). Human resource management. Oxford: Oxford University Press. Gitman, L. J., & McDaniel, C. D. (2008). The future of business: the essentials (3rd ed.). Mason,   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   OH: Thomson South-Western. Gitman, L. J., & McDaniel, C. D. (2009). The future of business: the essentials (4th, student ed.).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Mason, OH: South-Western Cenage Learning. Practising Law Institute., & United States. (1971). The local economic development corporation;   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   legal and financial guidelines. Washington: U.S. Economic Development   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Administration]; for sale by the Supt. of Docs., U.S. Govt. Print. Off. Prahalad, C. K., & Ramaswamy, V. (2005). The future of competition: Co-creating unique value   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   with customers. Boston, Mass: Harvard Business School Press. Saxena, R. (2009). Marketing management. New Delhi: Tata McGraw-Hill. Schneeman, A. (2007). The law of corporations and other business organizations (4th ed.).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Clifton Park, NY: West Legal Studies/Thomson Delmar Learning. Watson, D., & Serious Investor Groups. (2005). Business models: Investing in companies and   Ã‚   sectors with strong competitive advantage. Petersfield [England: Harriman House Pub. Weele, A. J. (2010). Purchasing & supply chain management: Analysis, strategy, planning and practice. Andover: Cengage Learning. Weele, A. J. (2010). Purchasing & supply chain management: Analysis, strategy, planning and practice. Andover: Cengage Learning. Wisner, J. D., Tan, K.-C., & Leong, G. K. (2011). Principles of supply chain management: A   Ã‚  Ã‚   balanced approach. Mason, OH: South-Western. Bottom of Form    Bottom of Form    Bottom of Form    Bottom of Form    Bottom of Form   

Friday, August 16, 2019

Biyaheng Edsa Essay

In February 23, 1986, 2 million of Filipinos gathered 4 days along Epifanio delos Santos Avenue, more popularly known as EDSA, but in 1959 it is called as Highway 54. 25 years later, the multitude still converges on EDSA every day, comprising a vibrant complex entity of society. In 2006, Howie Severino and his I-Witness team walked along the length of EDSA to see what they might learn about how Filipinos have fared in the 20 years since the People Power I. Bago pa nagging rebolusyon, Highway lamang ang EDSAâ€Å", thus Howie Severino’s voice over on his documentary about the former Highway 54, although I watched many episodes of I-Witness and it create a chord that strikes me. I prefer Howie Severino’s â€Å"Biyaheng EDSA†, not only because of its storytelling and technical aspect, but also the significance of our own culture by presenting the People’s Power I and how Filipinos succeed. The documentary starts with Howie at Monumento Circle in Caloocan ask ing different people how to go to EDSA by walking, without mode of transportation. And at Balintawak, where the Katipunan’s Cry of Revolt in 1896, is historically remembered, he sarcastically pointed our concept of freedom by connecting it to our â€Å"Freedom†, he pointed to his documentary on how we erroneously view our freedom, by doing unscrupulous deeds like taking drugs and hurting (each) others and he seriously pointed or tell to the audience, on whether the 1986 People Power is a revolution or just a revolt. Along the way, Howie meet different characters of people including the group of rugby boys, a poet and former political detainee, and a Muslim, whose unsure if EDSA was inclusive of all the Filipino, because the Muslim woman pointed out that in the word Filipino there’s a letter missing which is I so, she say that how we proved the we are Filipino if the word Filipino was not completed. And when Howie arrived at Munoz, he zooms in, the SM City North EDSA, which is the first mall of its kind in the Philippines and touches the prevailing mall culture in our country. And one thing should never forget as they feature on EDSA, because it would not be complete without a take on the MRT, the documentary shows each story that state of their live, as a reflection of the Philippines 20 years after EDSA I. And relay to this documentary from one of the topic on social dimension which is the Chapter III, Intercultural communication, because the documentary â€Å"Biyaheng EDSA† shows the significance of our culture especially in communication because as Howie Severino discussed on how People Power I succeed, I’d notice that even in past, communication is the way or instrument of 2 million Filipinos to won the revolution without (being) blood flowed and weapons that might hurt other because they communicate clearly and they show their wants for the freedom of Philippines even though we have a different beliefs and cultural background still the aim is there we will be successfully won. And as long as we have communication there is no misunderstanding, rivalry and breakdowns. So as our generation pass, we will continuously passing the right communication, because the holistic part of being communicated is to avoid misunderstanding and breakdowns.