Saturday, August 31, 2019

Latin American Religions Essay

What are some major attributes of Latin American Catholicism? Identify and describe at least two distinctions and include how they are distinct from Catholicism elsewhere. The Central American War had changed the priorities of the Catholic Church in Latin America. In the 1980’s, the clergy’s had decided to go against the Catholic Church mainly the Vatican despite the various threats, and began to help the poor which were struggling for their equality and their rights. The Catholic activism was in support of the change; however, it did influence guerilla movements in certain parts of Latin America such as Nicaragua, Salvador, Guatemala. This had introduced moral and spiritual justification. â€Å"Throughout Latin America and the Caribbean, a wing of the church surfaced as a powerful ideological force in the struggle to end authoritarian regimes,† (Meade, T., 2010). In what ways have African religions influenced Latin American Catholicism? â€Å"Latinos are comprised of a great conglomeration of ethnicities, traditions, and customs, which are traditionally, expressed by a common language (Spanish) and religion (Catholocism). For instance, Latin American values and traditions received a great influence from Catholicism and indigenous beliefs. Similarly, African traditions also permeated the Latin American culture, especially in the Caribbean region. This unique syncretism between Catholicism, and indigenous and African traditions allowed the survival of folk traditions, which led to the creation of several healing approaches,† (www.egochicagoschools.com, 2012). Should Latin American Catholicism be considered polytheistic? Why or why not? There are various polytheistic religions that are practiced today. Many of the religions today outside of Catholicism believe in more than one God. However, the Catholics believe in one God and one God only. I do think the Catholicism needs to be consistent meaning the Catholicism that is being practices within Latin American needs to be the same everywhere else. Once others start to deviate from Catholicism then it begins to start a new religion and moves away from the beliefs of the Catholicism. Only the Vatican may assess and make changes within the Catholic Religions. How have churches fostered or hindered social changes in Latin America? After the civil war, Latin Americans had turned to other religions. For over 500 years, many Latin Americans were considered loyal to the Catholic religions. However, it quickly turned to be a stronghold to Protestants. In the Liberation area other religions had developed such as Evangelical and Pentecostal. These religions are very different from the Catholicism. These religions speak in tongue, rely on baptism, accept the Holy Spirit, and emotional rituals. With these new religions developing the social changes in Latin America does provide a much broader outlook on their beliefs. There are various groups or community gatherings within the particular religion. Each religion unites and brings together their faith and social aspects within their own community. How has Protestantism spread in Latin America in the past? Is it different than the factors that are promoting the current growth in Protestantism in this region? How and why? The Protestantism had spread in Latin America in the past due to the fact of various discrepancies within the Catholic Religion. For instance, in 1980’s, the Guatemalan’s had begun to change their beliefs and lean more to the Protestants. This was proven in 2005, when a massive amount of members of the Catholic Church had begun to leave the church as rapid growth. The new leading religion was the Pentecostal church. Many of the new religions were still created by using the Catholic religion as their foundation. Reference: A History of Modern Latin America. 1800 to the Present, Meade, T., 2010 http://ego.thechicagoschool.edu/s/843/index.aspx?sid=843&gid=3&pgid=760

Friday, August 30, 2019

Against abortion essay

Against abortion * Every child is a precious and unique gift from God. We have no right to destroy this * Defenceless baby needs special protection since it cannot stand up for its own rights * The embryo is human from conception with its own DNA. Left alone, it will develop into a person * Children with physical or learning disabilities can lead full and rewarding lives. Aborting people because of disability is like telling disabled people that they are worthless * Abortion is murder – the deliberate taking of a human life * Doctors and nurses promised to save life, not destroy it.Abortion breaks the Hippocratic Oath * The United Nations Convention on the Rights of the Child says that children need protection both before and after birth * Unwanted babies could be adopted. Many childless couples are desperate to adopt * You are killing a human being. She/he may be unborn, but they are still a life and deserve to live that life, whether it is an inconvenience to you or not. * I f you are going to have an abortion and are already planning on keeping it a secret, that shows right there that you would feel bad if people knew you had done this deed.You will feel guilt and just like if you were to kill another person and no one found out, you yourself would know and feel guilt and shame about it. It would tear you apart * What if you were raped and got pregnant? That new life still should be able to live their life. It may be lived through adoption or in a different home, but even though you were wronged, you have no right to kill another person because of this wrong done to you. * My argument is always that there are so many couples that cannot have babies and are broken hearted because of it.So instead of aborting your baby give it up for adoption and to a loving family. It’s not fair to those people who all they want is a baby and then there are all these girls throwing away babies like they are nothing. * If you think you’re responsible enough to have sex and you do, and don’t use protection, then take care of your responsibility, don’t take the easy way out and kill your baby. Plain and simple! * Why would you kill a baby that God has gifted you with?A baby is a beautiful blessing it is a gift of life that you can raise teaches and be there for. Some people don't get that chance. * People use abortions as a quick fix rather than use contraception * Abortions r wrong because people can get rid of a perfectly healthy baby at between 18 and 22 wks at which age a baby can survive * Abortions can leave the person feeling guilty and sometimes even suicidal * If u don't want children use protections rather than killing a baby that has done nothing wrong and has not asked to be conceived.People also use it to get rid of perfectly healthy babies like if a baby has a cleft lip and pallet some people would rather get rid of the baby than deal with a baby that has to have operation. * Abortion is murder. You can alway s put the child up for adoption, but you can never take back that you killed your child you must have some love in your heart not to be a murder. * Why should an innocent new life be punished for someone else's wrong actions? * It's evil! You're killing a life inside you We shouldn’t be able to kill a baby because we can’t take care of it†¦. that’s why we have adoption agencies. * We wouldn’t have liked to be aborted. * Though they are babies they are human and have rights and choices. It’s only fair not to abort them! * Abortion is murder * Abortion puts an innocent child in excruciating pain and then they die. (Just look at pictures of abortion procedures and what the babies look like. They can feel pain. ) * Women die from it * Women become suicidal from it * Women have severe emotional and mental isorder from * It has become a form of birth control for a lot of women who simply don’t want to take birth control, or haven't figured ou t what a damn condom is! * People need to start taking responsibility for their actions (Don't have sex if you can't deal with, or are not financially or emotionally stable for the consequences!!! ) * I don't agree with abortions used for defects in the foetus (Down syndrome ect. ) That is just horrible to take a child's life because it isn't perfect, or will require more attention, boo effing hoo!!You take that risk also by getting pregnant; you have to keep your mind open for things like this!! * Cases I personally would agree with abortion on: If a woman gets raped and gets pregnant (obviously not her decision to lay down and have sex, and obviously not her fault for conception) * Children under 16 who’s parents choose for them to have an abortion because the â€Å"child†, (though they know perfectly well the difference between right and wrong, as well as what condoms and birth control are at this point), is most likely going to leave the baby for their parents to r aise.Thus, since it isn't the parent’s choice to have the baby, then I don't think the child should have it. (Although adoption again would be the right route to go with this) I would also beat the living HELL out of the â€Å"child† and lock them in a room somewhere (personal opinion) * It’s immoral, it’s basically murder!!! What did the baby do to deserve to die!!!!!

Thursday, August 29, 2019

Narrative Exploring. Being an African American Essay

Narrative Exploring. Being an African American - Essay Example I belong to the African American group. As far as my status within the American society is concerned, I belong to the middle class as I am neither poor nor rich. In terms of my religious identity, I am a Christian who has firm belief in God and Jesus. In relation to my existence in the society, I want to be a good citizen as well as a good human being and all the values attached with a good human being are taught to me by my parents and my African American identity. I am fully aware that I live in a society that is multicultural and multilingual in which, people from different lands are accommodated. Being a part of such a society is a privilege in its own self. I am proud to be a part of such a society where I can enjoy equal rights and equal opportunities towards success. In my group, I find quite loving people who try to take care of each other. I am an African American and I am proud of it. Being an African American in my point of view is a blessing as I belong to a land that is regarded Holy by Orthodox Christians because of its being a Custodian of the Holy Ark of the covenant. My origin’s city Lalibela, which is located in Ethiopia, has a wide number of Ethiopian Orthodox Christians.... All those who have adopted this land as their own after leaving Africa are known as African Americans. I have an origin in Ethiopia, which is also called the Horn of Africa. Ethiopia is one of those lands that are not colonized historically. It is land of palm trees, high mountains and lots of sunshine. We have our own traditional dishes, music and gestures to please people such as we prepare a great recipe called injera, which is a sauce made of either meat, ground grains, beans or vegetables with plenty of spices. Similarly, our traditional music is wide in range such as Amharic and Tigrigna music, R and B, pop, mezmur (Gospel), and Hip Hop. We have our own festivals and events to celebrate in which, we feel pleasure to participate. Â   We as a group believe in family life and continue being in families as through this custom of living together, we can share each other’s happiness and worries and we can help our fellow group members as we understand them better than any oth er person belonging to any other group. We love each other and give respect to our fellow group members and all other people around us and we also try to accommodate other people interested to share our experiences and customs. I as a Christian teach my children to be a good Christian by following all the duties of religion and by obeying the commands of the religion. My parents also taught me to be a good human being first and then be a good Christian. I follow my parents’ teaching and have transferred my acquired knowledge to my children. African American origin has enriched my being as a person who is related to people who are caring and loving and who try to help people with their good manners and care. They are usually good Christians and try to follow what is advised

Wednesday, August 28, 2019

Economic Essay Example | Topics and Well Written Essays - 2500 words

Economic - Essay Example 3 2.0 Economic Rationale behind Oligopolistic Behaviour in Banking Sector 4 3.0 Implications of an Oligopolistic Banking Sector on Consumers 7 4.0 Situation with the Australian Banking Sector 9 5.0 Conclusion 9 References 10 1.0 Introduction An oligopolistic market structure is characterised by a few sellers in the market but a large number of buyers. These contending firms are highly interdependent upon each other to strengthen their market status and hence, frame schemes to facilitate the same. Some of the commonest strategies include competition on prices and quantities being marketed by the firms1. In addition to competing with their peers, the firms also assume the role of creating artificial barriers, in the form of hefty license fees, to prevent the entry of potential competitors within the industry to restrict the number of market players. Such artificial regulations might be beneficial for the existing firms in the business though the purchasers always end up at the worse si de of things as lack of ample competition reduces the degree of consumer surplus that they could have enjoyed. The present paper takes up the case of the banking sector and attempts to emphasise the implications of oligopolistic market structure on bank customers. ... king sector to build an oligopolistic market framework; there are special references to empirical evidences from different nations in this regard as well. The third section is an illustration of the implication that an oligopolistic banking sector is likely to have over the residents of a nation. The fourth section depicts the situation in Australia where nationals have been immensely protesting against the oligopolistic banking sector and finally the last section summarises the contents of the entire paper. 2.0 Economic Rationale behind Oligopolistic Behaviour in Banking Sector A few advantages based on the economics of business are the reasons why firms tend to operate as an oligopolistic market. Those very factors could be applied to the banking sector as the reasons why the industry chooses to operate under such environment. Firstly, oligopolistic market structure makes room for economies of scale which associates huge amount of profit with each operating unit, owing to reduced a verage cost of production as the diagram alongside depicts. As the diagram shows, the average cost of production falls with rise in the quantity produced, though this reduction does not continue for very high quantities. The point where the combination of cost and quantity to be produced is found to be the optimal, i.e., highest production at the lowest cost, is the chosen one by the sellers. In the above diagram, this point coincides with E1 where the quantity to be produced is Q1 and the associated average cost is the lowest at AC1. This is one of the reasons why the larger existing firms restrict new entrants from moving into the industry. The smaller firms in the industry are often acquired by the larger to clear their path towards experiencing economies of scale. This in fact had been

Tuesday, August 27, 2019

Slobodan Miloevic Trial Case Study Example | Topics and Well Written Essays - 1250 words

Slobodan Miloevic Trial - Case Study Example The main reason for this persecution was cultural and religious hatred: most Albanians are traditionally Muslims and most Serbs are traditionally Eastern Orthodox. In 1997, Milosevic was elected president of the Federal Republic of Yugoslavia (FRY) and on February 1998 he launched an attack on Kosovo. The crimes committed were numerous - involving 3 countries and 8 years - and severe including genocide, war crimes, and crimes against humanity, breaches to the Geneva Conventions, something the international community was not ready to tolerate any more. Thus, after these crimes, the trial arrived; a trial that had been belated due to Milosevic's illness. The complications of enforcing the Tribunal jurisdiction in Kosovo had been acknowledge as being within the sovereign territory of the new Yugoslavia (Wortzel (1999):380). However, the ICTY is considered a subsidiary organ of the UN, and the legal basis for the Security's Council power to establish the Tribunal is set out in article 39, Chapter VII of the Charter of the UN, that empowers the Security Council to take actions to maintain and restore international peace and security (Wortzel (1999):381). Also, this Chapter allows a tribunal to exercise primacy without the consent of the State. Another justification is the principle of universal jurisdiction where some crimes are so offensive as to give all states jurisdiction over the accused. Likewise, the Statute for the ICTY (art. 1) is clear as to the Tribunal's geographic and temporal jurisdiction stating that it "shall have the power to prosecute persons responsible for serious violations of international humanitarian law committ ed in the territory of the former Yugoslavia since 1991 in accordance with the provisions of the Statute." Milosevic was charged with several counts. The crimes were alleged to have occurred in Kosovo, Croatia, and Bosnia and Herzegovina between the years 1991 and 1999. The main accusations consisted of widespread killing, removing non- Serbs from territories of Kosovo, Croatia and Bosnia, detention of civilians, deportation of forcible transfer of civilians, torture, extermination of detainees through starvation, providing contaminated water and inadequate medical care, requiring forced labor and committing constant physical and psychological assault, and destruction of their homes as well as cultural and historical institutions and monuments. He was accused under command responsibility for planning, instigating, ordering, aiding to commit these crimes. Under this doctrine he could be held criminal responsible if he had an effective command position, knew or had reasons to know that his subordinated were committing these crimes or were about to it and did not take reasonable measures or actions to prevent such acts and to punish the perpetrators. Furthermore, he was accused for being the co-perpetrator in a joint criminal enterprise. Under these doctrines International Criminal Law permits that an accused could be held criminally responsible even if he did not issue the orders. Accordingly, there were 3 indictments. The first one is the Kosovo indictment where Milosevic as President of the FRY, Supreme Commander of the Yugoslavian Army (VJ), President of the Supreme Defense Council and

Monday, August 26, 2019

Expert and pedagogical content knowledge Essay Example | Topics and Well Written Essays - 2750 words

Expert and pedagogical content knowledge - Essay Example One may gather this kind of knowledge through a training specific to that field through the assimilation of intense theoretical and practical assessment and methods. Pedagogical content knowledge was described by Shulman (1987a) as the combination of content and pedagogy into the comprehension of how certain topics, issues, or problems are structured, characterized and modified to the varied concerns and abilities of learners for instruction. This is the knowledge on how to teach the subject matter to beginners. Example of pedagogical content knowledge is the information on organizational framework that may serve as effective aid for individuals who want to learn the basics of organizational psychology. Basically, both expert and pedagogical knowledge is important in teaching. Without expert knowledge, the instructor would not have a strong foundation and would have low credibility for teaching a specific field. If he doesn't have the knowledge to teach the subject matter then, it would not also be effective. There had been a shift on the focus of learning from the teacher to the student (Angelo, 1997). Another distinction made was that teacher-centered mode of instruction is more content-driven while learner-centered instruction is learning process-driven (Cuseo, n.d.). Santrock (2003) came up with the principles of learner-centered instruction. One of his principles was goals of learning. He explains that goal setting helps student learning. This is in connection to motivation which can come from external factors such as the teachers and the environment and could also come from the person himself with his realization of important matters. Both of these will lead to the formation of a goal. When I was in the fourth grade, I was beginning to be aware of some of my classmates' academic excellence. I just thought of striving to make it to the honors list in order to know the feeling of being there. That was also when I got my first set of encyclopedia. I studied everyday reading every page of the encyclopedia. I was determined to perfect my tests and was actively participating in class. I became recognized in class and gained attention from my teachers. This started my participation in other extra-curricular activities. I got what I wanted and made it to the honors list. I became a consistent honor student until high school. That became my foundation and the experience itself acts as my present motivation. Using technology in the educational environment Classroom instruction has become easier and more efficient with the advent of technology. Present modes of teaching have utilized technology for audio and visual enhancement. For the visual aspect, instructors have used over-head projectors in the past and at present power point presentations are the most commonly used. Studies show that verbal instruction coupled with visual presentation yields more positive learning results as compared to receiving verbal instructions alone. This mode of presentation enables the instructor to prepare for the lecture in advance. This can also increase attention rates of students because of clear and organized lectures. These presentations can also be transferred, printed and uploaded to the internet so that the information can be

Sunday, August 25, 2019

Effects of oil spillage to the Dalian population Annotated Bibliography

Effects of oil spillage to the Dalian population - Annotated Bibliography Example The effects of the disaster were detrimental in that ports operations were disrupted as millions of gallons of oil spilled destroying several structures. With such disasters, it is imperative to focus on the effects that face the people and the environment in order to develop mechanisms of preventing and controlling them if they take place. In addition, such findings tend to foster disaster preparedness in the future. Besides, the concerned parties and stakeholders needs to have a clear picture of effects of such disasters before developing mechanisms of dealing with them in the future. This article articulates on the effects of trade on the environment. Specifically, the author focused on two Chinese cities, Shenyang and Dalian. Its theoretical approach underpins the connection between trade and environment. Conversely, the article examines effects of global economic integration and how the major actors respond to environmental policies as well as assessing ways of minimizing the environmental risks involved as a result of trade. The article findings indicate that strengthening of environmental institutions as well as economic openness plays a part in domestic environmental policies. For instance, Shin pointed out that the government orders Shenyang smelter to shut its doors after it was discovered that the plant excessively polluted the air, which was considered risky for the people living in the local area. Several policies including â€Å"if an enterprise does not eliminate pollution, pollution will eliminate the enterprise† were put in place. The study of the article utilized the framework of the environmental Kuznets curve (EKC) to study how different countries in Asia handle environmental issues.

Saturday, August 24, 2019

Contemporary Human Resourse Management Research Essay - 1

Contemporary Human Resourse Management Research - Essay Example The HRM balances the needs of the organization with the realities of the internal and the external environment (Docstoc, n.d.). These have to be aligned with the strategic goals of the organization. Thus, the HR specialists have a critical role in formulating the policies as the external business environment changes. Elements of the external environment The external environment or the macro-environment, in which an industry operates, is beyond the control of the organization. These elements exist outside the boundary of the organization but they have significant influence over the growth and development of the organization. The external environment comprises of the demographics, political, social, economical, technological, environmental and legal environment, in addition to the competition in the industry in which the firm operates. All of these impact organizational performance and the HR policies too could contribute in enhancing performance. However, not all external factors chan ge during a single planning period. There may be high levels of uncertainty in certain factors and these may need to be dealt with separately. The organization has to amend its policies and structure to cope with the changing business environment. ... In the auto industry the age, skills and education impact the availability of human resources. Besides, as the older employees retire and the availability of human resources is becoming scarce in the UK and the US, the automobile organizations have adopted the flexible approach. Since flexible working has caught up in the industry Volkswagen has responded by allowing its full and part-time employees flextime, job sharing, and telecommuting (Roney, 2007). As employees phase into retirement the organization gives its retirees work opportunities. They are offered part-time work, temporary assignments in consulting as well as telecommuting in addition to part-time work. Toyota too recognizes that an organization has to be flexible enough to adjust to changes specially the changes demanded as a result of fluctuations in demand (TMUK, n.d.). They thus work together in cooperation with all members of the organization to achieve maximum efficiency. To cope with the external challenges and th e demographic changes, Toyota also implements mobility of members between work roles which helps in maximizing the utilization of the company’s resources and facilities. The flexible approach is applicable even to those that do not normally work on the production line or in ancillary areas. Training is an area which helps maintain and improve both member and organizational performance. Training is thus directed in improving skills to meet the job requirements. On-the-job training enables the members to acquire different skills which help in movement and rotation within responsibilities. Declining birth rates and the retirement of the older generation is leaving

Friday, August 23, 2019

The Adventist Church National City Concert Report Research Paper

The Adventist Church National City Concert Report - Research Paper Example The concert was governed by a program, which, in my view, presented the event as become the most interesting. There were various items on the program, but were all characterized by intercessions of songs and plays. In particular, a story was told before a song followed. In my view, this aspect of intercession was meant to address audience boredom; hence, making the concert to be particularly interesting.Perhaps, one of the unique aspects of the concert was that its program featured a Midsummer night’s dream, which was recited production by F.Mendelssohn, which was based on the Shakespearean play. In this regard, there might also have been no interesting bit of the concert other than the music brought with it the history live on stage. The concert was attended by many people across various groups, including the interested locals and the tourists. The Midsummer night Dream featured Grossmont Symphony Orchestra, as well as the women of the Grossmont Master Chorale. Randal Tweed w as the music director, but also featured Darron Devillez, Bonin Zackary, Albert Bolina, Andra Nagby, Denise MaMillan, as some main actors, actress and soprano team. These are the figures the figures that are argued as the Most-attend-when-playing. Another interesting bit in the concert presentation is the fact that customs were highly highlighted. The presentation was that which took the audience to the life in the medieval societies, documenting the differences in the customs in the current world and the gone days.

Legal Research on the Preclusion by the Federal Law of the United Article

Legal Research on the Preclusion by the Federal Law of the United States of Formation of Legal Systems affecting Individuals - Article Example While mostly all the laws are embedded with the inherent responsibility of the protection of the rights of the individuals who are the citizens of the countries concerned, they are framed in such a way that they take as their matter of concern only a group of individuals. This also gives rise to thoughts about the role of the states in providing the legal frame work. Even from the ancient times of civilization, the role of the state has always been primary when designing and applying a specific legal framework and there had been no instances where the law makers had framed legal provisions that apply only to specific persons or the individuals involved. But it cannot be denied that the subsequent interpretations of the legal provisions had made various legal provisions favorable or unfavorable to individuals depending on the circumstances of the individual cases. But those situations could only be attributed to the lacunae in the legislations or the clever and efficient interpretations of the provisions put forth by the lawyers and the opinions of the judges formed on the basis of such interpretations and arguments. But still the world had witnessed intensive debates over the intervention of the state in the formulation of the legal framework that affected individuals voluntarily or involuntarily. A classic example of such an instance can be cited in the case of Schiavo1 in which all the academics, scholars, journalists, columnists and whoever can write or say something irrespective of their depth of knowledge vehemently debated the changes made by the Federal Laws only to affect the life of an individual in Schiavo. With this background I intend to present this paper on the ability of a country like United States to handle the Bills of Attainder or the legal framework made to control the acts or deeds, commissions or omissions of an individual. I also present though a series of researched materials, whether the Country was effective in doing so. I intend further to present to the readers a comprehensive theory on the same issue, as being handled in other developed nations like United Kingdom and Japan. The paper also makes known to the reader the impact of the legal framework on the lives of the individuals in a country like Russia where the State till recently had backed communist views that concern more about the individuals and the community more. Though many similarities can be found between the legislative frameworks of United States and the United Kingdom, I chose these two countries for comparison to show the differences in the approaches of the countries' legal systems in the protection of the individual citizens. In a similar way I presumed that the legislations in Russia once being a communist country should deal differently with the issue of the laws affecting individuals and hence the research on Russian legal

Thursday, August 22, 2019

TV Al Hijrah Essay Example for Free

TV Al Hijrah Essay Malaysia was one of the earliest British colonies to operate a radio broadcasting service. However, the British government did not show much interest in radio in its early stage of development (Asiah Sarji, 1994). Amateurs electric companies, telecommunication personnel, and radio enthusiasts were among those who started the ball rolling. In 1921 A.L Birch, the chief electrical engineer of the Johor state government, experimented with a Peto Scott type of wireless set obtained from overseas (Malay Mail July 30 1921). In 1923 he formed the Johor Wireless Society, which triggered the formation of nearly one dozen radio societies throughout Malaya. News music and songs from the phonograms were among the first programmed broadcast. The first radio station was established not in Singapore but in Kuala Lumpur. It was the up-country gathering point for rubber estate workers and tin mines and also the capital of the Federated Malay States. It was an unofficial and an amateur radio club, which organized plans to create a local service. Although experimental broadcasts of the Singapore amateur group had begun earlier, the Kuala Lumpur operation was more successful. The Kuala Lumpur Amateur Wireless Society started experimental work in November 1929 and officially commenced its regular broadcast service at 6.30 pm with â€Å"tea dance music from the Selangor Club†. A talk on the activities of the radio club was also transmitted that night. For this and subsequent broadcast, the group was allowed the use of the Post and Telegraph Department transmitter located at Petaling Hill. The station had been constructed in 1928 and then rebuilt the following year to make it permanent installation. This was the central sta tion in the Malayan telegraphic network, but the amateurs managed to convert it to operate telephonically so that voices and music as well as Morse code could be transmitted. In 1931 the Kuala Lumpur Amateur Radio Society (KLARS) acquired its own transmitter a crystal controlled â€Å"Marconi S3A† through government channels and begun using it in May 1931. The chief enhancement afforded by the new equipment was that it operated on shortwave. By functioning on much higher frequencies, the transmitter could provide signals to cover the full length of the peninsula, parts of the Netherlands East Indies and Borneo, even though its power was only 180 watts. The post and Telegraphs Department of the Federated Malay States (FMS) was responsible once again for providing the new equipment to the amateurs, and it volunteered to â€Å"render any assistance to the society†. The selection of the exact wavelength was debated upon by the members, but in the end 75 meter band (4 MHz) was chosen as best for reception for the whole country. After two years of operation, the station shifted to 48.92 meter band or 6.125 MHz In 1933 more permanence was given to the amateurs when they were allocated space to construct a studio next to the transmitting room at Petaling Hill. The broadcasting facilities came in handy for the Japanese during their occupation of three years and eight months. They used broadcasting for propaganda. After the Japanese surrender, the British military administration took charge of broadcasting. On April 1, 1946, the day the Malayan Union came, the governments setup the Department of Broadcasting or Radio Malaya (Glattbach Balakrishnan, 1978: Sarji 1994). The sole function of broadcasting until the country independence in 1957 was to help the government to control the social and political confusion that followed the war and the communist of 1948. [pic] Radio Television Malaysia (RTM) first introduced black and white TV on December 28, 1963. The opening was done by the Prime Minister Tuanku Abdul Rahman at 6pm and the first person who appear on the TV Screen was 9M2RI ( Raja Iskandar) with the establishment of one TV network, Saluran 5 TV Malaysia which operated from its temporary studio in Dewan Tuanku Abdul Rahman in Jalan Ampang Kuala Lumpur. At that time the transmission was from 6.00pm to 9.00pm on the week days and on weekends from 6.00pm to 11.00pm. Initially its area of coverage was confined only to the capital city. Then, later between 1964 and 1965, the nation witnessed the greater expansion of TV transmitters. Finally on October 6, 1969 broadcast operations in the nation’s capital moved to its present site Angkasapuri. Six days later radio and TV broadcasting operations were officially merged and kept under the purview of the Malaysian Information Department on November 17, 1969, RTM started its second network. In 1969 channel 2 was launched and in 1978 color TV was introduced. Despite the rapid development of broadcast in West Malaysia, East Malaysia received their first broadcasting programmed in 1971 (Sabah) and 1975 (Sarawak). The first private commercial broadcasting station was established in June 1983 by System Television Malaysia Berhad and was name as TV3. This was the decade of privatization. It all began with the shifting to new administration from the former Prime Minister Tun Hussein Onn’s to the new administration of Tun Dr. Mahathir Mohamad. This new administration’s firm belief in privatization sped up the establishment of many private broadcasting stations. TV AL HIJRAH In 622, Muhammad SA faces stiff opposition Quraish tribe in Mecca. He then left the last Mecca to Medina. Prophet Muhammads migration from Mecca to Medina to be the beginning of a very significant history in Islam and thus marked the beginning of one of Muharram in the Islamic calendar. Hijrah means to move. This event is a very big impact. Al Hijrah connotation grow and not purely calendar Prophets pilgrimage, but also extended to any change towards betterment. Hence TV Al Hijrah intends to play the role of a TV for the society continued to change towards betterment. Al Hijrah TV is proud to be a form of broadcasting Islamic content to maintain high standards in the published programs, even high pioneered digital stations (HD) in the local broadcasting industry. TV Al Hijrah is a state-owned free-to-air television network in Malaysia, which is owned and operated by Al Hijrah Media Corporation, a government owned company. It broadcasts from its headquarters in Pusat Islam, Kuala Lumpur. On 16 September 2009, the first Islamic television station in Malaysia, Al Hijrah TV show as a marker of a new era in the broadcasting industry in Malaysia. The primary purpose of this station is to provide a platform TV to educate, entertain and unite the community. Content is appropriate for all ages, for Muslim and non-Muslim audience. The main demographic targeted at young audiences and groups less than 40 years. As the first Islamic TV stations to introduce Islam as a lifestyle, TV Al Hijrah play an important role as a platform for sharing knowledge, information and thoughts to share with Muslims of all walks viewers. TV Al Hijrah offer fresh content and programs that meet the needs of the present audience. Each of content researched and developed not only to attract the attention of the audience through the creative publication, but especially the Islamic current tastes. Most important of all content published on the values ​​of Islam which is anchored to honesty, openness and progressive. TV Al Hijrah has strictly adhered to the teachings and principles of Islam, at the same time respecting the local culture and tradition is not against religion, while adhering to the moral and universal values. They also celebrate knowledge and innovative ideas as well as respect for diversity of views. Prioritize unity and seek solutions through knowledge and information. Quran and Hadith as the main reference which for promoting idea of ​​comparative paradigm capable of lifting, absorption of new technologies especially in the field of broadcasting. It was also offering innovation in multi-platform for media and new media.

Wednesday, August 21, 2019

Waste Management Practices Of Mcdonalds Environmental Sciences Essay

Waste Management Practices Of Mcdonalds Environmental Sciences Essay McDonalds is one of the largest and most well known global fast food restaurants. Ray Kroc is the founder of the company in the year 1955. The company has been operating for 55 years and has 32000 restaurants chain in more than 117 countries. More than 75% of McDonalds worldwide outlets are operated by franchisees or affiliates (Our Company 2010). There are 1.5 million employees worldwide working to serve 50 million worldwide customers each day (McDonalds Restaurants Ltd, 2006). Over the many years, millions of people have patronage McDonalds because it is a trusted name with proven service. In returning that loyalty, McDonalds have an obligation to give back to the community (SOCIAL RESPONSIBILITY, 2010). McDonalds supports Ronald McDonald House Charities (RMHC), animal welfare, food safety and environment (SOCIAL RESPONSIBILITY, 2010). This essay shall examine how McDonalds has performed in the relation to the environment particularly waste management practices. The public of the current age are concerned about the amount of packaging and food waste produced by McDonalds restaurants (Better Packaging with McDonalds, 2009). A survey conducted by Keep Britain Tidy that about 29% of the litter waste on the Britain Street was come from the McDonalds restaurant (Gray, L 2009). Therefore, one of the best solutions taken by McDonalds is manage the waste through waste management practices, which is involving in reduction, reuse, recycling and disposal (Better Packaging with McDonalds, 2009). As one of the largest fast food restaurants worldwide, McDonalds has become an environment leader. Hence, McDonalds is determined to analyze every aspect of their business on their impact on the environment and according to the analysis and seek effective ways to enhance the environment. McDonalds is hoping to survive and stay in a cle an environment where the air, water and the earth are clean and as well build an environment sound world to the future generation (). McDonalds has done a variety of different as compared to the past and current performance. In the past, McDonalds used the polystyrene foam as packaging food. Many environmentalists dislike polystyrene foam because the production of foam will release out the chlorofluorocarbon, which can damage the atmosphere. The foam also to take long time to break down, if at all, in landfills, which is where most of it winds up because there are relatively few recycling centers ( ). Besides, McDonalds was required 46 grams of packaging in average meal- a Big Mac, fries and a shake in year 1970 (Case A: McDonalds Environmental Strategy, 1995). In addition, there was no industrial scale recycling before (Rose, 2009). Furthermore, McDonalds did not practice the exercise of converting the waste into energy. Nowadays, McDonalds has found many alternative ways to enhance the environment performance in term of the waste management practices. Firstly, McDonalds has replaced the polystyrene foam by the using paper based-wraps in order to reduce the waste volume in the waste management process (Better Packaging with McDonalds, 2009). The replacement is because of consumers demand and heeding counsel of environmental groups (Liddle, A 1990). McDonalds major markets, about 83% of the packaging used for food, beverages and other consumer purposes is made of some form of paper (McDonalds Worldwide Corporate Responsibility Report, 2006). Another is the reduced amount of material used in each item of packaging (our environment, 2008). Thirdly, McDonalds recycles packaging waste and recycles used cooking oil in waste management practices (Recycling in the restaurant Focusing on operational opportunities, 2010). Fourthly, proper disposal waste programs are been carried out to manage the food waste o nce the McDonalds cannot reduce, reuse and recycle the waste (our environment, 2008). Recent year, McDonald in UK has a trial tested out an alternative method of disposal, which by converting the food waste to energy (Managing the impacts of the leftovers, 2010). David  Fairhurst, senior vice president for McDonalds UK Northern Europe said that the converting waste to energy is encouraging that has already reduced the environmental impact in the area by 48% and significant step on achieving zero waste to landfill (Thomas, D 2009) Currently, McDonalds brings a lot impact upon the society and stakeholder. McDonalds replaces the foam to paper wraps, which make up 70% to 90% reduction in sandwich packaging volume (Better Packaging with McDonalds, 2009). Besides, McDonalds also reduce the amount of material used in the packaging, which indicate less raw material use and thus less solid waste produce (our environment, 2008). For example, in 2005, McDonalds redesigned the inside of North American fry boxes, which make up more than 1,100 tons packaging waste saved per year (McDonalds Worldwide Corporate Responsibility Report, 2006). Furthermore, McDonalds in Unite State has recycled over 17 tons of corrugate cardboard per year (Recycling in the restaurant Focusing on operational opportunities 2010). Corrugate cardboard represent around 30% of the total restaurant waste and as result of recycling, divert the amount of waste from landfills. McDonalds has an aim of achieving to recycle 100% of their corrugated cardboard (our environment, 2008). By the way, about 10% of the total restaurant wastes come from the used cooking oil and McDonalds has converted into biodiesel (our environment, 2008). McDonalds in United State has recycled approximately 13,000 pounds of used cooking oil per year. Currently, more than 80% of the used oil in Europe has transformed into biodiesel (Recycling in the restaurant Focusing on operational opportunities 2010). As a result, it is stopped the used cooking oil from send to landfills. (Please consolidate and present it in a more systematic way.) In addition, the trial of converting the waste to energy has been successfully reduction 54% percent of carbon emission as audited by the Carbon Trust (Brass, E 2009). The amount of waste save from landfill could be 65 tones if the restaurants continue implement this disposal. For the energy generate from the waste provide enough heat and electricity to the building (Managing the impacts of the leftovers, 2010). For instance, in UK the energy generate from the food waste, which able to power the 22 million light bulbs to community (Brass, E 2009). Now let focus on the advantages and disadvantages of McDonald practices in the waste management. The major advantage through the waste management practices is reduced the greenhouse gas emission. Methane especially one of the greenhouse gases which mostly generate by the landfills operation and bring harmful effects to the environment and human health. Therefore, the key factor success of lower down the gases emission is driven by the greater recycle wastes, increased amount of waste recovery and incineration combined with energy production (Improved waste management delivering climate benefits, 2008). Another advantage of the waste management practices is generated a livable environment to society (Waste Disposal Methods Advantages and Disadvantages n.d.). It is because people can exist and live in a comfort environment with free of waste. . (are there any scholarly proof to support this statement?) is to help to reduce the amount of waste. Through the waste management practices, Mc Donalds has send less waste to landfill and ultimately less waste occupy the landfill However, there are some disadvantages of the waste management practices. The major disadvantage is contaminated the environment (Waste Disposal Methods Advantages and Disadvantages n.d.). The utilities of papers as packaging especially are unfriendly to the environment in the waste management practice. It is because there will increase the environment impact in production of paper packaging item. An analysis conducted by the Franklin Associates, an independent environmental research firm that the production between polystyrene foam and paper toward the environment impact. The result show that the manufacturing of paper containers especially make up 46 percent more air pollution, 42 percent more water pollution and 75 percent more industrial waste than that of plastic. Made predominantly of air, paper requires 30 percent more energy to produce than foam (Eckhardt, A 1998). Therefore, the using of paper actually leads the pollution occur. Consequently, global warming especially occurs once the pollution getting severe and serious. Besides, the disadvantage of the waste management practices is influence the people health. The process of convert the waste to energy need go through the incineration, which may emit the harmful gases into the environment that hazardous to residents health, as the emission smoke is invisible and smelly. Undoubtedly, it brings the negative impact to s ociety (Krishna, G 2006). As conclusion, the waste management practices should be adopted to manage the waste in order to provide the healthy and clean environment to the society. The social performance of McDonalds in relation to the environment has tremendously contributed. Even though the elimination of waste from the fast food restaurants is impossible, some effective and efficiency of alternative methods should also seek in order to reduce and prevent the waste from being engulfed the earth. If the large fast food company like McDonalds does not control the waste produce from the restaurant and save the planet, people will surely perish themselves one day.

Tuesday, August 20, 2019

Combined Pulmonary Fibrosis and Emphysema (CPFE)

Combined Pulmonary Fibrosis and Emphysema (CPFE) Ong Wei Jun Dan The Causes, Consequences and Differences Between Pulmonary Fibrosis or Emphysema Alone   Abstract Combined pulmonary fibrosis and emphysema (CPFE) is a complicated disease and untreated disease which consists of two diseases. It is difficult for respiratory therapists or respiratory physicians to differentiate between CPFE versus idiopathic pulmonary fibrosis (IPF)/emphysema alone. There is an increased recognition of the coexistence of emphysema and pulmonary fibrosis in individuals. The association of two diseases results in chronic dyspnea, upper-lobe emphysema and lower lobe fibrosis, and severely diminished diffusion of gas exchange with preserved lung volumes. CPFE is also frequently complicated by pulmonary hypertension, lung injury and even lung cancer. This causes CPFE patients to feel have a low quality of life and a low 10-year survival rate. Currently, there are no known treatments for CPFE patients with the exception of lung transplantation. Thus, clinical evaluations are needed to differentiate between chronic obstructive pulmonary disease (COPD) and pulmonary fibro sis, and to recognize that CPFE is a unique entity by looking at the difference in radiological, pathological and metabolism features in order to find better treatment for CPFE. Introduction About 11 million Americans have Chronic Pulmonary Obstructive Disease (COPD) and out of these, most are diagnosed with pulmonary emphysema. The etiology of emphysema found that 80% of cases are caused by cigarette smoking, which causes alveolar membranes to break down, creating huge alveoli (called blebs) that lesser surface area and weaker walls than normal alveoli. This causes the low perfusion of oxygen due to decrease in surface area. In addition, approximately 50,000 new cases of Idiopathic Pulmonary Fibrosis (IPF) are diagnosed each year.   IPF is a restrictive respiratory disease, and it is the most common of the idiopathic lung diseases. IPF causes thickening of the alveolar capillary membrane, which results in minimal gas exchange between the alveolar and the blood capillaries. Both diseases lead to the decreased efficacy of oxygen delivery. CPFE is a combination of both IPF and emphysema. However, it is usually treated as IPF and ignored or excluded in the diagnosis of emphysema.   COPD and pulmonary fibrosis have different pathologies, metabolic pathways and radiological characteristics, and were therefore regarded as separate entities for a very long time. However, in recent years, there is some recognition of the coexistence of pulmonary fibrosis and emphysema in patients. As such, it is very important to know the differences between CPFE versus emphysema or pulmonary fibrosis alone in order to find a treatment or prevent the patients conditions from further deteriorating. In the following years, studies had shown that CPFE patients have a coincidental occurrence of early emphysema and at later age of IPF, especially for smokers with many pack years.1   However, in recent studies there is a correlation between the occurrence of the combination between lower lobe pulmonary fibrosis and upper lobe emphysema. These two diseases have been observed coexisting in greater frequencies which are therefore called combined pulmonary fibrosis and emphysema (CPFE) and there is a need to distinguish them as distinct entities. There are some studies taking place to better understand the pathophysiology of the condition and find the possible causes of CPFE such as genetic factors or any biological metabolism pathways which may encourage its development. CPFE is normally caused by heavy smoking, exercise hypoxemia, upper lobe emphysema and lower lobe pulmonary fibrosis, unexpected lung volume and severe reduction of carbon monoxide transfer.2 Whether the combination of both emphysema and pulmonary fibrosis is a unique clinical entity still remains unknown. For some of the population in the medical community, it is a coincidental occurrence of two smoking-related diseases on one person, versus the coexistence of the similarities of COPD and lung cancer. However, many different studies have shown and suggested that interstitial lung abnormalities, which are normally caused by IPF, have are inversely related to emphysema in smokers. In fact, based on the chest X-Ray images, most patients who have many pack years with IPF do not have any signs of having emphysema. Similarly, most patients who have emphysema do not have any signs of IPF in their chest X-Ray. Hence, the combination of both pulmonary fibrosis and emphysema may be a direct result of heavy smoking or many pack years which reflects the uniqueness in individual susceptibilities. Even though medical professionals tend to use chest X-Rays for any respiratory distress, as it is inexpensive and considered a fast diagnostic tool, it is unable to properly diagnose the CPFE syndrome. Another alternative would be to use High-Resolution Chest Computed Tomography (HRCT), which is the only tool to diagnose the syndrome. The CPFE syndrome consists of heterogeneous syndromes, in which syndromes differ from one individual to another and resulting in no actual definition of the syndrome for CPFE. This makes it difficult to diagnose CPFE with the current pulmonary function test, as CPFE patient results look similar to those of patients diagnosed with pneumonia. From past research and observations, CPFE is frequently complicated with pulmonary hypertension, acute lung injury and the possibility of lung cancer, resulting in very poor prognoses. Treatments for CPFE patients with severe pulmonary hypertension have not been found and have largely proven ineffective in curing the disease apart from a wholesale lung transplant. The identification of patients with CPFE is needed due to the uniqueness and complication of the diseases history. Since CPFE has not yet attracted the attention of researchers and healthcare practitioners, there have not been many studies focused on finding the differences between pulmonary fibrosis, emphysema and CPFE. Currently, there is no consistent way to differentiate the factors, signs and syndromes when diagnosing CPFE patients from other obstructive respiratory diseases. This has resulted in many medical practitioners failing to immediately recognize CPFE in patients diagnoses. Population distribution of Emphysema, IPF and CPFE The prevalence of the disease emphysema was reported to be at about 24.5 per 1,000 in America, while the prevalence of IPF varied from 14 to 42.7 cases per 100,000. Therefore, emphysema is a more common disease as compared to IPF. However, there are no studies that account for the prevalence of CPFE. Some of the reported observations show that the proportion of patients with CPFE detected on HRCT scans range from 8% to 51% in IPF patients. On the other hand, the proportion of pulmonary fibrosis found in patients with emphysema is less than 10% using the HRCT. This variation of proportion of prevalence in CPFE may be due to the different types and complications arising from the diagnosis of emphysema when evaluated by chest X-Ray and HRCT. Patients with CPFE tend to be older men who tend to have many pack years of smoking. Previous studies have shown that there is no significant difference when varying the number of pack years against the occurrence of COPD such as emphysema and CPFE. However, patients with CPFE and those with COPD usually have a long history of smoking as compared to patients with IPF.   Many studies have reported that male have higher prevalence then female in having respiratory disease syndrome, and could be due to men tending to have more pack years as compared to females. It may also be due to the genes of men which predispose them to succumbing to COPD or CPFE. Even though both IPF and emphysema have proven to be more common in male smokers than female smokers, it does not necessarily mean that gender plays an important risk factor in the contraction of CPFE. More studies are needed to determine how gender differences affect this syndrome. Pathology pathway of CPFE Till now, there are no conclusive findings for pathogenies of CPFE. There are no clear conclusions on the development of CPFE, whether emphysema and or pulmonary fibrosis progress independently or whether there are synergistic qualities between the two. There may be some mechanisms involving cytokines, beta receptors or signaling pathways which have not been discovered. Thus, both pulmonary fibrosis and emphysema may tend to occur in genetic susceptibility individuals with from exposure to environmental factors such as smoking or occupational hazard and chemicals. Case Study of a CPFE patient (Occupational exposure) A case study journal report on a male patient aged 73 years old in 2015 gives one of the more detailed analysis of Microscopic Polyangiitis (MPA), a disease that precedes by CPFE. The patient worked as a metalworker and had 25 pack years. He was admitted to the hospital due to progressive dry coughing and he was later diagnosed with CPFE. He eventually died due to complications from CPFE, which resulted in severe pneumococcal pneumonia with acute lung injury. His arterial blood gas result was normal with a fairly abnormal range in his pulmonary function test (PFT). There were clear signs of emphysema and IPF from his CT scan and Chest X-Ray (Kyoko Gocho, 2015). MPA is a systemic necrotizing vasculitis of small vessels associated with numerous types of antibodies in particular myeloperoxidase- antineutrophil cytoplasmic antibody (MPO-ANCA). Oxidation induced by MPO-ANCA may trigger pulmonary fibrosis due to alveolar hemorrhage, resulting in pulmonary capillaritis (an inflammation of p ulmonary capillary). This causes pulmonary fibrosis as the alveolar capillary wall thickens (Kagiyama, 2015) Correlation of smoking with CPFE patients A common etiology factor for CPFE is smoking. Tobacco smoke contains 4000 chemical substances, including Kaolinite or aluminum silicate, an organic industrial material. Studies show that inhalation of this organic industrial substance will result in hyperactive macrophages, which in turn will lead to respiratory bronchiolitis and emphysema (King, 2005). Currently, there are no studies for the association of tobacco smoking resulting in IPF, other factors such as environmental factors in genetically-predisposition individuals may play a key role in resulting IPF. The association between CPFE and lung cancer may reflect the susceptibility linked to long term smoking which causes chronic smoking-induced inflammation. These were done on several other studies on the relationship between emphysemaand IPF.3,4 Pathological findings (Diagnostic Imaging) Patients who have acute respiratory distress syndrome such as COPD, pulmonary fibrosis or even CPFE, will tend to have more difficulty breathing due to the use of accessory muscles and the need to constantly supply supplemental oxygen to meet the oxygen level demanded by the body. For some of the patients, a high flow of oxygen is required (flow rate of more than 60L/min) to meet their inspiratory demand. Patients with CPFE have a confused and undetermined ventilation/ perfusion ratio due to emphysema causing low perfusion and IPF having low ventilation. This results in both ventilation of oxygen to the alveoli and perfusion of capillaries to be diminished, leading to dead space and shunt. Emphysema results in the reduction of alveoli-capillary surface membrane by forming a bleb that causes air-trapping, whereas pulmonary fibrosis scars the alveolis tissue, creating a shunt that causes ventilation of the oxygen to the alveoli to be inefficient, resulting in the patients body tissue b eing unable to get a sufficient amount of oxygen. Other remarkable syndromes found in COPD patients are chronic cough and sputum production in volume greater than one shot full glass due to inflammation of bronchi and impairment of the mucociliary clearance, presumably due to the effects of smoking. Patients with IPF may show progressive shortness of breath, loud expiratory wheezing sounds and if the condition is worse cyanosis may appear on the patient. CPFE from previous clinical studies shows that it is similar to IPF. On close physical examination, by doing chest auscultation, it was found that more than 80% of CPFE patients will emit inspiratory dry crackles sounds due to the underlying pulmonary fibrosis. About 40 to 50% will have digit clubbing and poor capillary refill. As of now, there is no consistent definition for CPFE. However, it is very important to diagnose it early. Diagnostic criteria for CPFE include radiological findings by using either chest X-Ray or HRCT these images will appear as upper-lobe emphysema with fibrosis like blebs, lower-lobe honeycombing with subpleural reticular opacities, thick wall cystic lesions, and sometimes ground glass opacities.2 Table 1: Comparison of clinical characteristics difference between CPFE, emphysema and IPF patients group (measures of Framingham variables) CPFE IPF Emphysema p-value Sample size 22 8 17 Age (in years) Median 73.5 74 78 0.7 Range 59-96 56-89 48-86 Number of pack years Median 64 43 75 0.64 Range 20-50 30-80 15-65 Table 2: Comparison of clinical characteristics difference between CPFE, emphysema and IPF patients group (Pulmonary Function Test) CPFE IPF Emphysema p-value Vital capacity 2.52 ±0.72 2.34 ±0.86 2.85 ±0.61 0.52 Vital capcity (%) 83.1 ±22.1 68.0 ±27.7 87.0 ±12.4 0.29 FEV1 2.01 ±0.19 1.60 ±0.24 1.57 ±0.22 0.28 FEV1/FVC(%) 76.8 ±3.31 81.8 ±4.45 55.6 ±4.06 70%, this results being emphysema to be ignored or overlooked. Physician, healthcare workers and respiratory therapists should be aware of its existence. More autopsies should be recognized such as thick-walled cystic lesion and idiopathic interstitial pneumonia should be recognized as both of these can be found in CPFE patients but are seldom found in emphysema/IPF alone patients. A deeper understanding of the pathophysiology is needed for CPFE and the factors that causes the syndrome of CPFE should be explored further with more clinical studies so as to develop effective treatments or therapeutic strategies for CPFE patients. References       Hiwatari H., S. S. (1993). Pulmonary emphysema followed by pulmonary fibrosis of undetermined cause. Respiration, 60(6). Cottin V., H. N. (2005). Combined pulmonary fibrosis and emphysema: a distinct underrecognised entity. European Respiratory Journal, 26(4). Kaplan R. M. (2015). Quality of Well-being Outcomes in the National Emphysema Treatment Trial. Chest Journal, 147(2). Kagiyama C., N. T. (2015). Antineutrophil cytoplasmic antibody-positive conversion and microscopic polyangiitis development in patients with idiopathic pulmonary fibrosis. BMJ Open Respiratory Research, 2(1). Inomata M., A. M. (2013). An autopsy study of combined pulmonary fibrosis and emphysema: correlations among clinical, radiological, and pathological features. BMC Pulmonary Medicine, 104(14). King, C. G. (2005). COPD: a dust-induced disease? Chest Journal, 128(4). Kyoko G. (2015). Microscopic polyangiitis preceded by combined pulmonary fibrosis and emphysema. Respiratory Medicine Case Reports, 10(2). Papaioannou A. I., E. A. (2016). Combined pulmonary fibrosis and emphysema: The many aspects of a cohabitation contract. Respiratory Medicine, 117(10). 9.  Ã‚   Portill K., J. M. (2011). Combined Pulmonary Fibrosis and Emphysema Syndrome: A New Phenotype within the Spectrum of Smoking-Related Interstitial Lung Disease. Pulmonary Medicine , 2012(1).

Monday, August 19, 2019

Southwestern Ohio Steel Company Essay -- Business Ohio Steel Company E

Southwestern Ohio Steel Company Southwestern Ohio Steel Limited Partnership (SOSLP) was considered to be one of the industry leaders in technology and service. SOSLP sells to approximately 500 customers, twenty five of which produces about two-thirds of the company's sales. Dan Wilson, vice president of sales at SOSLP, had recently received a letter from Matworks requesting SOSLP to provide sponsorship for an upcoming Matworks annual sales meeting. Dan needed to decide if providing sponsorship was feasible keeping in mind that Matworks had been a long standing customer of SOSLP while also knowing that gifts were no longer a custom in the steel industry.   Ã‚  Ã‚  Ã‚  Ã‚  Wilson should not offer to sponsor the annual sales meeting as this would not comply with company and industry situations.   Ã‚  Ã‚  Ã‚  Ã‚  In earlier days, ?wining and dining? the customer had been a part of the steel industry and adjusted as a cost of doing business. But recently government regulations had restricted this method of doing business and now ?buying? business was just not a part of the industry. Sponsoring the annual sales meeting does not comply with the present business ethics and SOSLP could risk hurting their image and losing respect in the marketplace. Matworks at one time had been one of SOSLP?s best customers and bought almost exclusively from the company. Over the past few years they had run into financial trouble and thus were not buying as much. They had gone from being in the top ten best cus...

Sunday, August 18, 2019

George Orwells Shooting an Elephant Essay -- essays papers

George Orwells Shooting an Elephant In George Orwell's essay "Shooting An Elephant," he writes about racial prejudice. Orwell is a British officer in Burma. The author is, "for the Burmese and all against their oppressors, the British"(842). Orwell feels caught in the middle of this cultural struggle. He sympathizes with the oppressed people of India, but is treated poorly, since he is viewed as one of the oppressors. He comes to terms with the role he plays in this vicious cycle of oppression , as an imperial servant, and the influence it has on him to shoot an elephant. The Burmese people are treated as second class citizens in their own country. They are oppressed, by the British empire, that has invaded their land. Being a police officer Orwell sees ...

term limits in congress :: essays research papers

THESIS:  Ã‚  Ã‚  Ã‚  Ã‚  Term limits for Congress will disrupt the balance and can make the taxpayers very unhappy. SUPPORTING DETAILS: 1)  Ã‚  Ã‚  Ã‚  Ã‚  Too many new, inexperienced members can hurt voters, as rookie legislators find it hard to navigate the bureaucracy. 2)  Ã‚  Ã‚  Ã‚  Ã‚  Term limits will force out well respected politicians. 3)  Ã‚  Ã‚  Ã‚  Ã‚  It will take away the voters’ right to choose their politicians. 4)  Ã‚  Ã‚  Ã‚  Ã‚  Long term politicians will have â€Å"good behavior† in order to ensure their reelection. 5)  Ã‚  Ã‚  Ã‚  Ã‚  The more experienced the politician, the better they will handle the peoples’ affairs. There were many things that I had to go through to complete this assignment. As with anything that you do, you will need to work hard to overcome obstacles, some which may be more difficult than others. Everyone has their own way of dealing with dilemmas. This assignment was a definite dilemma for me. Politics is by far the worst subject for me. I tend to get very lost when it comes to this. This is definitely an area I need to work on. I had to read many articles in order to form an opinion on this matter. Even after all the reading I still had trouble deciding on a side to take. I had to question myself many times to get the right take on it for myself. It was difficult but it seems that I have managed to come up with a good argument. Questioning is a great strategy for me to use. This has helped me out very much in this particular assignment. The argument could have really gone either way, but questioning myself helped make the decision much easier. Brainstorming or listing is another helpful tool that everyone should use. This has helped me form my supporting details. It is easier to sit down and rack your brain and list all the points than it is to just free-write all your ideas. Free-writing can sometimes be a jumbled mess.

Saturday, August 17, 2019

Planning Document

PLANNING DOCUMENT Planning Document HRM 517 – Managing Human Resource Projects Planning Document Construct a project charter to revamp the compensation and benefits package. The overall goal and strategy of the XYZ Company is to align its total compensation and benefits plan to the financial and operational results of the Corporation and the Business Unit.Alignment of variable compensation to performance is essential to ensure that the supervisory team and identified sole contributors share in the prosperity of the Company when our goals and objectives are exceeded and does not expect or receive variable compensation in those years where failed to meet our key business targets It is essential that each participant in the Supervisory Variable Compensation Plan (SVCP) has a clear understanding of the plan, understands the parameters and guidelines by which SVCP is paid and that a key component is utilizing â€Å"ACTUAL† overall financial and operational year end results.T he Supervisory Variable Compensation Plan (SVRP) is designed to establish the participation, criteria and the process by where variable compensation will or will not be paid out to those individuals who have been identified as participants in the plan and have made a contribution to the financial and operational results of the Business Unit. The following guidelines have been defined to assure that the SVRP is administered fairly and within the parameters required to protect the financial integrity of the Corporation. 1.SVRP payout is based on actual fiscal year financial and operational performance. 2. SVRP will be paid out on an annual basis. 3. Actual payouts are based on individual performance to defined objectives and targets from each qualified participant. 4. Objectives and targets will be established for each participant prior to the beginning of each fiscal year. Objectives and targets will be weighted based on importance. 5. Objectives and targets can be adjusted during th e year to reflect changing Business Unit performance or priorities. 6.A mid-year performance review with each participant with their respective manager is required and performance to date against objectives and targets should be reviewed. Mid- year reviews are to be documented and placed in the participants personnel file with a copy to the participant. 7. SVRP payouts will only be paid to participants who are on staff at fiscal year-end. 8. SVRP payouts are paid on final results achieved for each objective using the weighting established for each target. 9. All payouts will require the approval of two levels of management.In order to qualify for a payout under the Supervisory Variable Compensation Plan the following criteria must be met: 1. Eligibility – Identified first level supervisors, managers and individual contributors in the business units. Eligibility to participate in the plan will start after a 90 day probationary period for new hires. 2. Managers must have been i n the position a minimum of 6 months and performing at a â€Å"fully satisfactory† level. 3. All managers must have a completed Job Performance Evaluations (JPE) for their respective teams.Copies of the JPE must be on file with a copy sent to Human Resources. 4. Meet or exceed performance objectives and targets established at the beginning of the fiscal year. 5. Managers who are on an hourly rate will not qualify for the Supervisory Variable Compensation Plan. 6. For managers who do not have a full year of service will have the SVCP will be pro-rated for the year. SVCP Timeline: ? October 1, 2012 – Business Unit Objectives established ? November 1, 2012 – Individual Performance Plans developed ? May 2013 – Mid Year reviews ? November 2013 – Year End Final Results November 2013 – Final SVCP Calculations completed and submitted for approval ? December 2013 – SVCP payouts [pic] Incentive Plan Calculation Participants will have the opport unity to earn an SVRP payout of 20% of their base salary. The payout will be based on the participant’s performance to their individual objectives and the weighting assigned to each objective. [pic] Design a communication plan for the project. The project's communication plan will consist of the reasons why XYZ Company should revamp their compensation and benefits plan.The purpose of the change will help with productivity as well as seeking more customers within each business unit. It is important that all stakeholders understand why the company should make changes to enhance the business. The managers will see this change as a plus for them since it will include giving them a bonus based on productivity within their business unit. The compensation plan will allow room for hourly and salaried managers to receive incentive pay and this will also help them during performance review for advancement opportunities.The communication plan will include email, conference calls, meetin gs, and voice calls to push our compensation plan and get the information out to the managers. Furthermore; we will hold monthly training sessions for all managers to ensure they are receiving the correct information and training to be successful with this plan. Finally; we will have a Q session which will allow everyone to bring their issues and questions to the table every month.These sessions will help the stakeholders understand what concerns the managers may have or what they may need assistance with to obtain their goals. Define the scope of the project. In order for the plan to be a success there are a few things each business will have to focus on. One of the important factors include errors, if employees are making consistent errors at the customer sites this will cause issues with XYZ Company and the customer. As a team, all will have to determine if all the objectives have been met to include error free installations, and A1 customer service.As a company we have to do it right the first time because there is not guarantee that we will have a second time to correct it. Another important factor is safety, we have to maintain a minimum amount of preventable accidents on a monthly basis. To ensure that we are remaining in compliance, we will have to enforce our safety policy and place sanctions on those who are violating the company policies. Create a work breakdown structure including numbered components. Submit your WBS by creating a table inside your assignment. |Level |WBSCode |Element Name | |1 |1 |Compensation/Benefits Plan | |2 |1. 1 |Initiate Compensation Plan | |3 |1. 1. 1 |Evaluation & Make Recommendations | |3 |1. 1. |Develop Plan | |3 |1. 1. 3 |Present Compensation Plan to Stakeholders | |3 |1. 1. 4 |Stakeholders Review Plan | |3 |1. 1. 5 |Compensation Planned Approved | |2 |1. |Plan for next steps | |3 |1. 2. 1 |Create Scope Statement | |3 |1. 2. 2 |Organize and Select Compensation Team | |3 |1. 2. 3 |Compensation Team Meeting | |3 |1. . 4 |Develop Compensation Plan | |3 |1. 2. 5 |Submit Compensation Plan to Stakeholders | |3 |1. 2. 6 |Milestone: Compensation Plan Approval | |2 |1. 3 |Execution Plan |

Friday, August 16, 2019

Natural disaster risk assessment and risk management

Disasters have occurred in the world over for many years. They have occurred both in MDCs and LDCs. These disasters have either been caused by human forces or natural forces or interaction of both natural and human forces. When they occur they cause serious challenges and consequences to the economies of affected areas or countries. It’s estimated that the world looses over 750 dollars annually as a result of disaster. In most cases, the phenomenon that triggers disasters is beyond human control. In general the loses that causes natural disasters are largely a function of human factors which are human decisions, human actions and human choices or sometimes lack of these. Before I go into specifying a specific human disaster threat, it is important to exactly know what a disaster is or what it means. A disaster means misfortunes or calamities. It can also be termed as an incident of great harm and distress. It’s a serious disruption of functions of society causing widespread human, material or environmental loses that exceed the ability of the affected society to cope using its own resources. In this case, I am going to specifically dwell on earthquake as a natural disaster and its threats. Earthquake is a tremor caused by the disturbance of the earth surface. When it happens it causes great destruction economically, socially and even psychologically to the people living around. Because earthquakes are natural disasters, human have no control over them and this can explain why naturally occurring disasters have serious impact on human society. They only leave human beings with the option of reducing their impacts when they occur. As I have mentioned before, disaster is a result of human force, natural force or a combination of both; management for these disasters have been put in place. Disaster management simply is a body of policy and administrative decisions and operational activities which pertain to various stages of a disaster at all levels. So disaster management body has to come up with personnel and facilities dealing with earthquakes. The personnel includes both the administrative, individuals and community actions who try to minimize loss of lives or/and damage of facilities. This they do through disaster preparedness includes efforts for effective rescue of people involved in the earthquake disaster, relief and also rehabilitation and reconstruction of destroyed materials like buildings. The administration, individuals and community also engage in disaster mitigation which encompasses all measures to reduce the impact the earthquake disaster phenomenon by improving the community’s ability o withstand the impact of the earthquake. This they do through the prevention, preparedness and real response of earthquake disaster during or after which includes relief, rehabilitation and reconstruction. Earthquake disaster will definitely leave behind vulnerable people who are prone to it again incase it occurs again. To be vulnerable is to live with a likelihood that one will suffer from hazardous events. In the society, some people are more vulnerable than others. The nearness to hazardous places the more the consequence one will face. Earlier, earthquake disasters have established that natural hazards are a cause of vulnerability to disasters. People who live or work in certain areas are prone to disasters that may occur to such areas. This means that humans living or working in certain areas make themselves vulnerable to earthquakes disaster, for example if they live in areas of volcanic activities then they are prone to earthquakes or earth movements respectively. Vulnerability is simply reduced to zero by people not living in affected areas. Scientists, technologists and engineers have attempted to predict hazardous events and development of technologies that can enable human structures to withstand earthquakes. The assumption has been that events are acts of nature that cannot be prevented but rather there are possibilities of reducing their consequences. As a result of this, technologies and materials for building and construction for example have been developed so that they can withstand earthquakes or earth movements. In spite of many games in the scientific and technological process to control vulnerability to earthquake disasters people continue to be injured, die and loss of property. One reason for this is because many earthquake disasters predictions and other mitigative technology are costly and individuals and communities are either unwilling or unable to afford them. The costs tend to set criteria for deciding on what mitigation methods to use under various circumstances.   So according to this view, although vulnerability is a cost, vulnerability reduction is itself costly. As I mentioned before, disaster does not choose specific people and the nearer one gets to it or lives near it the more vulnerable he or she becomes. Earthquakes disasters do not choose the poor or the rich but it affects anyone or everyone. So earthquake or earth movement disasters impose a varied number of consequences on the humans, animals, physical and environmental aspects. These consequences can be in view of the time period of a disaster that is either short term, mid term or long term. To UNECLAC, effects of disasters are short term consequences of disaster that comprise of direct damage,, indirect damages and secondary effect. Impacts comprise of economic, social, psychological and environmental impacts. These are mainly long term consequences of disasters. The worst case scenario that determines the degree of risk is whereby disaster occurs because people who are vulnerable simply do not know when the disaster may occur, what protection measures to take and these coupled with negative attitudes towards use of certain measures. This increases human suffering from disastrous situation. A good example here is a case where by simple earth tremors or movements occur frequently leaving   people with a normal assumption that such have been happening and that have never had effect on them. This will definitely make everyone to take such scenarios for granted not knowing that one day the tremor can turn out to be an earthquake. When it turns to be earthquake, it will find everyone unaware and hence will end up affecting the majority. The fact that disaster can happen anywhere and anytime, everyone should be prepared. Earthquakes disasters are categorized as either simple, Meagre or complex. What one society can look at as a simple earthquake disaster can be perceived as complex earthquake disaster by another society. Some disasters are also seen as rapid while others seen as slow. I may say that most earthquakes disasters can be considered as initially slow or creeping because mostly they begin as earth movement or tremors before ending up as earthquakes which are considered to being rapid. Earthquakes are as a result of natural forces or an interaction of human and natural hence they are beyond human control thus the society should be prepared on how they can be mitigated however much costly it may be. People should also be prepared because of the damages the earth quakes cause whether partial or complete destructions of physical infrastructure like buildings, people, communication networks, machineries, etc.   They can be indirect damages that the damage to the flow of goods and services that can neither be produced nor distributed when a disaster occurs. Indirect damages are of four folds namely; increased population costs, increased damages, loss of corporate incomes and unexpected expenditures. In conclusion, earthquake disasters neither belong to the rich or poor but to everyone. This means it can affect everyone as long as one lives on the earth’s surface. References www.redcross.com

Thursday, August 15, 2019

Victorian Literature: Anglo-American Feminism, French Feminism

ssignment Title: ‘Compare and Assess at least two of the following approaches in feminist theory, with illustration from two of the Victorian texts you have studied: Anglo-American feminism; French Feminism; Socialist or Marxist Feminism; feminist approaches influenced by Foucault. ‘ ‘I declare that this is my own work and that I have followed the code of academic good conduct and have sought, where necessary, advice and guidance in the proper presentation of my work. ‘ Signature: Date: Compare and Assess at least two of the following approaches in feminist theory, with illustration from two of the Victorian texts you have studied: Anglo-American Feminism; French Feminism; Socialist or Marxist Feminism; Feminist Approaches influenced by Foucault. ‘ Feminist theory like psychoanalytic theory is relatively modern in its creation. The immergence of feminist literary theories can be linked to the out break of female political uprising in the early nineteenth century. The French Revolution marked the beginning of a fight for the obtaining of women's rights to power and equality in society. Elaine Showalter comments that the ideological socially acceptable view of Victorian women as a whole can be seen as ‘†¦ prescribed a woman who would be a Perfect Lady, an Angel in the House, contently submissive to men, but strong in inner purity and religiosity, queen in her own realm of the Home. (Victorian Women's Poets, Page 13) Feminist theory is segregated into separate view points of feminism as a whole; French Feminism analyses literature from a perspective of a psychoanalytic view, drawing upon the work of Lacan to highlight view points. It helps to analyse the ways in which women are positioned in society in the text and how they can be perceived to be repressed. Marxist Feminism takes its inspiration from how the women can be perceived to be oppressed in literature. American feminism analyses literature from a textual expressive view point. All feminist out looks have their issues which provide flaws into their argument. ‘To be sure, most feminist thinkers today assume that nurture, at the very least, qualifies nature. Recently, however, a number of poststructuralist theorists – deploying both male and female signatures – have claimed that there is no gendered â€Å"reality,† that the concepts of â€Å"man† and â€Å"woman† are, as some would put it, â€Å"always already† fictive since human identity is itself a tenuous, textually produced epiphenomenon. ‘ (No Man's Land. Pagexv). Wuthering Heights by Emily Bronti provided feminist critics with a canvas of a examples of marginally autobiographical Victorian gynocentrism. The production of text from a woman, looking at the emphasis placed on the female place in the history of the text, the structural placing of women and the thematic view of women in the text. Sandra Gilbert and Susan Gubar argue that women writers such as Emily Bronti had been trapped into the roles that society has manipulated, as they were trapped against the patriarchal view of the angel of the house. However even thought there is a desire for this view to be usurped, Bronte still curtails herself to society's expectations by debilitating and eventually killing off of the strong rebellious charcter of Catherine, emphasising her own fear of what the female form in which she was writing. Gilbert and Gubar's reading of Wuthering Heights classes it as a ‘A bible of Hell. ‘ (Gilbert, S & Gubar, S. Mad woman in the attic) The classification of Wuthering heights as a living hell is created in type by the Byronic hero of Heathcliff. Although Gilbert and Gubar look into the curtailment of women being confined to the house, trapped into submission by domesticity, Wuthering Heights provides Catherine with her own sense of control where she can break social confinements. Yet Catherine chooses to be confined by domesticity and social patriarchy by marrying Edgar Linton. Bronte does however portray the confusion Catherine feels in making her choice between what she desires and what is socially expected; You love Mr Edgar because he is handsome, and young, and cheerful, and rich and loves you. The last, however, goes for nothing – You would love him without that, probably, and with it, you wouldn't, unless he possessed the four former attractions. ‘ (Wuthering Heights, Page 119)Through the use of the second generation Cathy, Bronte allows the correction from cultural to natural choice to be made via the successful relationship between Cathy and Hareton. Kristeva comments on the text ‘presses the linguistic sign to its limits, the semiotic is fluid, plural, a kind of pleasurable creative excess over precise meaning and it takes sadistic delight in destroying or negating such signs. ‘ (Literary Theory: an introduction). The dual nature of narration in the novel serves thematic purposes, in that both provide commentary on the role of women in society. The feminist nature of the novel can be seen through Lockwood's comments on the success of Nelly's narrative story telling. Bronte manipulates the Victorian view that women have innate frailty and makes a parody out if the view by portraying Catherine's illness as a strength in which she is manipulating those around her through Nelly's perception; ‘I wasted no condolences on miss, nor any expostulations on my mistress, not did I pay attention to the sighs of my master, who yearned to hear his lady's name, since he might not hear her voice. ‘ (Wuthering Heights, Page 158) Catherine's subsequent illness shows itself in the form of a disillusioned madness. Bronte's use of this madness is to offer clarity to the social structure that the very cultural expectations of Catherine are the things that cause the feared wild nature to develop; ‘This feather was picked up from the heath, the bird was shot – we saw its nest in the winter, full of little skeletons. Heathcliff set a trap over it, and the old ones dare not come. I made him promise he'd never shoot a lapwing, after that, and he didn't. Yes, here are more! Did he shoot my lapwings, Nelly? Are they red, any of them? Let me look. (Wuthering Heights, Page 160) Gilbert and Gubar view Catherine's imprisonment in Thrushcross Grange as the reason for her being trapped into a feminine madness; ‘Imprisonment leads to madness, solipsism, paralysis †¦ Starvation – both in the modern sense of malnutrition and the archaic Miltonic sense of freezing (‘to starve in ice') – leads to weakness, immobility and death. (Rylance, Page 253) Catherine's embracing of Victorian societal views that kept her from being with Heathcliff. Included in these views are the expectations of women. It is important to note because the awareness of social standing and gender in this example prevent true love prevailing. Bronte also argues that Catherine's inability to resist social ambition is reflective of the oppressive power of the social structure of the Victorian society. Bronte feminises Lockwood by giving him the typically female characteristic of frailty, according to Beth Newman ‘Lockwood's supine passivity (he is bed ridden during most of her narrative) suggests that he is in the â€Å"feminine† position with respect to Nelly's controlling gaze. (Gender, Narration and Gaze in Wuthering Heights, Page 1034). Emily Bronte portrays Hareton as a model man who does not fear women but does not repress them either, this is marked through his not hiding away from Cathy's advances; â€Å"Helene Cixous has written that the Medusa who has terrorized the male subject, looked at â€Å"straight on,† is actually â€Å"beautiful†¦ and †¦ Laughing† Bronte has uncannily anticipated Cixous's analysis of the masculine fear of the woman's gaze in suggesting that Hareton, alone among the male characters in the novel, is able to laugh back. (Gender, Narration and Gaze in Wuthering Heights, Page 1037). The splitting and fragmentation of Catherine's feminine desire through the lack of a stable identity, she is Catherine Earnshaw, Catherine Heathcliff and Catherine Linton at the same time. The theme of heaven and hell is prevalent most through Heath cliff's representation as a satanic wild figure that should be feared. Bronte links Heathcliff to the wildness of nature through his name; he becomes one with the heath surrounding the heights. Catherine expresses her own desire to be associated with Heathcliff through â€Å"If I were in Heaven, Nelly, I should be extremely miserable. ‘ ‘Because you are not fit to go there,' I answered. ‘All sinners would be miserable in heaven. ‘†¦ ‘I was only going to say that heaven did not seem to be my home; and it broke my heart with weeping to come back to earth; and the angels were so angry that they flung me out, into the middle of the heath on the top of Wuthering Heights, where I woke sobbing for joy. ‘ (Wuthering Heights, Page 121) Bronte uses the binary opposition to emphasise Catherine's ideal of Heaven being Heathcliff. Yet due to the confinement of social expectation Catherine turns her back on Heaven and places herself in the Hell that is Thrushcross Grange causing a fragmented version of herself to become her existence. Kristeva comments on Wuthering Heights lack of ability to have a simplistic narrative form, there is a use of multiple genres to create the complex binary oppositions. The use of the re-emergence of the choice between patriarchy and desire through Cathy has the object of; ‘articulating the mother-child relation as a site for both affirm the archaic force of the pre-oedipal, which although repressed is thus also preserved. Both affirm the fluid, polymorphous perverse status of libidinal drives and both evoke a series of sites of bodily pleasure capable of resisting the demands of the symbolic order. ‘ (Jacques Lacan; A feminist Introduction, Page 149) ‘Thus, although Wuthering Heights ends in cosy domesticity, the gaps in its enunciation express a feminist resistance to the patriarchal order in which its story partially acquiesces: for the narrative undercuts the condition of its own telling even while implicating them in specular economy that fetishizes and appropriates women. ‘ (Gender, Narration and Gaze in Wuthering Heights, Page 1039) Christina Rossetti's Goblin Market expresses the frustrations from enforced female passivity, articulating bitterness about being the second sex, and the limitations on female potential; this is evident through out the poem, culminating as two women become what Victorian patriarchy predetermines, wives and mothers. Goblin Market shows women in social relations, in market economies in literary history and women in sexual economics. Elizabeth Helsinger explains that Goblin Market is ‘A feminist utopia based on sisterhood against male domination and ‘the male' market or a legitimating of separate spheres? Victorian studies, 1991). Goblin Market allows Rossetti the opportunity to escape the archaic patriarchy and create a fantasy realm. Rossetti allows Lizzie and Laura an insight into the male commodities of male utopia that is the market place, and how to successfully regain equal control. ‘This is a morally nonsense poem, which puts religious myth and sexual temptation into a market economy which is endlessly unstable. ‘ (Victorian Women's Poets, Page 138). Rossetti's creation of sisterly solidarity gives a feminine outlook; ‘Hug me, kiss me, suck my juices Squeezed from goblin fruits for you, Goblin pulp and Goblin Dew. Eat me, drink me, love me; For your sake I have braved the glen And had to do with goblin merchant men. ‘ (A Choice of Christina Rossetti's verse, Page 16). ‘The sexual suggestiveness of ‘Goblin Market' has undoubtedly made it a compelling work for feminist readers concerned with what constitutes a distinctly female imagination. ‘ (‘A Music of Thine own. ‘ Victorian Womens Poets, Page 50). â€Å"Goblin Market', the title poem of Christina Rossetti's first volume, is the questioning feminine discourse it masks. ‘ (‘A Music of Thine own': Womens Poetry. Victorian Womens Poets, Page 49) Rossetti's representation of sexuality is not in the names or images she finds but in the structure of the whole poem with its repeated tasting. ‘ (‘A Music of Thine own': Womens Poetry. Victorian Womens Poets, Page 49) In many respects Goblin Market is directly contradictory to many nineteenth century views about the role of the woman poet. Mary Ann Stoddart, 1842, defines the sphere of the poetess as: â€Å"All that is beautiful in form, delicate in sentiment, graceful in action will form the peculiar province of the gentle powers of women†. Goblin Market can be said to have none of these qualities. This metrical indulgence, gives Goblin Market a sensual art for art's sake, which is usually reserved for male poets, making this offering to the public by a poetess incompatible with Victorian notions of female poetic beauty Laura performs a familiar role in literary history – that of the fallen Eve. She relinquishes herself to the sexual temptation offered by the evil goblin men. Her sin is compounded by prostitution in selling a lock of her hair in return for the fruits. This can be viewed as an act of rape; the goblins cut her hair for payment, when, at the time, a woman's hair was a somewhat sacred thing. The fallen woman is a common figure in literature, however, because she comes from the creative mind of a female poet the representation comes to have a few problems in its interpretation. Yet still, Laura receives her salvation, from her sin of eating the fruit, through the self-sacrificing actions of her sister. Lizzie plays the male role of redemption. While Rossetti can be viewed in opposition to the Victorian ideals of female creativity, there is an inherent conservatism in her work that creates problems with the idea of her being a truly radical or feminist writer. Unlike the other Pre-Raphaelite poets, Rossetti does not embrace atheism, but rather adheres to a strict Anglo-Catholic faith â€Å"Goblin Market' is Christina Rossetti's most remarkable long poem. She was also a writer of consummate lyrics. What can be called the feminine discourse which respondes to the aesthetics of expression and repression overflow and barrier, in ‘Goblin Market', is also at work in her short poems. ‘ (‘A music of thine own':Womens Poetry, Victorian Womens Poets, Page 54). Through both of the texts analyzed it is important to notice that as Showalter states that it is in fact, â€Å"female imagination' cannot be treated by literary historians as a romantic or Freudian abstraction. It is the product of a delicate network of influences operating in a time, and it must be analyzed as it expresses itself, in language and in a fixed arrangement of words on a page, a form that itself is subject to a network of influences and conventions, including the operations of the marketplace. ‘ (Victorian Women's Poets, Page 12) Both Emily Bronte and Christina Rossetti were classed as typically romantic Victorian women's writers. However this view is highly problematic as both women try to break the curtailments of Victorian archaic patriarchy in their work, constantly testing and pushing the boundaries of female authorship; ‘Romance fiction deals above all with the doubts and delights of heterosexuality, an institution which feminism has seen as problematic from the start. In thinking about this ‘problem' I myself have found the psychoanalytic framework most useful since it suggests that the acquisition of gendered subjectivity is a process, a movement towards the social ‘self' , fraught with conflicts and never fully achieved. Moreover, psychoanalysis takes the question of pleasure seriously, both in its relation to gender and in its understanding of fictions as fantasies, as the explorations and productions of desires which may be excess of the socially possible or acceptable. It gives us ways into the discussion of popular culture which can avoid the traps of moralism or dictatorship. ‘ (Romance Fiction, Female sexuality and class. Page 142)