Saturday, August 31, 2019

History of Accounting

Accounting has a history that is usually discussed in terms of one seminal event- the invention and dissemination of the double entry bookkeeping processes. Paul Garner and Atsuo Tsuji (1995) report that the first printed treatise of bookkeeping in the world is the Summa de Arithemetica, Geometria, Proportioni et Proportionalita written by Luca Pacioli. The treatise was published in Venice in 1494, and was reprinted at Toscolano in 1523. This work is one of the most important books on mathematics and has had an enormous impact on the field of accounting ever since. The Treatise 11 of Section 9 of this book – that is, â€Å"particulars de Coputis et Scripturis,† is a treatise about double entry bookkeeping. The system of bookkeeping that Luca Pacioli described first introduced the practice and theory that had developed in commercial cities in Italy, particularly in Venice. Pacioli wrote in the first chapter of his treatise, â€Å"We will here adopt the method employed in Venice which among others is certainly to be recommended, for with it one can carry with any other method†. Pacioli was born in Borgo San Sepolcro, lived in Venice and became the tutor of the three sons of a rich merchant, Antonio de Rompiasi. It seems that he could have had the chance to see the account books of the Venetian merchants and to study the method of double entry bookkeeping in Venice. The bookkeeping system that Luca Pacioli has several distinct characteristics: 1. Pacioli wrote that there are three things needed by one who wished to carry on business diligently. The most important of these is cash or any other substantial power. The second is a good accountant and a sharp bookkeeper. The third is good order in order to arrange all business to debit and credit. 2. Pacioli explained the opening inventory, but he did not describe the closing inventory. 3. Pacioli’s account book system is three account books- that is, a day book. The day book is the first book, the journal is the second book and the ledger is the third book. Pacioli thought of the day book as the formal account book, because he wrote that the day book must be presented to a certain mercantile office. 4. All things pertaining to a transaction must be written in the day book, without omission. Pacioli wrote that no point must be omitted in the day book. 5. Pacioli described debit and credit- that is, â€Å"per† and â€Å"A† in the journal, and â€Å"die have re† in the ledger. However, any view of accounting history that begins with Luca Pacioli’s contributions will overlook a long evolution of accounting systems in ancient and medieval times. In attempting to explain why double entry bookkeeping developed in 15th century Italy instead of ancient Greece or Rome, accounting scholar A. C. Littleton describes seven â€Å"key ingredients† which led to its creation. -Private Property: The power to change ownership, because bookkeeping is concerned with recording the facts about property rights. -Capital: Wealth productively employed, because otherwise commerce would be trivial and credit would not exist. -Commerce: The interchange of goods on a widespread level, because purely local trading in small volume would not create the sort of press of business needed to spur the creation of an organized system to replace the existing hodgepodge of record-keeping. -Credit: The present use of future goods, because there would have been little impetus to record transactions completed on the spot. – Writing: A mechanism for making a permanent record in a common language, given the limits of human memory. – Money: The â€Å"common denominator† for exchange, since there is no need for bookkeeping except as it reduces transactions to a set of monetary values. – Arithmetic: A method of computing the monetary details of the deal. Many of these factors did not exist in ancient times, but, until the Middle Ages, they were not found together in a form and strength necessary to push man to the innovation of double entry. Writing, for example, is as old as civilization itself, but arithmetic- the systematic manipulation of number symbols- was really not a tool possessed by the ancients. Rather, the persistent use of Roman numerals for financial transactions long after the introduction of Arabic numeration appears to have constrained the earlier creation of double-entry systems.

Friday, August 30, 2019

Reproductive Health Bill Essay

The Reproductive Health Bill was first proposed in 1998 by Edcel Lagman of Albay. The said bill aims to improve and promote all methods of family planning, both natural and modern, to help our country’s dilemma regarding the continued growth of our population. The RH Bill gives information to family planning. It will improve maternal, infant and child health and nutrition. It promotes breast feeding. Then abortion will remain illegal and it is punishable by law but post-abortion complications will be given medical aid. It also contains prevention of reproductive tract infections like HIV/AIDS, STD, etc; treatment of breast and reproductive tract cancers, and prevention and treatment of infertility. It has elimination of violence against women and also education of sexuality and reproductive health. It includes male involvement and participation in the reproductive health and lastly education of reproductive health for the youth. For several reasons this bill has been an issue in our country for years. It has its pros and cons. Some say it is advantageous because it will really help in the country’s problem, the never ending growth of population that eventually leads to the country’s unchanging state of poverty. Some say it is a no no because of its very ill effects, immorality and sinful act. While, others have no idea what it is nor have any concern about what is happening around them which is really unfortunate. So the researchers thought of conducting a research concerning the thoughts and opinions of the youth about this bill. The youth’s perceptions are important, so are their awareness. Their awareness is a primary concern because they are the future generation. They should be aware of the things going around their environment in order for them to help and participate in developing the country’s economy into a better one. Their views and points may help the society after all.

Thursday, August 29, 2019

Earthquakes in MEDC’s and LEDC’s

A well-known principle states that the impact of earthquakes in LEDC's or Less Economically Developed Countries is generally more severe when compared with MEDC's or More Economically Developed Countries. This shall be illustrated by comparing the Kobe Earthquake in Japan of 1995 with the Kashmir Earthquake of 2005. The Kobe Earthquake occurred on Tuesday, January 17, 1995, at 05:46 JST in the southern part of Hyogo Prefecture, Japan. It measured 7.2 on the Richter scale and lasted for 20 seconds. The duration of the tremors was around 20 seconds long. The focus of the earthquake was located 16km below the epicentre, on the northern edge of the Awaji Island, approximately 20km from Kobe. The proximity to the city was a major factor of its widespread devastation. The ground moved 18cm horizontally and 12 cm vertically. The Kashmir Earthquake was caused by the Eurasian and Indian tectonic plate boundaries colliding. Its epicentre was located in Azad Kashmir near the city of Muzaffarabad. It occurred at 08:52:37 Pakistan Standard Time (03:52:37 UTC) on 8 October 2005. According to the authorities, 79000 people died. A major factor in the severity of the earthquake was the poor construction – a salient feature of LEDC's. The Indian Plate which was moving 40 mm a year north collided with the Eurasian plate and was forced beneath it. It measured 7.6 on the Richter Scale. As is evident, although the magnitude of both earthquakes was extremely similar, the impacts varied greatly. This was due to many factors, which most if not all are related to the economic situation of the countries. We shall begin by discussing the impacts of each of the earthquakes, thereafter we shall discuss why these effects differed. Kashmir Earthquake Immediately, 1400 people were killed. Buildings were swaying and many collapsed due to the strength of the earthquake. Electricity supplies were cut off, people were trapped in buildings and roads were blocked due to landslides which hindered initial rescue attempts. Of the 8 million who were affected, 100,000 were injured. Several trains on minor lines were derailed while 3.3 million homes were destroyed. These are the crux of the primary effects. Many cars were destroyed, trains were suspended, roads were blocked and in many areas the only way to access was through the air. Due to the impact on the buildings, many small businesses were shut down leading to severe job losses. Pakistan lost a total of approximately $500,000,000, which led to the president of the time, Musharraf, to appeal for international aid including money, tents, medical aid and helicopters. This suffices in illustrating the economic devastation brought to the country through the earthquake. Major hospitals were destroyed, putting the injured in an extremely grave situation, the skyline was practically non-existent and perhaps the worst secondary effect was the phenomena of landslides which destroyed much of the infrastructure and endangered those on the streets. As mentioned earlier, there were a great number of injured, homeless and jobless people. This caused widespread depression, which is understandable when the extended family set-up of households is examined. All in all, more than 87,000 people died and 138,000 were injured. The city's infrastructure was destroyed, clean water was extremely rare, hospitals were destroyed and many were homeless even after a year. This led to major secondary impacts such as outbreaks of diseases due to contaminated water supplies; people were affected with respiratory infections such as pneumonia; and the harsh winter season caused the homeless to suffer. Around 3.3 million people were living in temporary accommodation by the end of the happenings. When we compare the impacts of the Kashmir earthquake with the Kobe earthquake, we find that the primary effects are similar. These include the fact that buildings collapsed and the fact that many trains derailed. Numerous bridges and expressways collapsed and 120 of the 150 quays in the port of Kobe were destroyed as well as gas and electricity supplies being disrupted. Fires were set off due to destroyed gas pipes and electricity mains causing a further 7500 houses to burn. The roads were gridlocked causing delays in emergency services. 716 aftershocks were recorded and these lasted for several days. Industries such as Mitsubishi and Panasonic were forced to close. The death toll, however, was only 5500, injuries were 40,000 and 180,000 houses were destroyed. The newly opened Kansai Airport, due to its brilliant structural foundations, withstood the earthquake, as well as the Akashi Bridge. However, when we consider the fact that the population density of both areas was similar yet the number of dead, homeless and injured was far more in the Kashmir earthquake than that of the Kobe earthquake. By July, in about 5 months, most of the infrastructure such as water, electricity, gas and telephone services were up and running. Most buildings in commercial areas were repaired and the places affected by fires had been cleared. Rail services were back in service by August. A year later, 80% of the port was functional i.e. all but the Expressway. There was an increase in the technology used to determine information on earthquakes and movements in the region, and steps were implemented to make sure that devastation to that scale would not occur again. When the impacts of the 2 earthquakes are compared, it becomes clear that, although the population density of both areas were similar and the magnitude of both were similar, the death, injured and homeless figures are totally out of proportion, with Kashmir suffering a greater loss than Japan. This is also the case when the speed of recovery of the areas is considered, and it can be safely concluded that the infrastructure was more reliable in Kobe than in Kashmir. In addition, Japan's economy was able to self-fund the aid whereas Musharraf was left begging the international community for aid. We shall examine each of these points in detail in the forthcoming paragraphs. Firstly, in order to understand where the problem lies, one must examine the details in chronological order. We find that the primary effects were extremely similar with buildings falling, electricity, gas and water supplies being disrupted, roads blocked etc. In some instances, we even find that Japan was hit worse such as the fact that the gas supplies were set alight causing fires. However, we see that each figure is out of proportion as this table illustrates: Japan Kashmir Dead 5500 87,350 Homeless 230,000 3.3 Million Injured 40,000 138,000 In my opinion, the vast amount of people who died in the Kashmir earthquake could have boiled down to a number of factors. Illiteracy and Ignorance of emergency procedure when an earthquake strikes could have posed as a major factor in the amount of people that died. This idea could be further strengthened when you consider that many people in LEDC's do not possess modern education. This is insofar as a the personal scale goes. On a governmental scale, due to the other priorities of LEDC's, little emphasis would be placed on these types of events due to their minute chance of occurring. The government may wish to focus on other matters. This idea could be strengthened when we are to couple this fact with the reality of the Pakistani government which, according to a 2007 report of Transparency International, Pakistan ranks 7th most corrupt country in the world. It is highly likely that money may have been filtered in the wrong places. When compared with Japan, we see that they immediately increased the number of seismic instruments to record earth movements in the region. This would reduce the likeliness of it occurring again which is possibly the most important thing to do for the government. In addition, the Japanese government decreed that buildings were to be built much more strongly and outlined a new set of guidelines for this to take place. This would place too much of a burden on the Pakistani government. Although these long-term causes should be rectified, other short-term causes should be identified. These include that, since Saturday was a normal school day, many school children were studying and as a result were buried under collapsed schools. It was also during the month of Ramadan, when people were taking a nap after their pre-dawn meal, hence they may not have had enough time to escape. Entire villages were simply wiped out like this. In conclusion, although it is expected that LEDC's like Kashmir would be hit worse than MEDC's such as Japan due to their economies, it is nevertheless possible to prevent such grave impacts that took place in Kashmir happening again. The people should be educated with emergency procedures, the government should invest in relevant technology which would indicate and warn them ahead of time when seismic activity was occurring. In addition, the government should outline new guidelines for buildings in which they are earthquake resistant just as Japan did. These would strain the economy in the short-term, although in the long term this would relieve the economy should an earthquake such as this one would take place again.

Wednesday, August 28, 2019

Project Management Research Paper Example | Topics and Well Written Essays - 2000 words - 1

Project Management - Research Paper Example The project management institute defines project management as application of skills and knowledge along with tools and techniques to meet the project requirement (Barkley, 2006). Hamilton, (2004) divided project management into 5 components i.e. initiation, planning, execution, monitoring and control and lastly closure of project. This report discusses some of the most important concepts related to project management. The report starts with defining the project life cycle management and its benefits. Then the report discusses about project organizations and project team building. Moreover, important concepts such as project scope, work breakdown structure and contingency planning have been discussed. Also the report analyzes the importance of reviewing the project and need for an integrated project management software for project management organizations. Then the researcher shares his own experience about a project in which he was involved. Project life-cycle indicates all the project phases that a project has to go through in order to be completed. In other words, it is a collection of project phases that are divided so that the project can be controlled and managed accordingly. According to Kerzner (2009) project life-cycle is divided into four phases that indicates the beginning and ending point of a project. Furthermore, according to Kerzner (2009), the first phase of project life-cycle is the initiation phase followed by project planning, project execution and project closure. Each of the phases mentioned by Kerzner (2009) is further divided into activities which need to be done to accomplish the goal of project management. In order to further elaborate the project life-cycle, each of the phases is separately presented along with the activities involved within the particular phase. The aim of this phase is to identify the problems along with the opportunities that the business could focus upon. This phase also includes solutions to the

Phases in Primary Education Essay Example | Topics and Well Written Essays - 4750 words

Phases in Primary Education - Essay Example This essay declares that corporal punishment in the classroom is a form of institutional child abuse. It does hurt and it can be destructive, both physically and emotionally. Therefore, as advocates for children, we must work to abolish its use. By revealing that certain beliefs about punishment are myths, that there are potential serious problems with the use of punishment, and that there are positive and effective alternatives of discipline, we hope that people can be moved to actively protest the use of corporal punishment in the classroom. Unfortunately, more than just facts are needed. The politics of change are also involved. A great deal of effort can go into dealing with bureaucratic systems, getting the attention of policy-makers, organizing support from a wide range of disciplines, and articulating related community issues. This project makes a conclusion that it is especially important to have the support of those who are directly involved with the issue, such as teachers (award-winning teachers typically do not use corporal punishment). The task may not be easy as communities frequently fail to protect their weakest citizens. The goal of eliminating corporal punishment in education is worth these difficulties. The classroom environment should be characterized by positive mutual regard and be free of abusing and demeaning acts. Until the practice of corporal punishment ceases, many children may never have the experience of learning in such a supportive, encouraging and safe environment.

Tuesday, August 27, 2019

Dietary Management of Type 2 Diabetes Mellitus Research Paper

Dietary Management of Type 2 Diabetes Mellitus - Research Paper Example Insulin resistance is relative, however, since supernormal levels of circulating insulin will normalize the plasma glucose. Insulin resistance impairs glucose utilization by insulin-sensitive tissues and increases hepatic glucose output; both effects contribute to the hyperglycemia. Increased hepatic glucose output predominantly accounts for increased FPG levels, whereas decreased peripheral glucose usage results in postprandial hyperglycemia. In skeletal muscle, there is a greater impairment in nonoxidative glucose usage than in oxidative glucose metabolism through glycolysis (Dyson 2002). Glucose metabolism in insulin-independent tissues is not altered in type 2 DM. Another emerging theory proposes that elevated levels of free fatty acids, a common feature of obesity, may contribute to the pathogenesis of type 2 DM. Free fatty acids can impair glucose utilization in skeletal muscle, promote glucose production by the liver, and impair beta cell function. Insulin secretion and sensitivity are interrelated. In type 2 DM, insulin secretion initially increases in response to insulin resistance to maintain normal glucose tolerance. There seems to be little doubt that diet plays a significant role in the development of type 2 diabetes. However, it has been remarkably difficult to pin down the precise dietary constituents that are the key players. The increased risk of diabetes with increasing intake of total fat has been reported (Pullen 2000). Therefore, in addition to other modalities of management, the current approach recommends dietary management of type 2 diabetes mellitus. However, the practice approaches are not clear and have not been distinctly enumerated, and there are different opinions regarding this. This dictates the need for evidence for implementing these evidences in practice (Cheyette 2005). Evidence is better available from research, and therefore, in this assignment, evidence from research will be sought through review of relevant literature. Consequently, a keyword based literature search was conducted, and the evidence of findings from this sorted literature from studies will be presented here in a systematic manner. Review of Literature Link (1999) indicated that of all possible dietary modifications, dietary management directed towards weight loss is the best documented intervention. He reports the findings from a number of trials where hypocaloric diets have been shown to substantially reduce blood glucose in the affected individuals, although the effect of weight loss may be a contributory factor. Temporary effects of caloric deprivation have also been considered in control of blood glucose levels. With a very low caloric diet of worth 330 calories per day for a period of 40 days has been reported to be causing a decrease in the level of blood glucose from 297 to 158 mg/dL. It is important to note that although most of the weight loss occurred in the last 30 days, 87% of the reduction of blood glucose would occur within the first 10 days of this dietary management. However, with the resumption of isocaloric feeding, the glucose gain would not persist, but the weight loss would be preserved indicating positive eff ects on control of

Monday, August 26, 2019

Lions Clubs international Public Relations Plan Assignment

Lions Clubs international Public Relations Plan - Assignment Example Additionally, this public relations plan will set about assisting the Lions Club International with achieving issues highlighted in its Strategic Plan though by strengthening its public relations communications and creating a greater awareness of the organisations achievements in the community. As Cutlip et al (200) recommend the plan has as its core aim to strategically position Lions Clubs International in high visibility outlets which will serve to increase the understanding and image of Lions Clubs International. In 1917, an insurance agent from Chicago by the name of Melvin Jones, understanding the potential of a unified purpose, conceived of the notion of joining many small independent service organisations under one umbrella to provide "Service to Humanity" (LCI 2005, screen1). From its humble beginnings the Lions Club International (LCI) has grown to become the largest service club in the world with a membership of almost 1.4 million people in 197 countries united to provide "service without personal reward" ("Lions Fact" 2005, PDF 4). LCI is devoid of political or religious affiliation; this autonomy has allowed the organization to concentrate on developing programming true to its mission and vision without a distinction being drawn in regard to "race, creed, nationality, religion or politics." Upon its initial expansion within the United States in 1919, a member from Denver Colorado suggested that the LCI not only represented "fraternity, good fellowship, strength of character and purpose", but in envisioning the use of the name LIONS as an acronym created what he saw as a more exact definition of citizenship: "Liberty, Intelligence, Our Nation's Safety" which was adopted as the club's slogan. The motto as stated above is "We serve." (LCI 2005, screen1). Since it's beginnings in 1917 LCI has spread globally. Spreading from the United States to Canada in 1920, the club then expanded to China, Mexico and Cuba in 1926/7. The spread to Central and South America began in 1936. Australia saw its first Lions Club in 1947, and the following year clubs throughout Europe were established. In 1952 the first club in Japan was chartered, and by the 1960's LCI formed clubs in Africa. After 40 years LCI was truly a global organisation with membership on every continent. LCI in Britain began in 1950. Queen Elizabeth had sent an emissary to Canada to thank the Canadian Lions for sending money to assist the children orphaned during the World War II blitz. The Windsor Ontario LCI hosted the first British Club which was chartered on March 1, 1950 in London. The charter President of this first club was Lord Leconfield. The clubs soon spread throughout Britain and the rest of the UK. Glasgow saw the

Sunday, August 25, 2019

Baseball Management Project Essay Example | Topics and Well Written Essays - 750 words

Baseball Management Project - Essay Example Based on the result, recommendations are drawn that will help the committee to make baseball better while meeting the aspirations of the involved stakeholders. It has been argued that the money one earns has a bearing to both the players of baseball as well as business owners. The Analysis of Variance (Appendix A) clearly depicts that when the attendance is equal to greater than three million, players enjoy higher salaries when compared to a situation where the fans are less than two million. However, it is worth noting that there was no significant differences in salaries when the attendance was from two million to three million and three million and above. For the 2002 season, a player would be likely to enjoy higher pay when there are over two million fans. As players enjoy higher salaries, business owners will realize increased profits. This attributed to the fact that when there are more fans, business thrive for instance more tickets are sold, there is increase in merchandise being sold as well as food stuff. In any game usually characterized with competition, there are two main aspects; winning and losing. Ideally, winning competition is very significant in survival of any business entity. In this case, a baseball team that wins will eventually meet the aspirations of players, coaches, support staff to mention but a few. ANOVA results in appendix B indicates that teams are more likely to win if there is a big number of fans attending. This can be attributed to the moral support they receive from their fans. The findings depicts that at 0.05 level of significance, higher fans attendance of three million and above largely influences team wins. For this reason, it would be rational for business owners to encourage more fans to attend in order for them to enjoy the related profits which will be associated with wins. In baseball, it is always important to ensure that there are

Saturday, August 24, 2019

Gay marriages in the Military Essay Example | Topics and Well Written Essays - 1750 words

Gay marriages in the Military - Essay Example In case of the military though, at first gay and lesbian marriage and adoption were considered stigma and a taboo which may even result in losing employment of the person who indulges in same sex affairs. But with time and passage of antidiscrimination laws, it is becoming a norm and people are having a rather favorable approach towards this issue. Citizens in general and women in particular, were more likely to favor gay marriage and adoption within the military than were men. Gay marriage support groups were campaigned mostly by Liberal and Democratic political parties and their followers, especially those who supported ENDA and military. ENDA stands for Employment Non-Discrimination Act, which is a statutory-legislation presented by the U.S Congress. This act outlawed and restricted discrimination and non-employment on the basis of sexual orientation, it especially applies to the religious fanatics who deprive gays of their fundamental employment rights. On the other hand, the Con servatives and Republican groups antagonized this issue and were homophobic towards gay relationships. (Zimmerman & Wilcox, 2007). The change in attitude of military towards gay and lesbian alliances, arise from the very fact that the hectic army lifestyle, demands and objectives of warfare actually support their Homosexual identity. Sexual orientation is considered no more a measure of a service man’s merit and performance. Homosexuals are as good soldiers as heterosexuals, which is the advent of a rights based military service in which gay rights are identified on an equal opportunity basis. Gay marriages in the military are no more a cause for exclusion; self identified gay couples used to hide their identities because of rejection and lack of constitutional support. But now-a-days it is a common practice within the military. Since All the

Friday, August 23, 2019

Ten Financial Management Questions Essay Example | Topics and Well Written Essays - 1500 words

Ten Financial Management Questions - Essay Example Add bracketed tax @ 34% $119,000 Add the cost of capital $ 35,000 Total $504,000 Less depreciation of the old helicopter $54,000 So the net cost of the new helicopter $450,000 Question 4: Mud Construction Co. is considering buying a new equipment with cost of $625,000 and a salvage value of $50,00 at the end of its useful life of ten years. The equipment is expected to generate additional annual cash flow for ten years with the following possibilities. Probability Cash Flow 15 $60,000 25 $85,000 45 $110,000 15 $130,000 a. What is the expected cash flow b. If the company's cost capital is 10% what is the expected net present value c. Should the company buy the equipment a. The cost of the equipment is $625,000 10 years post installation salvage value $50,000 With probability 15, cash flow $60,000 The inflow of income 60,000x10=$600,000 b. Salvage value after 10 years $600,000 Hence the present value 600,000/10=$60,000 c. The cash flow shows that the company gets a marginal profit, therefore it is not advisable to buy the equipment. Question 5: Explain how the price of a new security is determined Security is the condition of being protected against danger or loss. In the general sense, security is a concept similar to safety. The nuance between the two is an added emphasis on being protected from dangers that originate from outside. Individuals or actions that encroach upon the condition of protection are responsible for the breach of security. A security is a fungible, negotiable interest representing financial value. Securities are broadly categorized into debt and equity...What is the approximate yield to maturity of the bonds Question 3: Bar T Ranches Inc, is considering buying a helicopter for $350,000. The company's old helicopter has a book value of $85,000, but will only bring $60,000 if it is sold. The old helicopter can be depreciated at the rate of $13,500 per year for next four years. The new helicopter can be depreciated using the five-year MARCS schedule. The new helicopter is expected to save $62,000 after the taxes through reduced fuel and maintenance expenses. Bar T Ranches is in the 34% tax bracket and 12% cost of capital. Question 4: Mud Construction Co. is considering buying a new equipment with cost of $625,000 and a salvage value of $50,00 at the end of its useful life of ten years. The equipment is expected to generate additional annual cash flow for ten years with the following possibilities. Security is the condition of being protected against danger or loss. In the general sense, security is a concept similar to safety. The nuance between the two is an added emphasis on being protected from dangers that originate from outside. Individuals or actions that encroach upon the condition of protection are responsible for the breach of security. A security is a fungible, negotiable interest representing financial value. Securities are broadly categorized into debt and equity securities.

Thursday, August 22, 2019

Changing Ethical Perspectives-McDonald’s Essay Example for Free

Changing Ethical Perspectives-McDonald’s Essay When Dick and Mac McDonald opened their first barbecue restaurant in 1940, it is doubtful they realized the impact their company name would have upon the world of business and food service. A few years after they opened their restaurant, they closed to renovate, rethink their business strategy, and presented a simple drive-in restaurant with a small menu to allow the brothers to focus not on providing diversity and choices, but quality within their service and products (â€Å"Our History-1940†, n.d.). It may have been the simplicity of the operation, or the high level of dedication to service that attracted the attention of restaurant equipment salesman Ray Croc. In 1954, Ray Croc visited their only establishment in San Bernadino, California and learned they had an interest in building a franchise around their existing business configuration. Ray Croc and the McDonald’s brothers agree on their first franchise plan and set out to build more locations. Kroc opens his first franchise location in Des Plaines, Ill. on April 15, 1955. By 1965, there would be more than 700 McDonald’s restaurants throughout the United States (â€Å"Our History-1955†, n.d.). As McDonald’s expanded outward, their community responsibilities inherently would increase. Through the period of the fifties and sixties, community and social responsibilities were simple; keep a clean restaurant, set reasonable prices (hamburgers were 15 cents), and concentrate on service. At the outset, it would appear the ethical perspective would be one close to utilitarianism (what will the most people like), with little emphasis on deontology or virtue theory. As McDonald’s moved into the seventies leading them on a voyage around the world, these responsibilities and perspectives would have to adapt and change rapidly to accommodate cultural changes and needs. Changes in Ethical Perspective as a Result of Globalization In 1967, the first McDonald’s restaurants opened in Canada and Puerto Rico. During this time of expansion, the McDonald’s line was fully developed into a restaurant that can be recognized with its signature golden arches and bright red and white colorations of the building. The menu also presented an unwavering selection of hamburgers, cheeseburgers, soda pop, and French fries. As McDonald’s expanded globally, it did so carrying the same rigid elements of marketing and selection that was originally offered at the start. Global expansion was going well, but cultural adaptation and ethical considerations are still several years away. The first sign from McDonald’s regarding ethics or a reaction to corporate social responsibility did not happen from their global expansion. In 1973, McDonald’s opened the first Ronald McDonald House in response to aid ailing children from Leukemia. From here, social responsibility for McDonald’s become apparent, but at a very slow pace (â€Å"Our History-1973†, n.d.). Cultural Issues within the Global Organization Amidst the seventies and moving into the eighties, environmental and ethical perspectives became more important. McDonald’s however, did not become a leader in globalization as well as ethical considerations. Because of the rigidity of their plant operation and offerings, they slowly were becoming an icon for unchanging American standards and unhealthy diet standards. In a weak attempt to stay strong and fresh, McDonald’s began increasing their menu from the simple hamburger and cheeseburger to include also specialty breakfast items and a larger dinner menu. They still failed however to change their image from canned and greasy fast food. The ethical rigidity of McDonald’s failing to change their menu items would continue well into 1987 before the first fresh salad entrees would finally allow them to slowly break their crusty perspective of ‘factory-made’ food (â€Å"Our History-1987†, n.d.). McDonald’s and the World-An Ethical Perspective Through the nineties and into the 21st century, a new form of consumer was emerging. This new creed of shopping known as ‘ethical consumerism’ focuses in on supporting companies that have a proven track record of healthy and environmentally supportive business practices. Even with menu enhancements and slight menu changes within the different cultural areas McDonald’s had entered, this is an area they had not yet championed (York, 2006). In order to survive, corporate leadership knew they had a very steep challenge to face. In small steps, McDonald’s slowly turned their behemoth juggernaut of food service into becoming more environmentally conscious and ‘green’. They took on challenges from large organizations such as People for the Ethical Treatment of Animals (PETA) to change their beef and chicken production (Beef magazine, 2005). As the critics emerged, McDonald’s faced charges of unhealthy menu’s and unsound environmental practices. McDonald’s had to make a decision-keep with their out of date business plan and face ruin in the age of environmentally conscious companies, or find ways to introduce the needed changes into their organization. The process was slow, but over time, McDonald’s found by making necessary changes to their organization, they were able to slowly gain back a market share of followers who recognizing their ethical and environmental changes, were once again willing to support their cause. The result was a healthier menu, diet and nutritional guides, and even environmentally sound coffee and cups could be found within the walls of a typical McDonald’s restaurant around the world (York, 2006). According to Reynolds (2011), McDonald’s even prominently publicized their new image efforts through a new and fresh series of television advertising â€Å"†¦to focus on McDonald’s community and environmental initiatives†¦Ã¢â‚¬  Modern Cross-Cultural Perspective for McDonald’s McDonald’s has risen from one small drive-in restaurant with a menu consisting of 15 cent hamburgers, fries, and soda to a multinational company consisting of 33,500 local restaurants serving 68 million people in 119 different countries. Their current cultural perspective at the present time contains variety that Ray Croc could never have imagined in the middle of the 20th century. A mixture of utilitarianism (what would please most customers) and deontology (what is our CSR) seems to drive the corporate think tank and operational culture. McDonald’s is an excellent example of how a company that was started with very simple goals expanded, faced legal, ethical, and moral pressures and challenges, and is still capable of making it to the top of biggest and healthiest fast food restaurant franchises (Minkin, 2012). One of the greatest obstacles to McDonald’s was a rigid and unwillingness to change both image and perspective. Through the decades however, McDonald’s leadership has met their community responsibilities and currently carries an accepted ethical and moral perspective. References Author Unknown, (2005, February). McDonalds eyes change in Poultry Harvest Method. Beef, 1. Minkin, T. (2012). Americas Top Ten Healthiest Fast Food Restaurants. Retrieved from http://www.health.com/health/gallery/0,,20435301,00.html Our History. (n.d.). Retrieved from http://www.mcdonalds.com/us/en/our_story/our_history.html Reynolds, J. (2011, June). McDonalds Activity to Promote Ethical Focus. Marketing Magazine, (3), 1. York, M. (2006, November). With the planet dying of. New Internationalist, (), 5.

Wednesday, August 21, 2019

Medieval and Renaissance Art Essay Example for Free

Medieval and Renaissance Art Essay The most significant difference between medieval and renaissance art is that renaissance art paid more attention to the human body, and to detail. Both, however, focused mainly on religious themes, although not necessarily Christian. Renaissance artists are remembered because they brought about the changes that led to the art of today. When looking at medieval art, such as The Notary of Perugia Writing a Document it is quite obvious that very little attention to detail is included. There is no depth to the painting, the writing on the parchment bares no resemblance to actual text, and everyone in the picture has the same face. In contrast, when looking at a renaissance painting, like Christ the Redeemer by Titian quite a bit more attention is given to detail, even though the scene does not encompass nearly as much. It is possible to see shadowing in the painting, as well as to the behavior of fabrics. There is also a good feel of depth with much attention paid not only to making a nice background, but separating it from the foreground as well. There are many similarities in the two styles; they are, after all, separated by a short period in history. One similarity might be a choice of colors, as the most visually appealing color combinations had yet to be discovered. Another similarity would be the lack of understanding of how to accurately represent the human body, as this was considered sinful by the church; Leonardo di Vinci did began to change this with some of his works though. The short period in time left similarities between the styles of art, but they were few, far between, and diminished fast. Renaissance artists put forth much greater effort into these works and it really shows in the quality, rather then the quantity produced.

Theoretical Approaches Of The Elderly Abuse Social Work Essay

Theoretical Approaches Of The Elderly Abuse Social Work Essay 2-1- Introduction In the upcoming chapter, the title will be review of research literature. This chapter considered as the heart of research supervises al the time research stages and is theoretical and performance guidance of research. This chapter consists of three main topics. The first topic titled review of research theoretical literature deals with theoretical approaches of the elderly abuse including definition, forms and associated theories. Outlines and former subject researches about the elderly abuse which have been done by different domestic and international researchers in forms of bachelor, master, doctoral theses or research projects were labeled as review of experimental research literature and forms the second topic of this chapter. And finally, the last topic which will be discussed in this chapter is elective theoretical research frame that we will try to review the former two topics (theoretical and experimental literature) and discuss theories and approaches which will be used reg arding the influential factors on elderly abuse in Malaysia and based on them other stages of research will be followed up in future chapters. Now in this part, firstly theoretical fundamentals of research will be discussed and then the assessment of experimental research literature inside and outside of the country will be covered: 2-2- Review of theoretical literature The following sentences relates to theoretical dimensions and conceptive environment of research topic. In another word, explanations and theoretical approaches about the elderly abuse including definition and effective factors are issues that will be covered and it will be tried that by exploring these topics, thought and mind environments of research will be clarified and we would be able to provide a background for future chapters, particularly results, conclusion, and suggestions. 2-2-1- The Definition of the Abuse of the Elderly Although there is an absence of agreed or standard definitions of abuse, commented on by McCreadie (1996) and others, a number of definitions of elder abuse have emerged. Early attempts at defining mistreatment in the UK context were relatively specific as seen, for example, in the following: A single or repeated act or lack of appropriate action occurring within any relationship where there is an expectation of trust, which causes harm or distress to an older person (Action on Elder Abuse, 1995) However, later definitions tend to have been more widely drawn, as in the recent government document, No Secrets, in which the definition is given as: Abuse is a violation of an individuals civil or human rights by any other person or persons (DoH, 2000). Given the lack of consensus concerning definition, which ultimately may not result in any major difficulty (Penhale, 1993), it is at least reassuring to find that most people concerned with the issue agree on the different types of mistreatment that can happen. The usual types of mistreatment included within most definitions are physical abuse, sexual abuse, neglect, financial abuse (also referring to exploitation and misappropriation of an individuals property and possessions), psychological and emotional abuse. When considering neglect, separate, stand-alone definitions do not usually appear, with neglect often appearing as a sub-type of abuse. Thus in the Social Services Inspectorate (1993) definition, elder abuse is described as: . . . physical, sexual, psychological or financial. It may be intentional or unintentional or the result of neglect (DoH, 1993, para 2.1). More recently, draft guidance issued by the Social Services Inspectorate indicates that abuse may occur: . . . as a result of a failure to undertake action or appropriate care tasks. It may be physical, psychological, or an act of neglect . . . (DoH, 1999, para 2.7). Neglect and acts of omission are then further delineated as: . . . including ignoring medical or physical care needs, failure to provide access to appropriate health, social care or educational services, the withholding of the necessities of life, such as medication, adequate nutrition and heating (DoH, 1999, para 2.8). To these may be added such categories as enforced isolation and deprivation of necessary items for daily living (warmth, food or other aspects, such as teeth). In general, however, situations of self-neglect by an older person would not be considered within the UK perspective of mistreatment. Although many practitioners work with older individuals who self-neglect, usually this is not considered within an elder mistreatment or indeed an adult protection framework. Abuse within institutions also encompasses situations that arise because of the regime or system that may operate in the unit in addition to individual acts of abuse that occur. There also may be abusive situations that arise between a resident and a member of care staff, initiated by the older person as protagonist, so there may be dual directionality of abuse, or unidirectional abuse from resident towards staff member (McCreadie, 1996). Neglect within institutions may arguably be more pervasive and insidious, affecting the daily lives of many residents in a myriad of ways, from overt to covert. According to the American Medical Association Council on Scientific Affairs (1987), with elderly abuse has several forms and definition is as follows: any act of commission or omission that results in harm or threatened harm to the health and benefit of an old people. The Select Committee on Aging defined the following categories of abuse: physical abuse, Neglect, emotional abuse, financial abuse, and self-neglect. In its most common usage, elder abuse is an all-inclusive term representing all types of mistreatment or abusive behavior toward older adults. Abusive acts include the following: striking, burning, threatening, abandoning, starving older adults, or taking their property without consent. If an act of violence, such as a slap, occurs only once, by most standards it is probably not considered to be elder abuse. If it happens fairly often or results in the hospitalization of the victim, the action is deemed abuse; likewise, threatening with a gun, sexual assault, or other mark edly violent acts need only occur once (Wolf, 2000).A shocking way for elderly people to spend their final days is in a state of maltreatment known as elder abuse. Although it can occur in institutions, it is most often suffered by frail elderly people living with their spouses or their children (Papalia aIds, 1995). 2-2-2- Forms of Older Adult Abuse There are many types of abuse that affect older adults. According to Gray-Vickrey (2001), the five most common types of abuses are as follows: 1. Neglect, whether intentional or unintentional, accounts for 49% of substantiated elder abuse cases. Neglect generally to happen when a care provider to not do what is excepted for an old people with adequate food, clothing, shelter, medical care, or assistance with activities of daily living. 2. Emotional abuse, the willful infliction of anguish through threats, intimidation, humiliation, and isolation, is involved in 35% of cases. 3. Financial abuse is the misuse of someones property and resources by another person. Financial or material exploitation occurs in 30% of cases. 4. Physical abuse, the use of physical forces that results in pain, impairment or bodily injury, accounts for 25% of substantiated elder abuse cases. Hitting, slapping, restraining, molesting, biting, burning, pushing, or pulling all qualify as physical abuse. 5. Sexual abuse is another extremely devastating form of the abuse of older adults. Sexual abuse can be seen as a type of physical abuse (Arbetter, 1995). However, it is often discussed separately due to the different types of harm inflicted upon older adults. In one study, researchers found that the urogenital injury due to sexual abuse was à ¢Ã¢â€š ¬Ã‚ ¦. Prevalent among elderly people (Muram, Miller, Culter, 1992). There main sexual abuse behaviors are mentioned frequently in relevant literatures. First activity or activities which are done without any physical contacts. They something are called Hand off behaviors. A common form of hand-off abuse is to make the victim to watch pornographic sceneries, exhibition and voyeuristic activities. The second form of sexual abused is called Hand-on behaviors involving some physical contact with the victim. The third and most dramatic form of sexual abuse is a kind of painful action on victims sexual or rectal region.(Ramsey, Klawsnick, 1999). On the other hand, Pritchard (1999) introduced another category of abuse among older people which are commonly seen by health professionals: History of incest between mother and son. Husband wife sexual abuse. Older gay man abused in the community. Research is mixed concerning the victim-offender relationship in elder sexual abuse cases. Muram et al. (1992) compared the medical record of older sexual assault victims (n=53) to younger sexual assault victims (n=55) and found that older adults were more likely to be assaulted by strangers and to have the assault occur in their home. Johnson (1995) seems to agree, stating, Most sexual assaults of elderly women occur in the victims home by an assailant who is unknown to the victim (p.221). Research by Ramsey-Klawsnick (1991) and Holt (1993) suggested slightly different patterns. Ramsey-Klawsnick (1991) asked twenty adult protective service workers to identify and describe cases of sexual abuse among older adults they have seen in the past. The case workers identified twenty-eight cases of sexual abuse, with eighty one percent of the cases reportedly committed by caregivers. Seventy-eight percent of the abusers were relatives, with sons representing the majority of offenders. Research by Holt (1993), studied seventy-seven elder sexual abuse cases in Great Britain and found that fifty percent of the cases were committed by sons of the victims. None of the sexual assaults in Holts study were committed by strangers. According to NCEA (1998), sexual assault is a problem that is usually not associated with older adults, often accounting for approximately less than 1% of reported elder maltreatment cases. There is other dramatic type of psychological abuse. This kind of abuse can be demonstrated in different forms such as threats, bargaining, seduction, stalking or manipulation ( Marshal, Benton, Brazier, 2000). The most common characteristics of this kinds of abuse is their difficulty to be assessed. Johnson (1995) stated that they psychological abuse are not concrete, so they are hard to be assessed. According to Quirm and Tomita (1997), psychological abuse is an integral part of other types of abuse. Victims often report being threatened with nursing home placement if they protest physical abuse or if they threaten to tell someone outside of the family, or if they refuse to hand over money. According to NCEA (1998), psychological abuse accounted for approximately 35% of the cases of maltreatment reported in 1996. A well known form of abuse can be financial abuse which extremely traumatic in nature. In order to recognize financial abuse, it is suggested to have the following items in mind: Unusual transaction in bank activities. Older persons inability to sign other documents such as power of attorney, will or other bank drafts. Care givers disappear suddenly. D) There is a lack of amenities, when the estate can afford it (Quinn Tomita, 1997). Larue (1992) suggests that financial abuse might have been even more common than reports indicate because it is so difficult to detect. Research that relies on interviews with people in their communities instead of abuse complaints filed with governmental agencies tends to support this view. For example, Canadian researchers who randomly sampled citizens at home showed financial exploitation to be more common than neglect (Podnieks, Pillemer, Nicholson, Shillington, Frizzell, 1990). According to Welfel, Danzinger, and Santoro (2000), the financial exploitation of older adults ometimes experienced through fraudulent telemarketing schemes or through unscrupulous contractors who are strangers are not the primary domains of elder mistreatment laws. Criminal statutes relating to fraud and extortion are probably better suited to deal with such schemes. However, if a person befriends an older person and begins caring for that older adult in order to take money or material goods from him or her, that person would likely be subject to the elder abuse statutes. The most common form of the abuse of older adults is neglect, which involves failure to provide essential physical or mental care for an older person. Physical neglect includes withholding food or water, failing to provide proper hygiene, or neglecting to offer physical aid or safety precautions. Neglect needs not to be intentional; it sometimes occurs when the caregiver is unable to provide the older person with proper care (Lachs Pillemer, 1995). Overall, 49% of the reports of elder maltreatment involve neglect and maltreatment, either intentional or unintentional (NCEA, 1998). Abandonment is a particular form of neglect. The state of Connecticut defines abandonment as the desertion or willful forsaking of an elder by a caretaker or foregoing, withdrawal, or neglect of duties and obligations owned an elder by a caretaker or others (Fulmer, Mc Mahon, Baer-Hines, Forget, 1992, p. 506). According to the American College of Emergency Physicians (1999), scenarios of abandonment include family members dropping off elderly persons, boarding homes or nursing homes dropping off elderly persons, and, in some cases, elderly persons seeking out care in emergency rooms on their own because they are unable to care for themselves. There are times when the neglect older adults suffer results from their own actions or inactions. This problem is referred to as self-neglect. Older adults may self-neglect when they fail to take medications, repeatedly skip meals, use alcohol or other drugs to excess, or fail to attend to personal hygiene. Often, such self-neglect is associated with untreated physical or mental health problems, especially depression (Quinn Tomita, 1997). Tatara (1996) suggested that as many as one third of elder abuse cases involve self-neglect or self-abuse. The NCEA (1997) gathered data about self-neglect and found that self-neglect cases are those that are most often dealt with by protective service employees. Estimates of the extent of self-neglect are likely low because most elderly persons who are neglecting themselves would be unlikely to report their self-neglect to authorities (Hall, 1987). Byers and Lamanna (1993) further note that protective service workers often find these cases the mos t difficult to handle because efforts to stop the self neglect are resisted by the victim. 2-2-3 Factors that Contribute to the elder abuse Everitt, OMalley, and Campion, (1983). (a) Those focusing on the victims dependency: That is, there are a variety of factors that may contribute to older adult abuse and neglect. According to Bennett and Kingston (1993) and Biegel and Blum (1990), several factors predisposing elderly abuse by caresr include    : (1) mental and physical dependence to one family, (2) poor communication or a failure of relationship, (3) considerable change in a caregivers lifestyle,(4) perceptions of caregivers towards dependence of older persons, (5) frequent visits to general practitioners by the informal caregivers to talk about their problems, (6) role reversal, and (7) isolation of the household. Preliminary hypotheses regarding the cause of elder mistreatment that was based on case reports and early studies were reviewed by OMalley on physical and mental impairment of an older adult, (b) Those emphasizing the effect of stress on the caregiver, (c) Those concerned with the influence of families who have learned to solve problems by being violent with one another, (d) Those that focus on the individual problems of the abuser, and (e) Effects of a society, which casts older adults in the role of non-persons through ageism, sexism, and destructive attitudes toward the disabled and toward those who are perce ived to be unattractive. Several researchers have identified various risk factors that can potentially lead to mistreatment or abuse of older adults. According to Anastasio (1981), risk factors that characterize precipitators are inability to provide care, financial needs and inability to maintain ones home. For victims, the risk factors include functional impairment and adverse physiological change. There are a variety of probable causes of the abuse of older adults. Most causes of abuse are committed in residential rather than institutional settings, and the most likely culprits are spouses, children, siblings, relatives, or paid caregivers. In older persons, the most common types of maltreatment are neglect, emotional/psychological abuse, and physical abuse (Marshall, Benton, Brazier, 2000). Other risk factors in abuse are (1) shared living arrangements between the elder person and the abuser, (2) dependence of the abuser on the victim, and (3) social isolation of the elder pers on. The typical victim is an elderly person in poor health that lives with someone. Elderly people living alone, whether widowed, divorced, or never married are at low risk. The abuser is more likely to be a spouse than a child, reflecting the fact that more elderly people live with their spouses than with children; and the risk factor is greater when the caregiver is depressed (Pillemer Finkelhor, 1988: Paveza, et al. 1992). Although many older men are abused, abuse against women inflicts more injuries. Rates of violence are high in families with an elder person suffering from dementia; in these families punching, kicking, and other violent behaviors are high in both directions (Paveza, et. al., 1992). In the United States, the number of reported cases of domestic elder abuse nationwide, calculated by combining state reports and adjusting for differences in definitions and eligibility criteria, has increased steadily from 117,000 in 1986 to 296,000 in 1996 (Tatara, 1995; Tatara, Kuzmeskas, and Duckhom, 1997). 2-2-4Competing theoretical explanations of elder abuse Five major theories have been set forth in an effort to understand the causes of elder mistreatment. These theories include (a) the impairment theory, which advances the idea that elderly persons who have a severe mental impairment are most likely to be abused; (b) the theory of psychopathology of the abuser, contending that personality traits or character disorders cause persons to be abusive; (c) the transgenerational violence theory, which holds that violence is a learned normative behavior in some families; (d) the stressed caregiver theory, which examines the burdens a dependent elder places on the family; and (e) the exchange theory, which evaluates the effect of external influences upon the relationship between victim and abuser (Fulmer, 1998). Lachs fulmer (1993) reported seven leading theories or conceptual frameworks are used to examine the etiology of elder abuse. Of course, in addition to these seven theories, exchange theory has paid attention to the elderly abuse subject from the view of expenses and rewards that will be pointed out in the following of the seven theories. 2-2-4-1- Psychology of the abuser The first is psychology of the abuser, which refers to caregivers who have pre- existing condition that impair their capacity to give appropriate care. For example, a caregiver who has mental retardation or alcohol dependency may not be able to exercise appropriate judgment in care giving of older adults. This can ultimately lead to abuser neglect (Lachs fulmer, 1993). 2-2-4-2 Transgenerational violence The next Theory is related to transgenerational violence. According to this theory, elderly abuse can be a part of the continuing domestic violence that started with child abuse and elderly abuse will end. Little research has been done to obtain empirical evidence to support this theory, but the same number also emphasized on its importance. Another aspect of transgenerational violence relates to adult children that long time lived with their parents and children were abused then grow up and the elderly parents living with them are being abused. (Lachs fulmer, 1993). 2-2-4-3- Learning theory Finally, transgenerational violence has been explained in terms of a learning theory in that a child who observes violence as a coping mechanism may learn it and bring to adult life (Lachs fulmer, 1993). 2-2-4-4- Isolation theory National center on elder abuse and the American public human services association (1998) has reported isolation theory espouses that mistreatment is prompted by a dwindling social network. According to the National Elder Abuse incidence study about 25% of all elderly person live alone and even more interact only with family members and have little social interaction with the outside word. Isolated older adults are at the particular risk because there are no outsiders watching out for them, and they may not be identified by the healthcare system or reporting agencies until it is too late (Lachs fulmer, 1993). According to Godkin, Wolf, and Pillemer (1989), it is difficult to determine whether isolation is the result of mistreatment (family members or caregivers may be trying to hide the abuse from the outside word) or precipitating factor of abuse. 2-2-4-5- Identity Theory Other theories are role and identity theories. A synthesis of role theory and identity theory has provides an explanation of the effects of socially constructed roles and identities for the elderly. It assists in understanding how these socially constructed roles and identities may increase the elders vulnerability to abuse. 2-2-4-6- Role Theory In their classic text on role theory, Biddle and Thomas (1986) noted that one of the key characteristics of social behavior is the fact that human beings behave in ways that are different and predictable depending on their respective social identities and the situation. Key concepts of role theory includes: the identities that actors assume, the expectations for behavior of the actor that is mutually understood and adhered to by the individuals, and the social behaviors that are characteristic of the particular behavior. 2-2-4-7- Social exchange theory Another conceptual model that has been used to explain elder abuse has been derived from social exchange theory. Social exchange theory is based on the idea that social interaction involves the exchange of reward and punishments between at least two people and that all individuals seek to maximize reward and perform instrumental services. In fact, with increasing physical infirmities, the individual begins to require more and more in the form of instrumental services. Therefore, when one is old and infirm, violating the law of distributive justice is relatively easy. In addition, because of the losses associated with aging, the individuals potential to supplement social ties and to extend a personal power base is reduced. As a result, the individual becomes less able to reciprocate rewarding behaviors and less likely to have a choice about continuing unrewarding or punishing social exchanges with those who perform an instrumental service. Figuratively speaking, the elderly individual must begin to live on the credit accumulated over the years because there are few ways to replenish the bank. One outcome of the aging condition that Dowed predicts is that as the imbalance in power increases, the older person is likely to display more passivity and compliance and more withdrawing behaviors in an effort not to alienate the remaining few people who can provide rewards and services. 2-2-4-8- Situational theory Steinmets (1990) have explained situational theory, which is also referred to as caregiver stress. As care burdens multiply, they outweigh the caregivers capacity to meet the needs of the older adult; therefore, caregiver stress can overwhelm the situation. Elder abuse can be outcome. The situational model is the explanatory base that was the earliest devised to explain elder abuse. It also appears to be the most widely accepted at this time. Derived from the theoretical base associated predominately with child abuse and less strongly with other forms of intrafamily violence, this model has considerable intuitive appeal. In addition, among clinicians, this model has popular support, since its basic premise fit easily within an intervention framework. Very simply, the basic premise of the situational model is that as the stress associated with certain situational and/or structural factors increases for the abuser, the likelihood increases of abusive acts directed at a vulnerable individual who is seen as being associated with the stress. The situational variables that have been linked with abuse of the elderly have included 1) elder related factors such as physical and emotional dependency, poor health, impaired mental status, and a difficult personality. 2) Structural factors such as economic strains, social isolation, and environmental problems, and 3) caregiver related factors such as life crisis, burn out or exhaustion with care giving, substance abuse problems, and previous socialization experiences with violence. There is a lot of support to approve the situational model. It is obviofied us that the à ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦ burden of stress to caregivers makes more than overwhelmed and older abuse family members. Moreover, psychological model of child abuse and interfamily violence model which are highly related to structural and situational stress. Bring up the problem of older abuse. If gives a strong approval to use situational model for abuse among older people. Finklhor and Pillemer stated that there are some similarity between child abuse and elder abuse. They found this similarity in vulnerability of abuse victim and frustration in caregivers. Moreover, both child and elder abuse share the social context and are identified by healthcare professionals. They believe that the story is true for spouse abuse, too. Whatever the reason of abuse, it can be prevented. This à ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦.that shows that situational model is an applicable model for elder abuse. 2-2-4-9 Physical/Mental Dependence (Impairment) This theory is based on the belief that elderly persons who have a severe mental or physical impairment are most vulnerable to becoming abused.   In relationships where one person is dependent and another person is the helper or caregiver, there is always potential for misuse of power by the caregiver. Summary of theoretical explanations To explain the causes of elder abuse, some researchers in developed countries have viewed it as a problem of an overburdened caregiver (situational model), a mentally disturbed abuser (intra-individual dynamics), or a dependent perpetrator and dependent victim (exchange theory). Others have used learned behavior (social learning theory), the imbalance of power within relationships (feminist theory), and the marginalization of elders (political economy theory), or a lack of fit between the organism and the environment (ecological theory). 2-3- Review of experimental literature Phenomenon of the elderly abuse and its forms and causes are subjects that have been explored by sociologists, social psychologists and hygiene experts to find its visible and invisible dimensions. This part of the draft, as is clear from its topic, is discussing subject experimental literature about characteristics of victims. This literature involves all performed studies and researches in the form of governmental reports, organizational researches, bachelor, master, and doctoral theses that are cited according to the year they have been performed. No one explanation for the cause of elder abuse exists. Abuse is a complex problem which is rooted in multiple factors (Wolf, 2000). Caregiver stress and burden was once regarded as a major causative factor of elder abuse. However, Anetzberger (2000) discusses the complexity of elder abuse and the results of prior studies, which suggest that the etiology of elder abuse is multifaceted, and that caregiver stress and burden is not the only dominant risk factor. She stresses that the reality of elder abuse demands the development of new explanatory and intervention models (Anetzberger, 2000). A number of socio-demographic factors have been identified as possible contributors to elder abuse. Levine (2003) lists the following factors: intra-family stressors including separation, divorce and financial strain, ageism, increased life expectancy and medical advances that have prolonged years lived with chronic disease (Levine, 2003). Elders are abused in homes, hospitals, nursing homes and in other institutions (Nelson, 2002). Prevalence or incidence data on elder abuse in institutional settings are lacking despite the vast existing literature on issues of quality of care (Wolf, 2000). Most elder abuse and neglect takes place in the home and is inflicted by family, household members and paid caregivers (Smith, 2002). A survey conducted in one US state reported that 36% of nursing and support staff reported having witnessed at least one incident of physical abuse by another staff member during the prior year and 10% admitted to having committed at least one act of physical abuse themselves (Wolf, 2000). A cross-sectional retrospective chart review of new in- and outpatients conducted by a Montreal General Hospital Division of Geriatric Psychiatry in one calendar year, studied the prevalence and correlates of four types of elder abuse and neglect in a geriatric psychiatry service (Vida, Monks, Des Rosiers, 2002) Although this study was limited by a clinically derived and a relatively small sample size of 126 patients, it was reported that elder abuse and neglect was suspected or confirmed in 16% of patients studied. Living with non-spouse family, friends, or other persons in a non-supervised setting, along with a history of family disruptions by widowhood, divorce, or separation were significantly correlated with abuse, while statistically non-significant yet potentially important identifiers included female gender, alcohol abuse, and low functional status. Elders are most at risk from family members (Nelson, 2002). The perpetrator is a family member in two-thirds of known cases of abuse and neglect and was identified as adult children or spouses (National Center on Elder Abuse, 1998). Despite the popular image of elder abuse occurring in a setting of a dependent victim and an overstressed caregiver, there is accumulating evidence that it is neither ca regiver stress levels nor the dependence level of the victim that are the core factors leading to elder abuse (Wolf, 2000). It is now felt that stress may be a contributing factor in abuse cases but it does not explain the phenomenon (Wolf, 2000). Recent studies on the relationships between caregiver stress, Alzheimers disease, and elder abuse suggest that it is the long-term or pre-abuse nature of the relationships which is the important factor in predicting instances of maltreatment (Wolf, 2000). The mental status of the perpetrator which includes emotional, psychiatric, and substance a buse problems, the dependency of the perpetrator on the victim, and the lack of outside the home external support for the victim continue to emerge as elder abuse risk factors (Wolf, 2000). A cohort of 2,812 community-dwelling adults over the age of 65 from the

Tuesday, August 20, 2019

Like So Many Feathers In An Eagles Wings :: Personal Narrative Immigration America Papers

Like So Many Feathers In An Eagle's Wings My life as an American didn't really begin until I was five years old, had caught a fever, and almost died. About a week before, my parents had decided to clean out our small cottage home in Thatcham, England, and put our few lovely possessions into boxes stamped for America. My father had accepted a job in Indianapolis, which meant that my parents, sister, and I would be the first and only of our family to become American immigrants. Our relatives simply couldn't understand it, and to be quite honest, at the time neither could I. They thought my parents irresponsible for wanting to take my sister and me away from all we knew and all that could ever love us. "All for what?" They would protest. "To chase some silly dream? To call yourselves American?" I was young. I was confused and couldn't understand. I even thought my parents were selfish. Then began a time of heart wrenched good-byes, which in my case occurred while clasped between my nanny's large pale hands and soft chest. I didn't really know that I was about to be torn from her and that the rest of my life would be spent wanting to belong. I only knew that something horrible was about to happen, and I didn't want to face it alone. She said, "You be a good lad. Be brave, my sunshine. Don't you go forgetting your old Nan." My mother walked my sister and me out of her bungalow. As we climbed into the car, I could hear Nan let the tears flow. " Goodbye, my darlings," and as though Granddad had not died last spring, "Don't let them take my grandbabies, George." It was then that I realized I might never see my nanny again. I did what I promised my mother I would not. I cried. I had no previous knowledge of America, only what I had heard from Blaine Sutton. He lived next door, and said his armies of toy soldiers were blue because they were American Yanks.

Monday, August 19, 2019

african Americans :: essays research papers

The Fight for Equal Rights: Black Soldiers in the Civil War Historical Background Once let the black man get upon his person the brass letter, U.S., let him get an eagle on his button, and a musket on his shoulder and bullets in his pocket, there is no power on earth that can deny that he has earned the right to citizenship. —Frederick Douglass The issues of emancipation and military service were intertwined from the onset of the Civil War. News from Fort Sumter set off a rush by free black men to enlist in U.S. military units. They were turned away, however, because a Federal law dating from 1792 barred Negroes from bearing arms for the U.S. army (although they had served in the American Revolution and in the War of 1812). In Boston disappointed would-be volunteers met and passed a resolution requesting that the Government modify its laws to permit their enlistment. The Lincoln administration wrestled with the idea of authorizing the recruitment of black troops, concerned that such a move would prompt the border states to secede. When Gen. John C. Frà ©mont (photo citation: 111-B-3756) in Missouri and Gen. David Hunter (photo citation: 111-B-3580) in South Carolina issued proclamations that emancipated slaves in their military regions and permitted them to enlist, their superiors sternly revoked their orders. By mid-1862, however, the escalating number of former slaves (contrabands), the declining number of white volunteers, and the increasingly pressing personnel needs of the Union Army pushed the Government into reconsidering the ban. As a result, on July 17, 1862, Congress passed the Second Confiscation and Militia Act, freeing slaves who had masters in the Confederate Army. Two days later, slavery was abolished in the territories of the United States, and on July 22 President Lincoln (photo citation: 111-B-2323) presented the preliminary draft of the Emancipation Proclamation to his Cabinet. After the Union Army turned back Lee's first invasion of the North at Antietam, MD, and the Emancipation Proclamation was subsequently announced, black recruitment was pursued in earnest. Volunteers from South Carolina, Tennessee, and Massachusetts filled the first authorized black regiments. Recruitment was slow until black leaders such as Frederick Douglass (photo citation: 200-FL-22) encouraged black men to become soldiers to ensure eventual full citizenship. (Two of Douglass's own sons contributed to the war effort.) Volunteers began to respond, and in May 1863 the Government established the Bureau of Colored Troops to m anage the burgeoning numbers of

Sunday, August 18, 2019

Essay --

Introduction: Sustainable Development is becoming the new â€Å"it† word in today’s society. Companies, governments, organizations, NGO’s and individuals all around the world today boast about how they are part of the global Sustainable development movement. That is why it is necessary to understand what Sustainable Development really represents, its definitions and key concepts, real life examples and its future. For the purpose of this paper the most widely acknowledged and used theory of Sustainable Development published in the Brundtland Report shall be used: â€Å"†¦development that meets the needs of the present generation without compromising the ability of future generations to meet their own needs† (WCED 1987, p. 43). This definition of Sustainable Development contains within it the two key concepts that are present in our society: the concept of needs and the concept of limitations. The concept of needs involves providing strong priority to the poor and providing them with essential needs like clean water, medicine, shelter and food (World Commission on Environment and Development, 1987. The concept of limitations encompasses the idea that there are certain limitations imposed by technology and social organizations on the ability of the environment to meet the current and future needs of society as has been described in the (World Commission on Environment and Development, 1987). This concept described in the Brundtland report aims to define the fact that the world must be seen as a system and not as a whole. As upon understanding individual parts of the system it becomes much easier to identify the problems and find solutions. The concept of needs has vastly been distorted in today’s society as for the more economically developed... ...the whole process would fall apart and be inefficient. As for 2013 Sustainable Development on a global scale is still in its infant stage. The lack of international agreements on measures and disinterest of the Northern society in true Sustainable Development measures have resulted in only small fraction of the original vision to be implemented. Change is happening, just not at the desired pace, but the time has come to make some of the harsh decisions, such as strict cuts in emissions around the world. Several decades after the Brundtland report was published it seems more than viable for there to be a Brundtland Report 2.0. This report would be restructured according to current trends and demands of society and focus more on solving the problems of the current generation. Sustainable Development has a bright future as long as there is an adequate catalyst nearby.

Saturday, August 17, 2019

Methods of Interrogation Pows

METHODS OF INTERROGATION OF A PRISONER OF WAR Introduction 1. A ‘Prisoner of War’ is a person, whether combatant or non-combatant, who is held in custody by an enemy power during or immediately after an armed conflict. The treatment of prisoners has always been matter of debate in the world and many declarations and resolutions have been made in this regard including Geneva Convention of 1949. War is a time of confusion and while many suffer from it, there are many who benefit in the fog of it. The military personnel, whenever caught, have to be treated as PsOW and they have certain rights and privileges.The enemy always utilizes this opportunity to the fullest and employs certain obvious and hidden methods to extract information from the PsOW. Rights of a POW 2. The POW can only be interrogated by following the rules and regulations laid down in the Article (v) of Geneva Convention of 1949. A prisoner of war needs only to give his name, number and rank and must remain s ilent on all other matters and resist all enemy efforts to extract information from him. In case his rights are violated, the violators are subject to the provisions of international law and they may be tried by the international criminal court.Methods of Interrogation 3. A number of interrogation techniques have been used of approved for use. They include standard Army methods in compliance with the Third Geneva Convention, as well as other approaches which are either questionable or clearly exceed the strictures protecting POWs. Several of the latter may also violate other limitations outside the scope of human imagination. 4. Numerous devices may be effectively employed by the interrogator to establish mental contact or rapport with POW. At the outset it should be emphasized that the objective of an interrogation is seldom, if ever, to obtain an admission or a confession.The subject is interrogated for accurate and reliable information. Several common methods interrogation which are being used for the purpose by interrogators are briefly discussed below. (a)Show of Knowledge or â€Å"We know all†. In this method, the interrogator familiarizes himself with all available data on the POW and his unit or whatever subject is being explored. He asks questions to which he already has the answers and scornfully answers them himself when the POW hesitates. He is striving to convince the POW that he already knows all the POW does so that resistance is wasted effort.When the prisoner starts giving correct information and answers freely, a few â€Å"mystery† questions can be slipped in. Dummy questions should still be used from time to time to test the POW, to conceal from him the fact that he is giving new information, and to prevent him from realizing that he is â€Å"spilling the beans†. (b)Stool Pigeons. Enemies infiltrate their own men in the POW camps under the garb of PsOW from other units or services. They make PsOW discuss various aspects of service amongst themselves and extract information. (c)Consolation.Innocent looking folks like servants, guards, sweepers try to console the PsOW offer small favour and then make efforts to get the required information. (d)Bugging. The camps and residences etc of PsOW are bugged and their conversation taped. (e)Favours. Money and other Favours are offered and assurances given that no damage will be done to the individual, if he cooperates. (f)Recruitment. A few PsOW are recruited and then utilized for collection of information from other PsOW. (g)Direct approach. In this method the interrogator seemingly â€Å"lays the cards on the table†, apparently makes no attempt to hide the purpose of the questioning.This approach should be used only in cases where the interrogator assumes or knows that the person interrogated will not refuse to give information. (h)Rapid fire questioning. This method consists of a rapidly delivered series of questions which keeps the POW constantly o n the defensive and off balance thereby weakening resistance an/ or his determination to give evasive answers. When this approach is employed the POW often loses patience, becomes angry, offended, or confused, and begins to talk in self defense. (j)Emotional approach. This method consists of playing upon the emotions of a person in order to bring out the required information.When using this method, the interrogator creates an atmosphere of emotional confusion designed to reduce security consciousness. The emotional approach utilizes hate, revenge, fear, jealousy, sadness, pity, and similar emotions. It also exploits religious and patriotic feelings, sense of social duty, and other concepts based on emotional reactions. (k)Trickery. This method has an almost limitless number of variations. Its purpose is to cause the POW to divulge information without being aware of it, or without a conscious or willful choice in the matter. (l)Censoring.The mail of PsOW is censored. (m)Third Degree Methods. Third degree methods are used to break the PsOW. It is apparent from above that once captured as prisoner of war, the responsibility of a service person increases many folds and he must keep his mouth tightly shut to ensure that no information is leaked out. However, he must look normal and should not give impression of being in possession of full information. (n)Propaganda. The PsOW are given propaganda material to read, to hear from radio or from the TV to see to break them down and lower their spirits.This is done to bring their morale down to a certain level where they themselves will start giving information thinking their country might or already has lost the war. (p)Stupid interrogator. In this method the interrogator pretends to be a stupid individual with very little understanding of military or other matters. This device may have the desired effect of disarming the person interrogated. The POW is required to â€Å"explain† everything (Even inconsequential i tems) because the interrogator is so â€Å"stupid. † 5. Variations. Any of the usual methods may be varied in many ways.Here are some variations which might fit into any of the categories of the methods listed in Para 4above. (a)Sympathy. (b)Sternness. (c)Pride and ego. (d)National pride. (e)Face saving. (f)Bluff. (g)Fear. (h)Drawing attention away from the real object. (j)Threat and rescue. Conclusion 6. There are many others; in fact, the variety of methods is limited only by the initiative, imagination, and ingenuity of the interrogator. The interrogation method should be tailored to suit each individual case, and may be combined with other methods to suit special requirements.

Friday, August 16, 2019

National Bank of Borneo Essay

I. NATIONAL BANK OF BORNEO II. COMPANY BACKGROUND National Bank of Borneo is one of local banks in Brunei. Its establishment was indebted to Mr. Khoo Teck Puat the father of the detained Khoo Ban Hock. Mr. Khoo Teck Puat is a son of a rich trader, who in 1933 merged several banks together to form Singapore’s biggest, OCBC or Overseas- Chinese Banking Corporation. After his impeded rise in the position, he left and went to Malaysia. In Malaysia he founded Malayan Banking and very rapidly he was able to open 100 branches in just one year. In six years time, the bank that he founded equal that of OCBC in Singapore, with this he was able to own 60% of Malayan Banking. Seven years later the Malayan Central Bank or BN Bank of Negara forced Khoo out, alleging excessive lending to his own companies. After leaving Malayan Banking he retained his interest in the bank’s branch in Brunei. This branch was about to be closed in 1962 but with the help of share investment by the royal company, the bank now called National Bank of Borneo prospered. National Bank of Borneo is a bank which is the larger of the two local banks in Borneo. It has advances of $ 1.128 billion, deposits of $ 1.147 billion, total capital and reserves of $ 199.4 million, and a post tax profit of $ 31.1 million. III. VIEWPOINT IV. STATEMENT OF THE PROBLEM One case from Brunei concerns Khoo Teck Phuat and his son Khoo Ban Hock. The latter was managing director of NBB w. Under his charge, the bank loaned more than Brunei $1 billion (which is equivalent to Singapore $1 billion) to companies controlled by his father. These loans were undocumented and  unsecured. It was claimed that these offences under Brunei banking laws by Khoo Ban Hock were committed under the control and his direction of his father. When this dishonesty was discovered, the younger Khoo was sentenced to 3 years jail but later only served two. The elder Mr Khoo was not charged, but it was understood that he made restitution of about S$600 million to cover the losses suffered by various party. Mr Khoo Teck Puat later went on to become a billionaire, and was of the largest shareholders in megabank Standard Chartered when he died in 2004. However, after the NBB scandal, he kept a low profile.

Thursday, August 15, 2019

Human Trafficing

CAUSES (Why does this problem exist? What situations have brought it about? Who or what is responsible? ) 1. Similar to traditional slavery; owner has complete control over the person. SOURCE (Author's last name and page number where you found the information on – just put web if found online. Put the â€Å"Title† if no author): Cullen-DuPont 7 2. Debt cause people to go towards this SOURCE (Author's last name and page number where you found the information on – just put web if found online. Put the â€Å"Title† if no author): Cullen-DuPont 7 3. 35,000 minor girls in prostitution in ThailandSOURCE (Author's last name and page number where you found the information on – just put web if found online. Put the â€Å"Title† if no author): Cullen-DuPont 12 4. purpose of exploitation(prostitution, forced labour/slavery and the removal of organs) SOURCE â€Å"What is Human Trafficking? † web 5. CST(child sex tourism)- when men and women travel to have intercourse with children SOURCE (Author's last name and page number where you found the information on – just put web if found online. Put the â€Å"Title† if no author): : Cullen-DuPont 13 6. traders take advantage of women by gaining trust; abroad jobs or boyfriends’ take them on vacation. SOURCE (Author's last name and page number where you found the information on – just put web if found online. Put the â€Å"Title† if no author): Cullen-DuPont 10 7. anchorage man used cocaine, and abuse to obtain his victims to stay as prostitutes SOURCE â€Å"Human Trafficking: Today’s Slave Trade† web CAUSES (Why does this problem exist? What situations have brought it about? Who or what is responsible? ) 8. Organized crime SOURCE â€Å"What Is the Role of Transnational Organized Crime Groups in Human Trafficking? † web 9. ifferent from smuggling, but like it SOURCE â€Å"How is Human Trafficking Different from Migrant Smuggli ng? † web 10. Trafficking victims are often hidden in plain sight SOURCE â€Å"Human Trafficking† web 11. some employers instruct the victim on what to do when the police come SOURCE â€Å"Human Trafficking† web 12. guards and cameras to make sure no one escapes SOURCE â€Å"Human Trafficking† web 13. victim can’t usually attend social stuff and religious sermons SOURCE â€Å"Human Trafficking† web 14. Florida 3rd for human trafficking SOURCE â€Å"Human Trafficking Bill Clears Legislature† webCAUSES (Why does this problem exist? What situations have brought it about? Who or what is responsible? ) 15. Prosecutions rare; victims are afraid to come forward SOURCE â€Å"Human Trafficking Bill Clears Legislature† web 16. Human smuggling- illegal entry of a person across a border SOURCE â€Å"Distinctions between Human Smuggling and Human Trafficking 2006† web 17. Human smuggling sometimes involved in human trafficking SOURCE â€Å"Distinctions between Human Smuggling and Human Trafficking 2006† web 18. gender inequality is used to obtain women SOURCE Cullen-DuPont 25 19.Belgium Germany Greece Israel Italy Japan and Netherlands all very high trafficking places SOURCE Cullen-DuPont 25 20. many men buy their wives SOURCE Cullen-DuPont 25 EFFECTS / NATURE OF THE PROBLEM (DESCRIBE THE PROBLEM ; HOW IT AFFECTS PEOPLE. ) 1. slaveholder has complete control SOURCE (Author's last name and page number where you found the information on – just put web if found online. Put the â€Å"Title† if no author): Cullen- DuPont 7 2. recruiting, transporting or receiving a person by force, coercion or other mean to exploit them SOURCE â€Å"What is Human Trafficking? † web 3.Threat or use of force, abduction, fraud, deception, abuse of power giving payments to control victim SOURCE â€Å"What is Human Trafficking? † web 4. in Thailand girl went into prostitution to obtain money for her pare nts SOURCE (Author's last name and page number where you found the information on – just put web if found online. Put the â€Å"Title† if no author): Cullen-DuPont 13 5. this effects every country in the world SOURCE â€Å"Which Countries are affected By Human Trafficking? † web 6. Asia has the most problems SOURCE â€Å"Which Countries are affected By Human Trafficking? † web 7. Mostly womenSOURCE â€Å"What Is The Most Commonly Identified Form Of Human Trafficking? † web EFFECTS / NATURE OF THE PROBLEM 8. 1,000,000 people a year 20,000 of them in USA SOURCE â€Å"HUMAN TRAFFICKING AND SLAVERY† web 9. Victims are put into isolation SOURCE â€Å"Distinctions between Human Smuggling and Human Trafficking 2006† web 10. sex trafficking- when victim forced prostitution SOURCE â€Å"Human Trafficking† web 11. STDs can be spread rapidly SOURCE Victims of Trafficking and Violence Protection Act of 2000. 22 USC 7101 12. Asian countries (India Philippines and Thailand) all use child sex tourismSOURCE Cullen-DuPont 13 13. 4 year olds are taken into trafficking SOURCE Cullen-DuPont 13 14. kids kidnapped by strangers. SOURCE Cullen-DuPont 12 EFFECTS / NATURE OF THE PROBLEM 15. kids vulnerable to forced labor SOURCE Cullen-DuPont 21 16. Sexual exploration counts a forced labor SOURCE Cullen-DuPont 20 17. forced labor not categorized as sexual exploration SOURCE Cullen-DuPont 20 18. considered fastest growing criminal industries SOURCE â€Å"Human Trafficking† web 19. about 100,000 kids in trafficking each year SOURCE â€Å"Human Trafficking† web 20. forced labor in storesSOURCE â€Å"Human Trafficking† web SOLUTIONS (How are people helping right now? What theories exist about how to help? What organizations and people are working for this cause? What laws exist to help? ) 1. UNODC(United Nations Drug Control Programme and the Centre for International Crime Prevention) helping US with problem SOURC E: â€Å"What is Human Trafficking? † web 2. UNODC wants to end Human Trafficking SOURCE : â€Å"What is Human Trafficking? † web 3. Number of caught convicts is increasing SOURCE â€Å"Do Many Traffickers Get Caught and Convicted? † web 4. . Trafficking Victims Protection Act of 2000 (TVPA)SOURCE â€Å" Anti-Trafficking in Persons† web 5. T-Visa created for victims of trafficking in US SOURCE â€Å"Human Trafficking and Slavery† web 6. 22 USC 7101- defines sever forms of trafficking SOURCE: â€Å"Distinctions between Human Smuggling and Human Trafficking 2006† web 7. the declaration of independence states how everyone is worthy SOURCE Victims of Trafficking and Violence Protection Act of 2000 22USC 7101 SOLUTIONS 8. laws fail to help HT for most are illegal immigrants SOURCE Victims of Trafficking and Violence Protection Act of 2000 22USC 7101 9. weak penalties of HT in the USSOURCE Victims of Trafficking and Violence Protection Act of 2000 22USC 7101 10. HT includes violations of many laws of rape SOURCE Victims of Trafficking and Violence Protection Act of 2000 22USC 7101 11. US agrees that HT is against human rights SOURCE (Victims of Trafficking and Violence Protection Act of 2000 22USC 7101 12. some countries also hinder penalties against HT SOURCE Victims of Trafficking and Violence Protection Act of 2000 22USC 7101 13. public service announcements are made to warm people of HT SOURCE â€Å"Prevention â€Å"web 14. Global Report on Trafficking in Persons- February 2009SOURCE â€Å"Prevention â€Å"web SOLUTIONS 15. Community Vigilance project- this is found in many villages to prevent HT SOURCE â€Å"Prevention â€Å"web 16. in 2009 202 convicts were arrested, these numbers are increasing SOURCE â€Å"Human Trafficking: Putting a Stop to Modern-Day Slavery† web 17. Human Trafficking Initiative in 2005- FBI SOURCE â€Å"Human Trafficking: Putting a Stop to Modern-Day Slavery† web 18. Project t o End Human Trafficking- found 2004 SOURCE â€Å"About Us† web 19 educating the public about HT SOURCE â€Å"Mission Statement† web 20. mental doctor s to help victims SOURCE â€Å"Mission Statement† web

Capital Punishment and Sensitive Societal Issue

Punishment Punishment, Witness, and dehumanization are common in the world today illustrated in poems such as, â€Å"Punishment† by Seamus Heaney and â€Å"Capital Punishment† by Sherman Alexie. The poems give the world a different perspectives based on the authors viewpoint, yet both authors seem to favor punishment. Therefore everyone in their life deserves to be punished based on the authors work or even a witness for one reason or another to speak for something they have done or witness. These authors wanted to show a strong feeling towards punishment whether or not the crime was minor or major. In â€Å"Punishment† the speaker was a witness to dehumanizing punishment of the bog women. In â€Å"Capital Punishment† the cook was a witness to a cruel punishment. Even though both authors focused on different types of punishment they both expressed how witnessing and dehumanization have a vital role in different situations. Can punishment and race have factors that can change one another? Can the ethnicity of a criminal effect the severity of the punishment bestowed upon them? The ethnicity of a criminal or witness can determine how cruel and usual a punishment can be towards the criminal or witness. Witnessing is seeing an event, crime, or even an accident take place. In the poem the author talks about witnessing a horrible event. Punishment begins with a person possible the speaker or even the poet hanging with a noose around her neck and seems to be dead. The speaker seems like he could have witness the entire death. He describes the bog woman as, â€Å"she was a barked sapling that is dug out oak- bone, brain firkin: her shaved head like a stubble of black corn, her blindfold a soiled bandage, her noose a ring to store the memories of love† (Heaney, 1157). Even though he describes her as a scapegoat why does the speaker not speak up for this cruel dehumanizing punishment. The punishment was so outrages that the audience felt her pain. However, the speaker first says â€Å"my poor scapegoat† (Heaney, 1157), and we feel as if he feels the sorrow the readers do, shortly after he says, â€Å"I almost love you† (Heaney, 1157). With his participation of the punishment it leaves the audience believing that the woman deserves the punishment because of her past. â€Å"Capital Punishment† is told in first person, a cook is preparing a last meal for an Indian man. He says â€Å"I sit here in the dark kitchen when they do it, meaning when they kill him, kill and add another definition of the word to dictionary† (Alexie, 1164). The line â€Å"I am not a witness† is repeated throughout the poem, it is said after Alexie addresses a sensitive societal issue. Topics such as capital punishment are very difficult for the cook to explain. The speaker of the poem is sympathetic with the condemned man and knows that the reason he is on death row is due to the color of his skin. After the narrator describes and tells the reader what he is thinking and observing, he uses a line saying, â€Å"I am not a witness† symbolizing that the narrator can only imagine but relate to what the Native American is going through. He changes from â€Å"I am not a witness† to â€Å"I am a witness† (Alexie, 1162) when the narrator tells the reader a story about how the society can hang two people but throw both people in one grave. The line symbolizes that two wrongs do not equal one right. The cook sympathies with the criminal because he knows that his punishment is only that sever because of his ethnicity. I am a witness† is Alexie's way of saying this type of punishment is happening and is something that cannot be ignored or overlooked. The author asks the question, who are we to judge? Who decides someone's life is over? Alexie says at the end of the poem, † †¦ If any of us stood for days on top of a barren hill during an electrical stor m then lightning would eventually strike us and we'd have no idea for which of our sins were reduced to headlines and ash. † (Alexie 1165). Alexie was trying to say no matter what, a sin is a sin, the terms in which the sins were committed are meaningless, and the bottom line is that a sin was committed. However, if we were killed for our actions how would we know if the condemned would make up for that sin or turn out for the worst? Both poems prove that the author's point of view of each punishment in the poem shows significance in the writer's everyday life. Seamus Heaney's â€Å"Punishment† shows bitter love and can somewhat symbolize the relationship of the love of his life. Sherman Alexie's â€Å"Capital Punishment† symbolizes the punishment people experience especially through racial discrimination. In addition, by Alexie being Native American too, that proves he was making a statement about bitter punishment towards his culture. The ethnicity of a criminal or witness can determine how cruel and usual a punishment can be towards the criminal or witness. Work Cited Alexie, Sherman. â€Å"Capital Punishment. † Making Literature Matter: An Anthology for Readers and Writers. By John Schilb and John Clifford. Boston: Bedford/St. Martin's, 2000. N. page. Print. Heaney, Seamus. â€Å"Punishment. † Making Literature Matter: An Anthology for Readers and Writers. By John Schilb and John Clifford. Boston: Bedford/St. Martin's, 2000. 1156-157. Print.