Monday, September 30, 2019

An Interpretation of Horace’s Art of Poetry Essay

The epistle from Horace’s Art of Poetry was not merely a guide for good literature, but it was a sophisticated writing that displayed his principles and wisdom, and the contemporary Hellenistic influence on the Romans. Horace’s profound work clearly asserted his position as a literary master. Throughout his letter to Piso, he was able to make his description interesting and explanation convincing. He exhibited his expertise in literature by presenting detailed guidelines to write proficiently. Among his suggestions, he stressed precision, good iambic lines, and proper literary styles and formats. He also emphasized on the importance to strive for unity, as the writing would lose strength without coherence. If he were not a master at literature, he would not be able to discuss the technical details in depth. Furthermore, Horace was not only a man with distinguished achievements, but he was also a man with great principles. With many people yearning for success, he described Rome as â€Å"a nation greedy just for fame† (129). He criticized the Romans for being indulgent and materialistic. Since everybody was so absorbed in earning money, he asked, â€Å"what poems can we expect to write worth coating with protective oils and storing in fine wood?† (129). To Horace, money was not the primary motivation to pursue his writing career, and that explained why Horace rejected Augustus’s offer to become his secretary, which was an honorable position for a freed man. With his great virtues and morals, Horace was undoubtedly one of the best poets in the Roman Empire. Horace’s writings revealed the dominant Hellenistic influence. They were eloquent and highly intellectual, much nearer to that of the scholarly Greek writers of the Hellenistic period. He showed that he possessed deep knowledge of the Greek literature, since he often referred to Greek writers and to their plays. In his letter to Piso, he used Homer’s Odyssey as an example of great literature. â€Å"Make your models Greek,† as Horace declared, â€Å"and turn their pages nightly; turn them daily too† (127). This indicated his fondness of the Greek models. In addition, he mentioned that poets â€Å"[sung] about Italian themes in tragedies and comedies attired in Roman clothes† (128). Evidently, Hellenism had impacted not only Horace, but also the contemporary poets. By observing how Hellenism had revolutionized the  theoretical thinking of the poet of Rome, one can conclude that the impact of Hellenism was unquestionably prominent. Horace’s work of art demonstrated his expertise in writing, as well as the Hellenistic influence on Roman writers. Horace declared, â€Å"To flee vice is the beginning of virtue, and to have got rid of folly is the beginning of wisdom.† And Horace’s wisdom had presented new insights to the ancient Roman Empire. In studying Horace’s polished writings and distinguished qualities, scholars can further investigate how Greek culture had progressively integrated itself to the ancient Roman’s lives. J. Atchity, Kennedy. The Classical Roman Reader. New York: Oxford University Press, 1997

Sunday, September 29, 2019

Philip Morris Essay

1.How would you describe Marlboro’s competitive position in early 1993? Marlboro, the leading cigarette brand for Philip Morris, was the dominant player in the premium priced market. While RJR was the second largest player in the market, RJR’s cigarette brands were fragmented. At the end of 1992, Marlboro had 24.4% unit market share, while each of the RJR brand cigarettes had less than 7% market share. Philip Morris, at 53% operating contribution margin, was significantly more profitable than RJR, at 34% operating contribution margin. Marlboro was essentially backed by the biggest, most profitable player – Philip Morris. Philip Morris was also the consistent market share leader, at least since 1988, over RJR and other much smaller companies. The industry had sustained profitability over time. There we can conclude that there are significant barriers to entry in the cigarette market. Additionally, the need for a strong distribution network with retailers and wholesalers added to the barriers to entry into the market. Threat Discussed on more detail later, Marlboro was facing stuff competition in the 90s from discount brands, particularly RJR brands. While Marlboro, a premium brand, suffered a steadily declining market share since 1989, discount brands were quickly gaining market share. 2.What is Marlboro’s marketing strategy at this time? Marlboro positioned itself as a premium brand cigarette. While it played in the discount segment as well, it was second to RJR brands in the discount segment. Marlboro spent a significant amount of money in advertising and promotions to command its premium pricing. Marlboro became synonymous with Iconic imagery such as the â€Å"Marlboro man† and wild western country images. This led to Marlboro’s strong hold amongst young men. Marlboro outspent its competitors in advertising – spending $3.5 million per percent market share in 1992, compared to $2.1 million spend per percent market share by RJR. (RJR was focused on the discount segment by 1992) Marlboro also used its market power to engage in â€Å"Trade loading†, essentially forcing retailers to forward buy and to stock up on Marlboros just before a price increase. This probably encouraged retailers to allocate more shelf space to Marlboro to get their inventories moving from their warehouses. 3.How does this compare to R.J. Reynolds? RJR focused on its discount brand. RJR had built it self to the discount segment market share leader with 33% discount segment share by 1992. RJR carried about 200 brands under its umbrella. While they had national brands, they also created individual brands for each retailer, resulting in a string distribution system. This was probably well received by the retailers since a cigarette was one of the most profitable products sold in stores. RJR not only cut price to increase discount market share, but also invested in price promotions. Their growth in the 90s had come by taking market share from premium brands during a recessionary period. 4.What accounts for Philip Morris’ dramatic shift in strategy in April 1993? What are its goals? 6. What kind of industry future does Philip Morris anticipate? Market shift (Consumer behavior and regulation) The 1990’s was a recessionary period in the US. While cigarette smokers were believed to be loyal to their brands (and are generally very sticky consumers), there was a marked shift in the emergence of discount brands. In a span of 11 years (1981- 1992), the market share for discount brands in the US went from 0 to 30%. Meanwhile, Marlboro was steadily loosing market share, loosing 2 market share percentage points from 1989 to 1992. Additionally, the regulatory climate was putting an upward pressure on price. While government taxes were on the rise, restrictions on advertising of cigarettes were emerging, both of which made selling cigarettes more expensive. It can be argued that with the rising awareness amongst consumer on the hazards of smoking this upward pressure on price from a regulatory perspective would persist in the medium term. RJR Phillp Morris was also presumably worried about the aggressive price cuts and promotions by RJR to increase its market share. Goals of Philip Morris Strategy Philip Morris needed a aggressive competitive response to tacklethe threats of: declining market share, increasing share of discount brands, regulation, and RJR’s promotions and price cuts. They decided to aggressively attack the existing discount brands and make the Philip Morris brand significantly more price competitive. Philip Morris effectively cut price by 20%, creating 2 tiers of cigarette pricing (from 3 tiers before). Their premium products were now significantly more competitive, compared with the discount brands due to their reduced price and existing strong brand image. Philip Morris were betting that a large portion of consumers would compare their premium product as price competitive with the discount brands, and would chose Marlboro due to its superior brand image and comparable prices. They essentially wanted to win the pricing game and lead with their brand. Surprisingly, they slightly increased the price of their discount brand by a mere 6 cents. This was probably to restrict the range in which the pricing war could be played by other players. Industry Outlook for Philip Morris Surely with the consumer behavior shift and the increasingly hostile regulatory climate described above, Philip Morris views the industry margins becoming thinner and realizes it will get progressively harder to get new consumers. Therefore attracting heavy smokers becomes key for growth and long term profitability. Additionally, Marlboro views the market as price sensitive, especially for heavy smokers. Attracting and retaining this segment is not only a branding game but also a pricing game as well since there is a high frequency of repeat purchases. 5.How should R.J. Reynolds respond? In my opinion, RJR needs to â€Å"make good† (option 3 below) with Philip Morris. The three options for RJR are: Fight with a further price cut or increase in advertising: not only will this option further erode industry margins, but also RJR will probably get crushed in a price/advertising war against the much larger and more efficient Philip Morris. Do nothing: and risk loss of its discount market share dominance to Philip Morris. Price increase (â€Å"make good†): Philip Morris is clearly signaling that it will play aggressively in the discount segment, and in the war for consumers moving or likely to move to the discount segment. With a slight price increase, RJR can signal to Philip Morris that it does not want to engage in a further price war, and it will maintain industry profitability. Such collaborative behavior is probably best for both players in the industry. Additionally, since RJR has a strong distribution with personalized brands for retail outlets, it should focus on building its capability in such brands. The localized brands are arguably a slightly different turf than only fighting the game as big national brands (where Marlboro is very strong with its dominant brand imagery), and local retail branding is RJRs stronghold.

Saturday, September 28, 2019

Water Laws in the United States of America Essay

Water Laws in the United States of America - Essay Example There are rights of tribes that need to be taken into account while framing these laws. Apart from this, there is also the issue of balancing conservation with development, which has become a major issue in the understanding of the use of natural resources. An awareness of the need for sustainable development has led to a greater amount of care being put into the conservation of the environment. Framing appropriate laws is one of the most important parts of the conservation of the environment. This paper shall look at the different laws that govern the use of water and water bodies in America. It shall also look at the conflicts that have arisen as a result of such laws and the violations that have happened. All of these go to show how important the preservation of the environment is and the problems that may result as a result of neglect and avarice. The United States Environment Protection Agency seeks to ensure the quality of the water that is found in American water bodies. Water Quality Standards are set to be maintained that are then strictly enforced. These not only prevent unauthorised factory effluents from dirtying the water, they also prevent the contamination of the water by people who live near these rivers and lakes. An important part of this endeavour is the Clean Water Act that results in the standards being constantly monitored. This act lays down specific standards that need to be revised regularly to meet the needs of the community and also to make it scientifically viable. Section 304(a)(1) makes it necessary for the criteria that are laid down for the quality standard of the water found in rivers and lakes to be measured according to the latest scientific discoveries. These discoveries are required to be done taking into consideration the state of the fish that live in these water bodies. CWA Â §316(b) requires that the different aspects that are associated with cooling water intake structures are required to meet certain standards that ta ke into account the environmental impact that they have (Surface Water Standards & Guidance, 2012). The rights of the separate communities of America too have to be maintained while framing the laws regarding them. The maintenance of the peaceful fabric of the American society is to be given a great deal of importance while framing these laws. Laws that reserve a certain amount of water from certain water bodies are commonly known as Winter Rights. They prohibit the use of water that is reserved for the use of Native American tribes that are federally recognized, by others. It prohibits such use, unless such instances are those where the tribes relinquish their rights. These laws are created in such a way that they coincide with the laws that are created by the states for the protection of the rights of the Native American tribes. This has been done to avoid conflicts that may escalate into racial tension. Such laws need to exist to maintain the culture of America that integrates pe ople of different backgrounds and ensures their cultural and economic welfare. There is however, conflict regarding this law where it is felt that certain sections of the populations seeks to appropriate the water that is reserved for the federally recognized tribes in America (Winters Rights (Decision), 2011). Riparian rights are also an important part of the legal framework governing the use of water. It provides a person who owns a piece of land in front of a water body the rights to usage of the water and other resources associated with it. The owner of the land is allowed to use the vegetation of the bottom of the river right in

Friday, September 27, 2019

UK Government Policies Essay Example | Topics and Well Written Essays - 1500 words

UK Government Policies - Essay Example The reasons for the banking crisis were many including low real interest rates, too much liquidity and a misjudged faith in the financial system. These three factors created an entourage that was extremely optimistic and full of opposite opinions. By not understanding the sensitive situation, some banks have only themselves to blame (Singh, 2007). The tradition within the banking sector in the UK has been one of the risks taking type that lead to its ultimate failure. Bankers made a mess of the financial reading and hence the financial situation (Singh, 2007). However, this failure was not just restricted to individual banks but also the system constructed to defend the public from risk. Banks got concerned about the value of their mortgage and also about the mortgages they had purchased from other institutes. For this reason they refused to lend to other banks in the money markets (Singh, 2007) The measures that the governments stuck during the financial crisis were public investments like debt and equity which further resulted in acquiring banks and other institutions. Government investments eased the situation of banks that went bankrupt and failed to meet its obligations. It increased the amount of money or capital they had and able to make them go on with their daily business routine. The banks that did not keep up to their reputations were legally intervened by the government as it is a part of legal procedure. This intervention means taking away the license from the banks if they were under performing to the level that they had huge debts. This practice however is very common in the USA and some examples include the closing of Washington the sale to JPMorgan (Giudice, 2012). In some cases a few banks could not be sold and so the government decided to take over them by nationalization. For example in the UK the government nationalized many banks and took over some by b uying through common stock. Common stock gave them the right to owner ship of some of the largest banks in the UK like Royal Bank of Scotland and Lloyds (Giudice, 2012). To recover from this financial crisis, the government of the United Kingdom came out with different schemes. One of the schemes was known as the recapitalization program. Under this scheme the government agreed to finance the largest banks in the UK by injecting ?50 billion worth of investment. A company called the UK Financials Investment Limited (UFIL) was created to manage investments in these large banks and to check if they were providing lending with reasonable rates of interest to the general public (Lybeck, 2011). The recapitalization program required an approval from Her Majesty’s treasury for banks to attain it. Eight banks and building societies subscribed to the program including RBS and Lloyds who were granted funds worth ?20 billion and ?17 billion respectively. The government also put some dema nds forward. It said that the banks, after receiving funds should try to help people with their mortgage payments so that they could stay in their homes. The government also kept the right to appoint new non-executive directors. The government recapitalized RBS and Lloyds and taking over 70% and 65% respectively. It took complete control over Northern Rock and Bradford & Bingley. The reason

Thursday, September 26, 2019

Health and Communities week 16150 Assignment Example | Topics and Well Written Essays - 250 words

Health and Communities week 16150 - Assignment Example HIV patients require exceptional health needs, which have negative influences to the global economies due to the necessity to manufacture drugs that improve lives of the ailing individuals (Shi & Stevens, 2010). Science, policy, and practice ought to be integrated and utilized in the alleviation of the HIV pandemic. Integration of these factors can direct to development of strategies that can be utilized to bring about positive influences towards the matter. Utilization of science concepts can practically enable development of drugs that can be utilized to thwart further spread of the disease (UNESCO, 2008). Additionally, policy can ensure that individuals with the illness avoid spread to the healthy individuals. Consequently, the overall spread can be substantially minimized through integration of these imperative concepts. Science can enable collection of imperative information concerning that can be practically applied to educator communities regarding the HIV pandemic. However, this can be realized via effectual policies and programs that concentrate on the global matter. Policy architects and implementers can utilize the information in the creation of education systems to disseminate i nformation to all regions across the globe (UNESCO, 2008). The epidemiological resources can enable healthiness officials and policy makers develop mechanisms to prevent further spread in different regions across the globe. The resources can allow policy makers to establish the predisposing factors thus enable them to tackle the matter

Wednesday, September 25, 2019

School paragraph Essay Example | Topics and Well Written Essays - 250 words

School paragraph - Essay Example During the same first year I associated with a group of rotten kids who never cared about anything leave alone even what brought them in high school, and as a result my social life suffered too. In my second year I continued to struggle with motivational issues in my core classes of biology and mathematics, but like in my first year I ended up in classes that I enjoyed such as chemistry. But that year never went to waste like my first year as I successfully managed to expand my social life by ditching out the group of bad kids and started hanging out with a group of more responsible students. As we approached third year, I was able to turn my high school education around due to the moral boost I got from my new group of friends. During the fourth year, I enjoyed staying in the hall for long time doing projects, and also interacting with some of my friends. This helped me both academically and socially too as I was able to get my up to date girlfriend whom though we had stayed together for only six months before I completed my studies she had completely changed my life for good. Through her I came to know that people really respect and enjoy the person that you really are inside, and if they don’t, they are not really your friend. All these experience from first year to fourth year changed me in a large way. Coming to high school I was shy, unmotivated young man who didn’t know what he wanted with life but through all those experiences that I went through, I left high school as a man who was mature, outgoing, and very sure of myself. Those experiences taught me to believe in myself and always to have hope and confidence in every activity I engage in to in

Tuesday, September 24, 2019

Protagoras vs. Socrates Essay Example | Topics and Well Written Essays - 750 words

Protagoras vs. Socrates - Essay Example On that note, Socrates had many questions in his mind. He began asking his friend, Hippocrates, about what he thinks he would learn from his intended mentor. Nevertheless, Hippocrates had no literal answer to his friend’s question. Thus, the two of them went off to Protagoras to ask about the answers to Socrates’ questions. The dialogue was heard by a few people including Prodicus, Hippias and Callius (Plato, pp.3-4). When the two friends met Protagoras, Socrates inquired from him as to how he taught his pupils and what subjects did he teach. When Protagoras came across these question, he responded in a way that he did not intend to teach Hippocrates anything technical or functional, however, what he will teach would be how he might become a good citizen. In addition, he asserted that he teaches the pupils what politics is and the ways to manage their personal affairs. His focus, as he narrated, was on how they might lead a virtuous life. The debate between Socrates and Protagoras began with the notion that Socrates believed that virtue is not a subject to be taught or imparted to someone literally. On the other hand, Protagoras’ notions incorporated that since the base of all political systems lies over the fact that human beings and specifically citizens of that particular country possess virtue and thus, the subject is undoubtedly teachable. Moreover, he asserts his arguments over the fact that the whole system and concept of criminal justice revolves around the idea that human beings can be manipulated; their ideas, believes and thus their attitudes can be reformed. In addition, since, it can be reformed and manipulated; there is always a possibility that you can teach human beings the same. He argued that excellence in citizenship could never be thought as something that should be innate and can never be adopted in a process of learning. He also argues that every citizen has a sense of what justice is and how it can be drawn in a socie ty if there is none. He goes further by saying that when a citizen commits a sin, he is prone to punishment, the reason of which is to make him avoid making the same sinful act again and improve his doings (Nill, pp. 7-8). Thus, when there is a chance if improvement in a process led by government then, his question remained valid as to why it cannot be taught and imparted in a literal manner (Plato, pp.4-6). Protagoras was habitual of giving lengthy answers to all the questions and Socrates was pretty much opposite to what Protagoras’ habit was; he preferred to be precise and quite straight to the point (Nill, pp.5). Listening to the responses of Protagoras, Socrates immediately asks him as to what he thinks virtue exactly is. He goes deeper and asks if it is a single measurable quantity or is it a cumulative of many other virtues like wisdom, moderation and others. He also asks him that when he intends to teach excellence, does it include every bit of virtues or not. Protago ras responded by saying that every bit of virtue is part of excellence and excellence is one measurable quantity and quality (Eisele, pp.238-239). To this, Socrates does not agree at all, he has his own arguments to make and those too, with proper reasoning and logics. He intends to make Protagoras admit presence of a few citizens who might achieve excellence in certain specific qualities, but they may not be good in other qualities. He also persuades him that, qualities like moderation,

Monday, September 23, 2019

Template communication plan strategy for Nissan Motor Assignment

Template communication plan strategy for Nissan Motor - Assignment Example To achieve the company’s goal, Nissan Company need educate its customers so that they can alter their attitude and behavior to the benefits of the company needs of selling more automotive while still engages with its stakeholders. Tertiary audiences affect and influence the communication of the company to the customers and its shareholders. The Nissan competitors would want to know how the company is strategizing for the market so they can also make changes to their company’s strategies. Therefore, any decision that Nissan have to communicate to its customers and shareholders has to consideration of the effects it has on its competitors such as Toyota (Audience Strategy for All Professional Business Communication ). Nissan has one of the most valuable customers among the automotive manufacturing companies. They devout their life using Nissan made vehicles and other automobile products because they get the best products and services from the company. Nissan surprised one of their loyal customer, a Canadian woman, Ms. Karen Ackroyd with a new 2015 Nissan Micra (Nissan Motor Corporation, 2014a). This was as a result of her good perception toward attitude toward the company’s products. Therefore as demonstrated by Ackroyd, Nissan customers are engaged and respond to company’s communications. One of the main barriers to customer communication is the lack of sensitivity. The customer may be affected by another issue that may make him or her nonresponsive (Barriers to Effective Communication). Moreover, physical destructions such as a network problem, noise and bad formatting for email break down communication. Shareholders are the sensitive people to communicate to because they are keen on making return on their investment. Therefore, they take into account whatever is communicated with uttermost precaution. The lack of proper knowledge of

Sunday, September 22, 2019

Leadership Theories, Methods, and Tols Essay Example | Topics and Well Written Essays - 1000 words

Leadership Theories, Methods, and Tols - Essay Example This requires that an employee has to work hard in the organization and create more hours especially in the evening or during weekends to improve his work rating and increase the chance of earning bonuses. Employee 1 has been working on weekends and late in the evening to ensure that work is accurate and complete. The manager of the organization encourages the employees to possibly work for more than 40 hours per week as they would receive a huge bonus and this reveal that the manager uses bonus as an incentive to motivate workers to upgrade the performance of the company. Power based on rewards entails equality without favoritism and thus employees work hard to achieve desirable results and thus raising performance for the company. In the second scenario, the base of power applied involves expert power. Expert power is based on the fact that knowledge is power, where a person who possesses special expertise in a certain field is regarded as important in the organization (Turner, 2010). Such people are extremely valued by the organization in problem solving and decision making processes. Employee 2 is a professional accountant in his organization and has negotiated four–day work week and he is the only worker who is allowed to compress working time in his department which reveals that his knowledge and expertise grants him power over other employees. The accounting manager agrees on his request as he is the only expert in accounting who can prepare the company’s financial statements. This fact shows that the employee is an expert and is granted his wishes unlike other employee because he can perform duties which no other person in the organization can perform. The opinions, ideas and decisions of experts in a company are highly regarded and they enjoy privileges than other employees due to their exceptional skills and expertise. A person may have ability to influence others using his personality traits or

Saturday, September 21, 2019

Monetary policy Essay Example for Free

Monetary policy Essay The Federal Reserve which is commonly referred to as FED is the central authority to the US money and banking system.   It utilizes the monetary policies at its disposal with the aim of ensuring that prices, foreign exchange rates as well as long term interest rates remain stable.   Stability in these three areas is beneficial in as far as investment is concerned and they trigger economic growth.   (McConnell and Brue, 2004). Other objectives of FED include ensuring that the inflation rate is kept relatively low and the employment levels boosted.    The monetary policies adopted include the open market operations, manipulating of the reserve requirement and discount rates. The open market operations refer to the buying of US treasury as well as the federal agency securities with the aim of influencing the money supply and demand. OMO is the most applied tool due to its flexibility in influencing money demand. Fed also ensures that the financial sector remains stable while protecting the interests of the customers due to the realization of the importance of money supply in the economy. (www.federalreserve.gov). One challenge that faces FED as it tries to ensure economic growth through the various monetary policies is the fact that realizing one aim results to another problem or rather poses a different challenge.   Selling government securities with the aim of increasing the money supply in an economy may trigger increased inflation by some margin. Increasing the employment levels also triggers inflation which Fed tries to counter in the first place.   To ensure that the impact of such inflation is contained, it is imperative that Fed sets its target appropriately so that a compromise is attained.   Attaining one objective at the expense of the other should be well addressed. Timing issues which emanates from the fact that there is a time lag between when Fed realizes or rather recognizes a problem and decides to react by selecting an appropriate monetary policy and when the effect of the implemented policy is felt.   To ensure increased efficiency in the monetary policies, Fed must adopt effective tools or strategies of gathering information to ensure that immediate responses are made as demanded by the economy. (McEachern, 2005). Fed structure is quite complex thus making the implementation of its policies difficult and cumbersome. This also contributes to the delayed implementation of monetary policies which has a negative effect in as far as attaining the core objectives is concerned. The board of governors of Fed are also too powerful and can be manipulated easily especially by the political leaders who have some vested interest. The establishment of an effective independent central bank would minimize the chances of political influences which compromise on the effectiveness of Fed. (Baumol and Blinder, 2008). Identify and explain at least three ways that the Federal Reserve affects the banking system through open market operations (OMO). As earlier noted, Fed uses the OMO monetary tool where US treasury and federal agency securities are traded to regulate the money supply in the economy. Buying of federal treasury and agency security is done when the aim of Fed is to reduce the money supply in the economy while selling increases money supply thus used in recessionary times. There can be permanent as well as temporary changes to Fed reserves when outright sales or purchases are made. A system repurchase method can be adopted to impose temporary changes.   Fed purchases government bonds from the public which increases the reserves of the commercial banks after it pays for them. Purchasing such reserves sees the banks increase their reserves in an amount equal to what has been paid for the reserves.   The same case happens when reserves has been purchased from the public. Fed can also sells government securities that are not being used to the commercial banks as well as the general public hence surrendering the securities to the banks or general public who can then draw checks against the deposits made. Through this approach Fed reduces the amount of money supply that is available for the commercial banks which also translates to reduced money supply in the entire economy. (www.federalreserve.gov). Purchasing of government bonds by Fed leads to the reduction of interest rates which encourages banks and households to dispose their reserves to Fed. The selling of such bonds lowers the prices of bonds while increasing the interest rates to make the bonds attractive to the general public as well as the commercial banks. Fed also purchases or sells the treasury bonds or bills which affect their deposits by increasing or decreasing in size. This also affects the volume as well as growth of banks by allowing them to have increased reserves at their disposal thus more to lend to both commercial banks as well as households.   This leads to their increased growth as they make earnings through the interest charged.   The OMO also affects the lending processes as it affects the interest rates which are attached to the bank borrowings and loans. OMO regulates the money supply in an economy by either increasing it or decreasing it. (McConnell and Brue, 2004). Explain how changes in reserve requirements and the discount rate affect the operations of banks and other depository institutions. The discount rates are monetary policy tools that can be used by Fed to influence the money supply and demand in the economy with the aim of influencing economic growth. Discount rates or discount widow can be defined as the rates charged by Fed to commercial banks which in turn affects the amount of money such banks or financial institutions have thus their lending capacity.   The major types of the depository windows by Fed are the primary, secondary and seasonal credits which have varying interest rates. (www.federalreserve.gov). The discount rates attached to primary credit are generally higher than those attached to other short term discounts in the market.   Interest rates charged on secondary credit are also higher than the primary credit interest rate while the seasonal credit discount rates are the average of selected market rates.   When Fed increases the discounts rates it discourages commercial banks from borrowing money from it but a reverse effect is felt when the discount rates are lowered. The amount of money in an economy is increased when banks are encouraged to borrow funds from the Federal Reserve.   The reserve requirement refers to the amount of money or funds that financial institutions are expected to deposit with Fed against their securities.   The amount set as reserve requirement is determined by the board of governors of Fed as guided by the American law and it is held in terms of vault cash. Increasing the reserves requirement rates leads to increased required reserves of what the financial institutions are expected to keep with the Fed and this translates to reduced ability to lend money to both banks as well as household thus reducing the money supply in an economy.   The reserve is also true. (www.federalreserve.gov).

Friday, September 20, 2019

Investigation of Effectiveness of Clozapine

Investigation of Effectiveness of Clozapine Catarina Scott-Beaulieu Abstract: (250) Background: Clozapine is an atypical antipsychotic used for treatment-resistant schizophrenia. It is effective in treating the positive and negative symptoms of schizophrenia with a reduced chance of extrapyramidal side effects compared with other typical antipsychotics. Clozapine is known to have cardiac side effects including, but not limited to, myocarditis and cardiomyopathy. Approximately 75% of cases, of clozapine-induced myocarditis, occur within the first month of titration, highlighting the need for monitoring. Objectives: To assess the extent to which the monitoring guidelines for myocarditis, at a London mental health trust, are being followed. Method: Patients who were registered with ZTAS from June 2014 to October 2016, at the trust,  Ã‚   were identified. Data was collected based on the audit tool created from the guidelines. Using the patient notes and laboratory data, found using the trusts operating systems, data was collected and stored in the audit tool. Key findings: The monitoring standards were met for full blood count in the week prior to initiation and in week 3. No other standards were met. Conclusion: Introduction: (500-1000) Clozapine is the first atypical antipsychotic created and is used in treatment-resistant schizophrenia, which is defined as a lack of or an inadequate response to at least two antipsychotics.[1] It is a dibenzodiazepine derivative antipsychotic and interferes with dopamine binding with a strong affinity for D4-dopaminergic receptors   and 5-HT2a serotonergic receptor affinity [2], in addition it has an anticholinergic effect and antagonizes histaminergic receptors. [3, 4] Clozapine is useful in treating both the positive and negative symptoms of schizophrenia [4] and is less likely to cause extrapyramidal side effects when compared to first generation typical antipsychotics such as haloperidol[5, 6]. It has also been shown to significantly reduce the suicidal behaviors in schizophrenic patients [1, 7]. However, it is not used as a first line treatment due to its extensive side effect profile, most recognized being agranulocytosis which occurs in approximately 1% of patients in the first year of treatment [8, 9], explaining the need for regular, mandatory hematological tests for the duration of clozapine treatment. Other side effects include fever [4], metabolic effects and seizures.[4, 6, 10] Agranulocytosis, however, is not the only potentially fatal side effect of clozapine use. There is an increasing number of clozapine-related cardiac complaints reported in the literature, resulting in cardiac effects from clozapine treatment having become more recognized over the past few years. [5, 7] Whilst tachycardia is a common side effect it can be indicative of other, potentially more serious, cardiac effects such as cardiomyopathy and myocarditis. [9] Myocarditis is an inflammatory process of the myocardium, which is often of viral aetiology but may also include bacterial, fungal and drug-induced.[11, 12] The condition presents with a wide range of symptoms such as chest discomfort, flu-like symptoms and abnormal vital signs [9] and most are non-specific.[2] Reported cases of clozapine-induced myocarditis range from 0.15% to 1.2%,[5, 8, 13-15] with the highest incidence being reported in Australia, >1%. [16] Time to onset varies, but over 75% of cases occur within the first month of treatment. [12, 16-18] Endomyocardial biopsy was the gold standard for diagnosing myocarditis, but the procedure has only limited sensitivity and specificity. It was by proposed Ronaldson et al.[18] in 2011 that combining C-reactive protein (CRP) and troponin T/I would give a sensitivity for clozapine-induced myocarditis of 100%. This is a less invasive method of diagnosis, with a higher specificity and sensitivity for myocarditis and has led to the current guidelines that are in place for the monitoring of clozapine treatment. Whilst clozapine-induced myocarditis is still rare, the need for consistent monitoring within the first month of treatment is needed to ensure any possible cases are detected early, allowing for prompt treatment, increasing the chances of a better outcome for the patient.[1] This audit aims to assess the extent to which the monitoring guidelines for myocarditis, at a London mental health trust, are being followed. Assessments will explore the extent to which the recommended additional blood tests, CRP and troponin, are being completed and the extent to which the advised echocardiogram (ECG) are being followed. Additionally, it will aim to check to see if a clinician is checking the above objectives and assess the extent to which the nursing staff are asking the patients about signs and symptoms of myocarditis. Method: (500-1000) This audit was designed to investigate the extent to which the monitoring requirements, in regards to clozapine initiation and titration within the first four weeks of treatment, at a London mental health trust had been completed. The monitoring requirements audited were specific to the detection and diagnosis of myocarditis. Data collection occurred between October 2016 and February 2017. It is a baseline, retrospective audit of case notes and laboratory data. As per the Health Research Authority regulations, this audit did not require ethical approval. Audit standards and audit tool The standards used in this audit were taken from the trusts clozapine guideline, which can be found in table 3. The monitoring requirements for the detection of myocarditis involve an ECG, vital sign monitoring (pulse, blood pressure, temperature) and CRP and troponin T blood tests. These had to be completed prior to initiation and weekly for the first four weeks after initiation. It is also necessary for clinicians to verify the results of the CRP and troponin T tests, and for the nurses or clinicians to check if the patient has had any signs or symptoms of myocarditis. For the purpose of this audit, criterion 1 and 3 (table 3) will be met if the results of the investigations were documented. Criterion 2 (table 3) will be met if the clinician has made specific reference to CRP and troponin T tests in the patient notes, criterion 4 (table 3) will be met if there is specific reference to questions being asked about myocarditis symptoms. An audit tool was created using the specified mo nitoring requirements mentioned in the clozapine guideline, a template of the audit tool can be found in table x. Identifying patients to be involved in the audit Clozapine patients require regular and frequent prophylactic blood tests in order to initiate and continue treatment. As such, there is a mandatory need for patients to be registered to a clozapine monitoring service database, which collects and stores the results from the weekly blood tests. Zaponex Treatment Access System (ZTAS) is the monitoring company that was used by the trust. ZTAS provided a list of patients who were registered with them whilst under the care of the trust, from June 2014 to October 2016. This resulted in a total of n=57 patients. The patients were selected to be used in the audit after they adhered to the inclusion criteria, which are shown below. Data Collection Data was collected using various information sources at the hospital. Data on haematological tests were collected systematically from ZTAS, bloodresults.co.uk, and the trust clinical portal. ZTAS and bloodresults.co.uk offered information on the standard full blood count (FBC) monitoring that takes place weekly. The trusts clinical portal was used to collect information on other heamatological tests, CRP and troponin T; this source was also used to check any other available FBC test results. RiO, the trusts operating system, was used to collect information on the other standards being measured in this audit (criterion 2, 3 and 4)(table 3). The data collected was stored in the audit tool. ( table x) Inclusion and exclusion criteria The inclusion of the patients in the audit required them to have been registered with ZTAS at the trust between June 2014 and October 2016. It was also necessary for the patient to have started some (at least two) of the required monitoring standards prior to initiation. Prior monitoring requirements included an ECG within a maximum of 3 months prior to initiation and  Ã‚   FBC, CRP and troponin T within 10 days of the initiation date.   Vital sign monitoring such as pulse, blood pressure and temperature were included if they had been completed a maximum of 7 days before initiation. Patients were excluded from the audit if they had been transferred from another trust and were already on a controlled clozapine treatment regime. Method of data analysis Data analysis and statistical analysis was completed using Microsoft Excel 2013. Overview As stated previously, clozapine is associated with an increased risk of myocarditis, which has been fatal in some cases. Preventative monitoring measures for myocarditis are advised at this trust. Baseline troponin T, CRP and ECG should be done prior to beginning treatment and then weekly for the following first four weeks after initiation. These measures are specific in identifying myocarditis, but should also be done in concordance with standard monitoring during treatment. The standard monitoring procedures include pulse, blood pressure and temperature to be completed every other day and FBC weekly. These monitoring procedures are necessary in helping to diagnose myocarditis; symptoms of myocarditis are non-specific, but tend to indicate the presence of an infection (fever) or simulate myocardial infarction (chest pain). Nurses and practitioners are advised to question patients on the appearance of any side effects similar to myocardial infarction to help ascertain if they could h ave myocarditis. Patient demographics and study data In total, n=57 patients were reviewed. Of those, n=3 patients were excluded based upon the inclusion and exclusion criteria described in the method. Of the remaining n=54 patients, n= 6   (11.11%) patients did not initiate clozapine treatment, but n=5 were included in the audit as they had started the monitoring required prior to initiating treatment. Reasons for not initiating treatment are outlined in table 1. A total of n= 3 patients ceased clozapine treatment in week one (n=2) and during week three (n=1); one patient was persistently tachycardic, one patient refused to continue treatment and one patient was severely hypotensive. The patient group (n=53) was predominantly male 66% (n=35), 34% (n=18) were female. The mean age of patients who initiated treatment (n=48) was 34.42 years old, with the youngest patient age being 16.92 years old and the oldest being 65.21 years old. Length of treatment was calculated as the time between a patient commencing clozapine treatment and either ceasing clozapine or the end of the audit period. A total of n=10 patients were excluded from the calculation, as they either did not start treatment or the end of treatment time was not able to be calculated; reasons for exclusion are explained in table 2. The mean length of treatment was 387 days  ±268, with the shortest length of treatment being 1 day and the longest being 873 days. Of the 53 patients involved at the start of the audit, 65% (n=35) were initiated on an inpatient basis; this means the patients were initiated at the hospital, on a ward. ECG monitoring A baseline ECG had been completed in 96% (n=51)(Figure 1) of patients within 3 months prior to the commencement of clozapine. One patient refused to have an ECG prior to initiation. The percentage of patients who received ECGs decreased to 20% (n=9), 24% (n=11), 17%(n=8) and 9% (n=4) of patients for the following 4 weeks after commencement respectively. A total of 41 out of 45 (Table 4) patients did not receive an ECG in week four of clozapine titration. During week one, a patient complained of flu like symptoms and was given an ECG to rule out myocarditis; likewise, one patient during week three was given an ECG after complaining of centralized chest pain. Temperature monitoring The quantity of patients who had recorded temperatures fluctuated through-out the weeks, being highest in week two of monitoring (n=. Week four had the lowest recorded amount of temperature monitoring of all 5 weeks at patients 69% (n=31) (table 4). In week one, n=2 patients refused to have measurements taken. Pulse and blood pressure monitoring The amount of patients who did not receive BP monitoring was highest in the week prior to initiating clozapine (n=13) and in week four (n=13). The highest proportion of patients who had their blood pressures taken occurred during week one at 96% (n=44 ), with 63% (n=29) of them having their blood pressure taken once and 34% (n=15) having their blood pressure taken twice (one reading measured whilst lying or sitting and one reading measured whilst standing). Week four had the highest proportion of patients who did not have their pulse measured at 29% (n=13) (table 4). One patient was discontinued from clozapine after one day of treatment when the BP check revealed them to be extremely hypotensive, in conjunction with a rapid pulse. Full blood count monitoring FBC monitoring occurred in the highest proportion of patients throughout the monitoring period; 100%, 98%, 93%, 100% and 96% respectively. CRP and Troponin monitoring The majority (>50%) of patients did not receive CRP or troponin T blood tests throughout the duration of the monitoring period. Figure 2 shows a substantial decrease in the number of patients who had CRP tests prior to initiation (n=25) and the following weeks (n=10, n=11,n=11, n=7 respectively). A large propotion of patients (84%, n= 38) did not receive CRP blood tests during their fourth week of clozapine treatement. The number of patients who received troponin T tests were less than those who received CRP tests. Only 36%(n=19) of patients received troponin T tests prior to initiation, reducing to 26%(n=12), 20%(n=9), 15%(n=7) and 9%(n=4) in the following four weeks after initiation respectively. There were n=14 patients who had no CRP or troponin T tests throughout the entirety of the monitoring period. There were no patients who had weekly CRP and troponin T tests throughout the duration of the mointoring period. Other monitoring parameters In total, the number of patients who had their CRP and troponin checked by clinicians was less than 100% in all cases (69% (n=9), 75% (n=9), 56% (n=6) and 63% (n=5) for weeks one through four respectively).   Due to the lack of data regarding criterion 4 (table 3), there are no results available to be discussed. Summary of main findings FBC monitoring requirements were met in the week prior to monitoring and in week three. All other standards were not met in any of the five weeks. Over all, there was a better outcome seen in the week prior to initiation for most of the standards. CRP and troponin T tests were completed in less than 50% of patients throughout the five weeks measured. Likewise, excluding the week prior to initiation, less than 50% of patients received an ECG for weeks one to four. Limitations Study data was collected using patient notes and the trusts clinical portal, data was therefore reliant on the relevant health care professional entering the information onto the systems. Consequently, the lack of data could be attributed to the lack of documentation of the monitoring, as opposed to the lack of monitoring all together, especially in regards to criterion 4 (table 3). No useful results could be drawn for criterion 4 and criterion 2 may have also been significantly affected by a lack of documentation. The sample size of this audit was small (n=53), any conclusions drawn from this data may not be relevant to a larger sample size. However, in future studies, a larger sample size could be used, if this is not possible the audit could be expanded to include other trusts. Results could also be affected if the patient refused to have the relevant monitoring required, as advised in the trusts clozapine guidelines.    This audit is the first one to be completed at this trust, therefore it cannot be compared to any previous data. However, the results are being measured against set standards (table x) and can be used to compare to future audits. Results in context      Ã‚   Clozapine is highly effective in the management of treatment-resistant schizophrenia; it reduces the risk of suicidal behaviours[5, 6]and it is effective in the treatment of both the positive and negative symptoms of schizophrenia.[1] It is not widely used due to its extensive side effect profile [8], most recognised being haematological disorders, such as agranulocytosis and neutropenia which have strict monitoring protocols in place.   However, cardiac side effects of clozapine treatment have become more widely recognised over the past few years.[5] Myocarditis is an inflammatory condition of the myocardium, which is normally attributed to viral aetiology. Clozapine-induced myocarditis is a rare, but potentially fatal result of treatment. Over 75% of cases occur within the first month of treatment, making it important to monitor for myocarditis during the first four weeks of treatment.[2, 14-16] A study by Ronaldson et al.[18] developed an evidence-based monitoring tool, based on 75 cases and 94 controls for routine monitoring up to 28 days. It suggested that an ECG, CRP and troponin I/T should be completed at baseline, with routine vitals every other day. CRP and troponin I/T tests should also be repeated on days 7, 14, 21 and 28. This study proposes that combining CRP and troponin tests provides a 100% sensitivity for myocarditis. The trusts clozapine guidelines also suggest the same monitoring protocol, with the addition of an ECG every week, for the first four weeks. Individuals with schizophrenia have a 20% shorter life expectancy than that of the general population and a greater vulnerability to several illnesses (diabetes, coronary heart disease).[19] Due to the nature of the illness and the heightened health risks associated with schizophrenia and the antipsychotic medications used in its treatment, it is important to adhere to the relevant monitoring protocols. It is evident, from the results, that the proposed guidelines for the monitoring of clozapine-induced myocarditis are not being met. Likewise, a number of studies have shown a poor adherence to standards in the monitoring of antipsychotic medications.[20] Physicians may have doubts about the relevance of monitoring, or feel that it is not necessary as the incidence of myocarditis is very low; rate of incidence occur in approximately 0.15-1.2%[1, 13, 21] of patients. If we consider other medications with stringent monitoring protocols, such as insulin, due to health care professionals awareness of this medication and the implications if the standards are not met, there is often a higher standard of monitoring. There may also be an implication of cost; extensive monitoring is often expensive, making it appear to be an unnecessary expense, particularly when the chances of myocarditis occurring are very low. Health care professionals may have a lack of awareness of the need for the monitoring of myocarditis, and the implications if these are not met. The incidence of fatality due to clozapine-induced myocarditis can be as high as 50%[1], making it important to abide by the set guidelines. The monitoring guidelines are made to reduce the harm caused to patients and reduce the possibility of fatalities. However, a delayed diagnosis could result in poorer outcomes for the patients.[1] The standards allow for earlier detection and diagnosis of myocarditis, reducing the chance of poorer outcomes. The results of this audit indicate a need for an increased awareness of clozapine-induced myocarditis among health care professionals. This would improve the clinicians awareness of the need for the monitoring of myocarditis and highlight the implications if the standards are not met. A standardised questionnaire could be created to monitor the signs and symptoms of myocarditis and be used by nurses to document the results, this could be incorporated into the clinical notes. This baseline audit emphasises the need for future re-audits, to evaluate whether the standards have improved. Table 1: Reasons for not initiating treatment Number of patients (n) Consistent amber results 1 Patient changed mind/ refused 2 Previous health conditions made the patient unsuitable to start clozapine 2 Unknown 1 Total 6 Table 2: Reasons for not being included it length of treatment calculation Number of patients (n) Never initaited clozapine 6 Patient transferred to another trust 2 Patient returned to country of origin (unknown if they continued treatment) 2 Total 10 Table 3: Policy Title Clozapine Guide Trust-Wide Medication Policy Date July 2016 Local/National Local Standard Setting Criterion 1 Criterion 2 Criterion 3 Criterion 4 Criterion Full blood count, including troponin T, CRP, neutrophil and white blood cell count should be done prior to initiating clozapine and then weekly for the first four weeks. A clinician verifies the blood test results every week before treatment can be approved. An ECG is to be performed prior to clozapine commencement and every week for the first four weeks after initiation of clozapine. A nurse or physician enquires about the signs and symptoms of myocarditis weekly for the first 4 weeks of titration. Target 100% 100% 100% 100% Exceptions None None None None Table 4: Monitoring Prior to initiating (Total number of patients n=53) Week 1 (Total number of patients n=46) Week 2 (Total number of patients n=46) Week 3 (Total number of patients n=46) Week 4   (Total number of patients n=45) ECG Yes 51 (96%) 9 (20%) 11 (24%) 8 (17%) 4 (9%) No 2 (4%) 37 (80%) 35 (76%) 38 (83%) 41 (91%) Blood pressure Taken once 36 (68%) 29 (63%) 26 (56%) 25 (54%) 21 (47%) Taken twice 4 (7.5%) 15 (33%) 15 (33%) 12 (26%) 11 (24%) Not taken 13 (24.5%) 2 (4%) 5 (11%) 9 (20%) 13 (29%) Temperature Yes 39 (74%) 38 (83%) 40 (87%) 37 (80%) 31 (69%) No 14 (26%) 8 (17%) 6 (13%) 9 (20%) 13 (31%) Pulse Yes 42 (79%) 43 (93%) 41 (89%) 37 (80%) 32 (71%) No 11 (21%) 3 (7%) 5 (11%) 9 (20%) 13 (29%) FBC Yes 53 (100%) 45 (98%) 43 (93%) 46 (100%) 43 (96%) No 0 (0%) 1 (2%) 3 (7%) 0 (0%) 2 (4%) CRP Yes 25 (47%) 10 (22%) 11 (24%) 11 (24%) 7 (16%) No 28 (53%) 36 (78%) 35 (76%) 35 (76%) 38 (84%) Troponin Yes 19 (36%) 12 (26%) 9 (20%) 7 (15%) 4 (9%) No 34 (64%) 34 (74%) 37 (80%) 39 (85%) 41 (81%) References 1.Munshi, T.A., et al., Clozapine-induced myocarditis: is mandatory monitoring warranted for its early recognition? Case Rep Psychiatry, 2014. 2014: p. 513108. 2.Aboueid, L. and N. Toteja, Clozapine-Induced Myocarditis: A Case Report of an Adolescent Boy with Intellectual Disability. Case Rep Psychiatry, 2015. 2015: p. 482375. 3.Fineschi, V., et al., Sudden cardiac death due to hypersensitivity myocarditis during clozapine treatment. Int J Legal Med, 2004. 118(5): p. 307-9. 4.Bruno, V., A. Valiente-Gà ³mez, and O. Alcoverro, Clozapine and Fever: A Case of Continued Therapy With Clozapine. Clin Neuropharmacol, 2015. 38(4): p. 151-3. 5.Swart, L.E., et al., Clozapine-induced myocarditis. Schizophr Res, 2016. 174(1-3): p. 161-4. 6.Castle, D., et al., A clinical monitoring system for clozapine. Australas Psychiatry, 2006. 14(2): p. 156-68. 7.Annamraju, S., et al., Early recognition of clozapine-induced myocarditis. J Clin Psychopharmacol, 2007. 27(5): p. 479-83. 8.Murch, S., et al., Echocardiographic monitoring for clozapine cardiac toxicity: lessons from real-world experience. Australas Psychiatry, 2013. 21(3): p. 258-61. 9.Wooltorton, E., Antipsychotic clozapine (Clozaril): myocarditis and cardiovascular toxicity. CMAJ, 2002. 166(9): p. 1185-6. 10.Kar, N., S. Barreto, and R. Chandavarkar, Clozapine Monitoring in Clinical Practice: Beyond the Mandatory Requirement. Clin Psychopharmacol Neurosci, 2016. 14(4): p. 323-329. 11.Cohen, R., et al., A Case of Clozapine-Induced Myocarditis in a Young Patient with Bipolar Disorder. Case Rep Cardiol, 2015. 2015: p. 283156. 12.Merrill, D.B., G.W. Dec, and D.C. Goff, Adverse cardiac effects associated with clozapine. J Clin Psychopharmacol, 2005. 25(1): p. 32-41. 13.Ronaldson, K.J., et al., Clinical course and analysis of ten fatal cases of clozapine-induced myocarditis and comparison with 66 surviving cases. Schizophrenia Research, 2011. 128(1-3): p. 161-165. 14.Haas, S.J., et al., Clozapine-Associated Myocarditis. Drug Safety, 2007. 30(1): p. 47-57. 15.Barry, A.R., J.D. Windram, and M.M. Graham, Clozapine-Associated Myocarditis: Case Report and Literature Review. Can J Hosp Pharm, 2015. 68(5): p. 427-9. 16.Ronaldson, K.J., P.B. Fitzgerald, and J.J. McNeil, Clozapine-induced myocarditis, a widely overlooked adverse reaction. Acta Psychiatr Scand, 2015. 132(4): p. 231-40.

Thursday, September 19, 2019

John Scope Monkey Trial :: essays research papers

The ACLU (American Civil Liberties Union) were already aware that the Act was likely to become law because it had been passed by the lower house of the Tennessee legislature by a landslide (in January, 1925). After a few false starts, the ACLU sent a press release to several Tennessee newspapers, such as the Chattanooga Daily Times, announcing that they would provide legal assistance, etc. for a school teacher in Tennessee who would be willing to stand trial for having taught evolution in a public school so that a test case could be mounted to challenge the constitutional validity of the Act. Encouraged by George Rappelyea, (a mining engineer who managed six local coal and iron mines owned by the Cumberland Coal Company), a group of leading citizens in the small town of Dayton* - the "drug store conspirators" - decided to accept the ACLU's offer, in the hope that the publicity surrounding the trial would help to reverse the town's declining fortunes. On May 4th the group recruited John Scopes, football coach and occasional stand-in teacher at Rhea County High School as the subject for the test case, on the basis that he had taught from the section on evolution in Hunter's A Civic Biology - the State-approved textbook. (* Dayton is situated in the valley between the Cumberland Plateau and the Appalachian Mountains. It is just a few miles West of a line from Chattanooga (36 miles to the Sou' Sou' West) to Knoxville (79 miles to the North East).) Rappelyea sent a telegram to the ACLU's New York office. The ACLU replied promptly, accepting his proposal. Scopes was charged on May 7th with having taught evolution on April 24th, 1925. A preliminary hearing on May 10th bound him over pending a specially convened Grand Jury hearing on May 25th. The membersof the Grand Jury, who are well aware of the true purpose of the charge against Scopes, handed down an indictment and Scopes was instructed to present himself at the Rhea County court house for trial on the morning of July 10th. At no time was Scopes held in jail on this charge which, by the way, was only classed as a "misdemeanor", not a "crime." The Overture On hearing about the trial, from the leaders of the WFCA (World's Christian Fundamentals Association), on May 12th William Jennings Bryan volunteered his services to the prosecution. By the end of that week Clarence Darrow had contacted Scopes with an offer to appear pro bono for the defense.

Wednesday, September 18, 2019

The Arab-Israeli Conflict Essay -- Arab Israel Middle East War Essays

The Arab-Israeli Conflict The Arab Israeli conflict has gone on for many years. There have been many wars, terrorist attacks and peace treaties between Israel and the Arab countries. Through war and Treaties Israel has gained and lost alot of land. There have been 4 major wars between Israel and The Arab countries, as well as terrorist attacks. The reason for many of these attacks include land, claim of the country and anti-semitisem. Israel which is only 8,000 square miles is on the Mediterranean sea which is very good for its ports which are good for shipping and trade. The first of the wars involving the Arabs and the Israelis was the First Palestinian War which took place between 1947 and 1949. It was a civil war between the Palestinian Jews and the Arabs.The Jewish military group, Haganah dominated in the war and came out victorious. In 1948 The United Nations declared Israel a free state. The next of the wars was the Suez Sinai War. This war began October 29, 1956 after Syria, Egypt and Jordan announced that the would join forces under Egypts commander in chief. Israel came out victorious in that war as well and captured The Sinai Peninsula which belonged to Egypt and The Gaza Strip which belonged to Jordan. Israel wasn't aloud to use the Suez Canal which belonged to Egypt. The next war was the Six Day War which ended the ten years of peace between the countries. The Six Day War started June 5th 1967,when Israel bombed Egyptian, Jordanian, Syrian and Iraqi airfields destroying more than four hundred airplanes. By June 8th Israel had stoped fighting with Egypt, Jordan and Iraq and started Fighting with the Syrians. Syria had shelled northern Israel, but Israel captured the Golan Heights from Syria and the West Bank From Jordan. The war was over June 10th when the United Nations negotiated a cease-fire between the countries. The Yom Kippur War started October 6th 1973. It is Called the Yom Kippur War because It started on Yom Kippur the holiest day on the Jewish calendar. It was led by Egypt and Syria attacking Israeli solders. Israel was caught off guard because it was the holiday. The war destroyed many things. The Arabs lost approximate 2000 tanks and 500 airplanes. Israel lost over 800 tanks a... ...itzhak Rabin Prime Minister of Israel and Yasser Arifat head Of the Palestine Liberation Organization signed a peace treaty that Israel gave the Palistine Liberation Organization the Gaza Strip and the West Bank and Israel got peace, but after the treaty was signed there were still many terrorist attacks on Israel and November 4th 1995 Prime Minister Rabin was assassinated by a Israel man who saw that the peace treaty wasn't working and didn't believe in trading land that Israel fought for in many wars for peace that wasn't working. In 1996 Israel signed a peace treaty with Jordan. Israel is currently Trying to make a treaty with Syria but It hasn't happened yet because Syria wants The Golan Hights an Israel dosent wasn't to give it to them. Since 1947 Israel has had war with many Arab countries. They have gained alot of land through war but later gave it away in peace treaties. There are many people who disagree in giving away the land. The Arab Israeli conflict has gotten alot better over the year. They were not directly involved in any wars since 1973 and they have made peace with many countries. The Arab-Israeli Conflict Essay -- Arab Israel Middle East War Essays The Arab-Israeli Conflict The Arab Israeli conflict has gone on for many years. There have been many wars, terrorist attacks and peace treaties between Israel and the Arab countries. Through war and Treaties Israel has gained and lost alot of land. There have been 4 major wars between Israel and The Arab countries, as well as terrorist attacks. The reason for many of these attacks include land, claim of the country and anti-semitisem. Israel which is only 8,000 square miles is on the Mediterranean sea which is very good for its ports which are good for shipping and trade. The first of the wars involving the Arabs and the Israelis was the First Palestinian War which took place between 1947 and 1949. It was a civil war between the Palestinian Jews and the Arabs.The Jewish military group, Haganah dominated in the war and came out victorious. In 1948 The United Nations declared Israel a free state. The next of the wars was the Suez Sinai War. This war began October 29, 1956 after Syria, Egypt and Jordan announced that the would join forces under Egypts commander in chief. Israel came out victorious in that war as well and captured The Sinai Peninsula which belonged to Egypt and The Gaza Strip which belonged to Jordan. Israel wasn't aloud to use the Suez Canal which belonged to Egypt. The next war was the Six Day War which ended the ten years of peace between the countries. The Six Day War started June 5th 1967,when Israel bombed Egyptian, Jordanian, Syrian and Iraqi airfields destroying more than four hundred airplanes. By June 8th Israel had stoped fighting with Egypt, Jordan and Iraq and started Fighting with the Syrians. Syria had shelled northern Israel, but Israel captured the Golan Heights from Syria and the West Bank From Jordan. The war was over June 10th when the United Nations negotiated a cease-fire between the countries. The Yom Kippur War started October 6th 1973. It is Called the Yom Kippur War because It started on Yom Kippur the holiest day on the Jewish calendar. It was led by Egypt and Syria attacking Israeli solders. Israel was caught off guard because it was the holiday. The war destroyed many things. The Arabs lost approximate 2000 tanks and 500 airplanes. Israel lost over 800 tanks a... ...itzhak Rabin Prime Minister of Israel and Yasser Arifat head Of the Palestine Liberation Organization signed a peace treaty that Israel gave the Palistine Liberation Organization the Gaza Strip and the West Bank and Israel got peace, but after the treaty was signed there were still many terrorist attacks on Israel and November 4th 1995 Prime Minister Rabin was assassinated by a Israel man who saw that the peace treaty wasn't working and didn't believe in trading land that Israel fought for in many wars for peace that wasn't working. In 1996 Israel signed a peace treaty with Jordan. Israel is currently Trying to make a treaty with Syria but It hasn't happened yet because Syria wants The Golan Hights an Israel dosent wasn't to give it to them. Since 1947 Israel has had war with many Arab countries. They have gained alot of land through war but later gave it away in peace treaties. There are many people who disagree in giving away the land. The Arab Israeli conflict has gotten alot better over the year. They were not directly involved in any wars since 1973 and they have made peace with many countries.

Tuesday, September 17, 2019

Biography Of William Shakespeare :: essays research papers

Biography of William Shakespeare   Ã‚  Ã‚  Ã‚  Ã‚  William Shakespeare was born in 1564, supposedly on 22 or 23 April, in Stratford-upon-Avon. His father, John, who was a prosperous glover there, preparing and selling soft leather, became alderman and later high bailiff. Shakespeare was educated at Stratford Grammar School. When he was eighteen, he married Anne Hathaway - eight years older than he and already, she was pregnant. Six months later their daughter Susanna was born. They had twins, a boy Hamnet and a girl named Judith, two years later.   Ã‚  Ã‚  Ã‚  Ã‚  There are no records of Shakespeare's life during the seven years that followed, ‘the lost years'. But by 1592 he was already an established actor and playwright in London. He joined the Lord Chamberlain's Men in 1594, working as a leading actor and dramatist. By 1599 this all-male company of experienced and talented players - no women appeared on the stage until the Restoration - had built their own theatre, the Globe. Its owners were seven member of the company, including Shakespeare himself, who shared in its profits. For the next decade the Globe, on the Thames at Bankside, was to be London's chief theatre, and the home of Shakespeare's work. Many of his greatest plays were written during these ten years, and were acted there. Both Queen Elizabeth, and after her James I, showed the company many favors.   Ã‚  Ã‚  Ã‚  Ã‚  In 1613, during a performance of Henry VIII, the Globe was destroyed by fire. But the Lord Chamberlain's men, by now called the King's Men, had four years earlier leased a second, smaller playhouse, the Blackfriars. This was an indoor theatre, unlike the Globe which was open to the sky, and it had the technical facilities for scenic effects - a fact which probably accounts for the spectacular element in Shakespeare's late plays.   Ã‚  Ã‚  Ã‚  Ã‚  In 1612, Shakespeare, it seems, went home. His son Hamnet had died when only eleven, but his two daughters were in Stratford-upon-avon with his wife Anne. He was now a wealthy man and had, as long before as 1597, bought a Biography Of William Shakespeare :: essays research papers Biography of William Shakespeare   Ã‚  Ã‚  Ã‚  Ã‚  William Shakespeare was born in 1564, supposedly on 22 or 23 April, in Stratford-upon-Avon. His father, John, who was a prosperous glover there, preparing and selling soft leather, became alderman and later high bailiff. Shakespeare was educated at Stratford Grammar School. When he was eighteen, he married Anne Hathaway - eight years older than he and already, she was pregnant. Six months later their daughter Susanna was born. They had twins, a boy Hamnet and a girl named Judith, two years later.   Ã‚  Ã‚  Ã‚  Ã‚  There are no records of Shakespeare's life during the seven years that followed, ‘the lost years'. But by 1592 he was already an established actor and playwright in London. He joined the Lord Chamberlain's Men in 1594, working as a leading actor and dramatist. By 1599 this all-male company of experienced and talented players - no women appeared on the stage until the Restoration - had built their own theatre, the Globe. Its owners were seven member of the company, including Shakespeare himself, who shared in its profits. For the next decade the Globe, on the Thames at Bankside, was to be London's chief theatre, and the home of Shakespeare's work. Many of his greatest plays were written during these ten years, and were acted there. Both Queen Elizabeth, and after her James I, showed the company many favors.   Ã‚  Ã‚  Ã‚  Ã‚  In 1613, during a performance of Henry VIII, the Globe was destroyed by fire. But the Lord Chamberlain's men, by now called the King's Men, had four years earlier leased a second, smaller playhouse, the Blackfriars. This was an indoor theatre, unlike the Globe which was open to the sky, and it had the technical facilities for scenic effects - a fact which probably accounts for the spectacular element in Shakespeare's late plays.   Ã‚  Ã‚  Ã‚  Ã‚  In 1612, Shakespeare, it seems, went home. His son Hamnet had died when only eleven, but his two daughters were in Stratford-upon-avon with his wife Anne. He was now a wealthy man and had, as long before as 1597, bought a

Monday, September 16, 2019

Public Speaking, Fears and Concerns.

Fears and Concerns about Public Speaking Fears and Concerns about Public Speaking There are many things in this world that one can have a fear of. One could be scared of bugs, the dark, or heights; but a major fear is the fear of having to speak in public. In everyday life public speaking is necessary, whether it be in a social or professional setting. My biggest fears and concerns about public speaking are being the center of attention, rejection, and failure. Being the center of attention can be very nerve racking.Are they judging the way I am dressed or the way I present myself? Are they paying attention to what I have to say? Or even, what will they think of me when I am done my presentation? Lastly, can I stop my nervous habits long enough to finish my presentation? These are all questions that run through my head that could easily distract me from actually presenting in the way I would like too. At some point everyone has to be concerned about rejection. This is also one of my main fears and concerns.The fact that not everyone will agree with, or accept, the point I am trying to portray. Maybe they just will not care or give me the time of day, and maybe even try to conflict with what I have to say. Then it will feel like I have wasted my time to come up with a presentation just to be ridiculed. No one ever thinks to themselves that they want to be a failure. My fears could distract me from delivering my presentation in the way I would like. I could stutter, forget what to say, or just not be as well prepared as I thought.This would all lead to a miserable presentation failure. Would I ever gain respect of my audience again? I do not want to be thought of as a failure. That is probably my worst concern about public speaking. With all kinds of fears and concerns about public speaking, it is difficult to think that one could get over them to go on to become a great public speaker. I would like to get over my fears so that I can continue through life with no concerns. I feel it will take time and practice but with the help of this class as well, I can be on my way to being a great public speaker.

Sunday, September 15, 2019

Psy/220- Week 1 Check Point- Positive Psychology Themes

Positive Psychology Themes I believe that positive psychology gives a better understanding that we are able to improve the quality of our own lives by making positive decisions and learning from experiences in the past. Positive psychology attempts to encourage interpersonal relationships, happiness, and positive social interactions. Personal growth and our ability to control our own destiny are also factors of positive psychology. In my opinion positive psychology teaches us that we have the freedom to make autonomous choices in life even though the negative influences still surround us. Through the incremental theory, positive psychology has stressed the amount of importance of human adjustment as a malleable cognitive characteristic that encourages change in our beliefs, behaviors, and environments; in order to acquire personal freedom through self-control and self-esteem Positive psychology acknowledges that we are creatures and creators of our personal and social worlds. I think that we become less creatures of our world and more creators as we assume the responsibility for the actions we take in life. Through our freedom of autonomy we develop a certain sense of morality and ethics. Positive psychology also evaluates the issue of control in relation to leading a fulfilling life. If a person has an internal locus of control they are more likely to push to achieve their full potential in the things they do. On the other hand those with an external locus of control feel powerless within their own lives and attempt to settle for less than what they deserve because they feel they have no control over their life. If we were to fully understand the themes of positive psychology we could become more qualified to improve our own lives.

Should College Athletes Be Paid Essay

Why College Athletes Should Be Paid $53.4 Million the combined salary of the top 15 paid coaches in division 1 college football, $0 the combined salary of all student-athletes. Over the past few decades, college athletics have gained popularity across the United States. Whether it is football, basketball, or baseball, ever since the turn of the century, intercollegiate sports have brought in a surplus of revenue to their respective Universities. A recent study found that the University of Texas’ Athletic Program had the highest revenue of any other University at a little over $120 million. Yet with this large sum of money, NO college athletes are legally compensated for their work. According to NCAA rules, â€Å"You are not eligible for participation in a sport if you have ever: Taken pay or the promise of pay, for competing in that sport†. While it may seem odd and unjust to pay college athletes, the reality is that compensation of such athletes is a necessity not only to keep competition at a steady level in college athletics, but also to encourage students to graduate and get their college degrees. Student athletes should be compensated for their work, as they are the sole reason for the Athletic Program’s surplus in revenue. These athletes are working for the schools and are doing a service to the college that seems to go unnoticed. Colleges are using these athletes to boost their respective reputations and bring in revenue while not compensating these athletes for their work. Everywhere else athletes are paid, so why shouldn’t college students too? Some critics may argue that these student-athletes are amateurs, and if paid then are becoming professional athletes. The minor league for baseball could be considered an amateur sport, although they do receive pay according to the team’s revenue. Also, with all the time practicing and working in the classroom, how many athletes have time to actually get a job? Another argument that supports paying college athletes is that these â€Å"full-ride† scholarships given to the best athletes do not actually cover all their expenses. Many athletes still can’t afford to have their parents come to the stadium and watch the games. With all of the respect and publicity of these athletes, it goes unnoticed that a great deal of the players live very near to the poverty line. Due to this lack of money, black-markets are created. Here, boosters that represent the University give these playersâ€℠¢Ã‚  cars, spending money, or anything they truly want, and in return, these players go to their respective University. There have been many instances of this before, one prominent example is that of Reggie Bush, the running back for the University of Southern California from 2003-2005. Bush was paid by boosters to attend USC, which violated NCAA rules. Bush’s mother was having trouble paying rent for her apartment at the time in Pasadena. Bush felt obligated to take this offer, as there was no other way to make money and pay for his mother’s home. These boosters’ actions are not only are illegal, but create unfairness in competition amongst the NCAA. These universities that violate NCAA rules have an upper edge in recruiting top prospects. Schools are then tempted to violate such rules to even out the playing field. The last and arguably the most important reason to pay college athletes, is that it will ensure that most student-athletes will complete their college degrees. â€Å"Paying student-athletes would provide an incentive to stay in school and complete their degree programs, instead of leaving early for the professional leagues† Which brings me back to the question, â€Å"Should college athletes get paid?† If athletes are paid to play, not only can they cover some of their college expenses that scholarships couldn’t, but also now they will want to finish their education. NCAA prides itself on all student-athletes are students first and athletes second, however, it seems that more popular athletes leave early for the pros. In college basketball, many freshman stars are referred to as â€Å"one and done† players as they complete one year of college and go to the professional leagues early, as they want money and need it as soon as possible. The importance of their education is lost. The University seems to be hypocritical in its actions when it doesn’t pay its athletes, because it seems they support college athletes leaving for the Professional league early. One author suggests that every university pays the same flat rate to each college athlete for three years, and then offer a raise to senior athletes. This bonus will create that incentive for students to receive their degrees. While it may seem odd and unjust to pay college athletes, the reality is that compensation of such athletes is a necessity not only to keep competition at a steady level in college athletics, but also to encourage students to graduate and get their college degrees. The truth of the matter is that many college athletes are already being paid under the  table which creates a black-market that is not only illegal, but is also unfair to universities that abide by NCAA regulations. Universities are exploiting these students and allowing them not to receive any revenue that they clearly earned. College Athletes Should Be Paid! Works Cited â€Å"College Athletics.† Wikipedia, Wikimedia Foundation, en.wikipedia.org/wiki/College_athletics. Transcript of Informational Hearing: College Athletes. Sacramento, CA, Senate Publications, 2003.

Saturday, September 14, 2019

House of Leaves

China, IL, I would like to hear more about Zampano and Johnny’s mother being the same. What did you talk about in your class? I agree with most of the contributors here that there is a lot of evidence in favor of Zampano and Johnny being the same person, although even the examples themselves (including mine, below) don’t really give much away as a result of the complicated narrative structure. In my class, my professor draws a diagram every day with concentric circles, the space between each pair of circles representing a different narrator dictating the actions of the narrator within his narrative, and so on. For example, The Navidson Record is in the center, Zampano encircles The N. R. , Zampano’s reading assistants/volunteers encircle Zampano, Truant encircles Zampano’s readers, and the Editors encircle Truant. This doesn’t even include Johnny’s mother, another potential author. To make a long story very short, anybody could have written anything, and the â€Å"errors† and â€Å"typos† don’t help—they make it even more confusing. Take for instance page 320. Near the top, in the second paragraph, Zampano writes, â€Å"Regrettably, Tom fails to stop at a sip. A few hours later he has finished off the whole fifth as well as half a bottle of wine. He might have spent all night drinking had exhaustion not caught up with me. † This should read â€Å"caught up with him† but instead suddenly switches to the first person. This could mean several things: 1) Zampano made a Freudian slip and referred to himself here even though he didn’t drink 2) Johnny has been writing the Navidson Record all along and slipped (it would make more sense since he, like Tom, depends on drugs and alcohol to function) 3) Johnny did it intentionally just to screw with us 4) (and this is a stretch) Maybe they’re Navidson’s words. If Navidson was real, it would make sense that he would make an error because the subject of Tom is so painful to him What do other people think?

Friday, September 13, 2019

The behavior of a nonverbal student with autism Essay

The behavior of a nonverbal student with autism - Essay Example According to 2013 Adequate Yearly Progress (AYP), the Lamar Elementary School met 14 of 17 AYP criteria. In 2013, the school also earned API of 940, and the 2012-13 API Growth was -9. Sam is enrolled in an instructed classroom in which routine and visual structure are provided. A new program called SUCCESS is applied in the classroom, and the classroom is divided into four areas: 1:1, I.W.S., Group Area, and Small Group. In 1:1 area, an Intensive Behavior Interventionists (IBI) works with the students on their individual behavior goals. The students at the Independent Work Station (I.W.S.) are assigned tasks that they already know how to do. Moreover, the goal is for the student to come to the station, sit down, go through the tasks, and do so all independently and without needing reminders to stay on task. At Group Area, the teacher does whole group activity at the table where the purpose is mostly acquiring social skills, such as learning to sit in a group, waiting for their turn, and staying attended to the task. The teacher works with his students to cover Early Literacy Skills Building, Math curriculum, Handwriting without Tears, and the students’ IEP academic goals. Eight students are grouped for instructions based on behaviors and how the adults can best manage the students as well as their station. The overall classroom management has been more so based on behaviors of the individual students. In addition to their behavior support plans, the teacher uses token boards to reinforce desired/correct behaviors.

Thursday, September 12, 2019

The Concept of Caring in Nursing Essay Example | Topics and Well Written Essays - 2750 words

The Concept of Caring in Nursing - Essay Example The question does arise as to the importance of caring to the nursing profession. The answer to that lies in the accepted fact that caring is an essential facilitator for curing and healing and with the nursing profession steeped in trying to bring about curing and healing the importance of caring in this role becomes clear (Ott, Al-Khaduri & Al-Junaibi, 2003). So what does that caring to a nursing professional mean? There are several theories to caring in the nursing profession. A lot of literature has been written on caring and the nursing profession. However, there are three theories that bring about clarity to the issue of caring in the nursing profession. These three theories are: Care consists of the assistive, supportive, or facilitative actions that are taken for or towards another individual or group of individuals that have clear or anticipated requirements to reduce or improve a human condition or way of life. As a result Leininger,(1984, p. 4) defines caring as â€Å"the direct (or indirect) nurturant and skilful activities, processes and decisions related to assisting people in such a manner that reflects behavioural attitudes, which are empathetic, supportive, compassionate, protective, succorant, educational and others dependant on the needs, problems, values, and goals of the individual or group being assisted†. The general nursing theory of Orem essentially consists of three parts. The first part of the theory consists of the Self-Care element, in which an adult through deliberate means learns and perform actions directed towards survival, improved quality of life and well being. The second element is the Self-Deficit part, according to which, nursing is an essential factor towards the learning of the Self-Care element, as the adults are not in a position to perform self-care because of the limitations of their situation. The third element is the nursing element in the nursing system.

Wednesday, September 11, 2019

Foreign Exchange Dealing Room Essay Example | Topics and Well Written Essays - 10000 words

Foreign Exchange Dealing Room - Essay Example According to the world- wide central banking organization which is the Bank for International Settlements, the amount of daily trading done in the forex market is more than three trillion US Dollars. Thus the trading amount is so much that it is much larger than all of the US stock markets taken together. Here, trading from the whole world is done with or without the involvement of hard cash. The trading begins in Sydney everyday, and moves first to Tokyo followed by London and then New York as the business day start in every financial sector. The exchange rates are shown around the world continuously on the computer. The trading takes place when any trader quotes a price for any currency on his machine, and then anyone in the word willing to trade at that particular price can reply to that message and trade. Thus the buyer and sellers can be from any country and virtually trade with other without being present at any particular. The trading takes place between three continents which makes it possible to react or change any decision by any trader regarding his trading activity any event or activity. The value of a particular currency relative to other currencies is influenced by many factors but the main factor affecting it is pure supply and demand of the market. If the demand rises or supply falls, it results in price rise or price fall respectively. 1. DEALING ROOM-ORGANIZATIONAL STRUCTURE: Its organization consists of two tiers namely the retail tier and the wholesale tier. In the retail tier, trading in forex is done by the small agents whereas in the wholesale tier, the dealings between dispersed and diverse banks and big financial institutions , multinational corporations take place. In the forex market, the traders and the individuals have different access levels unlike the stock market, where every client can access the same price of stocks like the other participants or individuals. Whereas in the forex market, on the top level, there is the biggest investment banking firms like Citi and Deutsche Bank. At this level, where the difference between

Tuesday, September 10, 2019

English law allows parties the utmost freedom to agree their own legal Essay

English law allows parties the utmost freedom to agree their own legal relations and liabilities without limitation and interrup - Essay Example This means that a salient factor that distinguishes contractual obligations from other forms of legal obligations is that contracts are premised upon agreements. Likewise, this is important since people can agree to exchange any goods and / or services, provided they are legit. Similarly, if the basic requirements of a contract have been met, then English law may not step in to curtail parties the utmost freedom to agree on their own legal relations and liabilities. Some of these essential requirements include the presence of offer and acceptance, consideration which supports the agreement, and an intention to create legal relations. The exception to this is when the modalities such as the Sales of Goods Act 1979, the Exclusion Clause and UCTA and implied terms therein as laid down to govern contracts have been violated. An exception that curtails the utmost freedom for parties to agree on their legal liabilities and relations without restrictions is the Exclusion Clause. This is bec ause the Exclusion Clause restricts or excludes the liability of one of the parties. Normally, it is the seller whose liability is restricted. However, it is important to note that the Exclusion Clause is not accorded blanket application so that wicked sellers can breach their initially agreed upon contractual obligations. On the contrary, the Exclusion Clause is applied in light of the contra proferentum rule. This can be seen in the case Wallis, Son & Wells v Pratt and Haynes. In this case, a seed sale contract clause argued that sellers did not give any implied or expressed warranties concerning the description of the seeds. The seeds were not found to match the description they had been previously given. In this effect, it was held that the clause was only applicable to the warranty and that the description being referred to was part of the conditions that made the contract. Particularly, the House of Lords ruled that there was no instance in which sellers are not to fulfill the ir warranty, whether this warranty is implied or direct. This is to the effect that any clause which does not explicitly detail conditions will normally not exclude liability for breach of conditions (House of Lords, 2012, p. 1). The crux of the matter above is that the circumstances which may compel the seller in the contract to apply to be absolved from the responsibilities or liabilities spelt out in the contract must have been caused by unforeseen circumstances (D. Ashcroft and J. Ashcroft, 2010, p. 66). Conversely, in this instance where unforeseen circumstances bedevil the business or the seller, the liability limitation may come into succour businesses which cannot afford to shoulder the burden on consequential and unforeseen losses that may threaten to subject a business to insolvency. Siems (2003, p. 35) explains further that the situation above was exemplified by the case British Fermentation Products Ltd v Compair Reavell Ltd [1999]. In this case, the British Fermentation Products Limited was the purchaser of a compressor of air supply under proper pressure to aerate and mix well, which was to help produce yeast. The supplier would be Compair Reavell Limited. The compressors failed to work well several times even after several replacements were delivered. Even though the amount of damages surpassed ? 1 million, Judge Bowsher Q.C.

Monday, September 9, 2019

Profile and discuss one communications sector of a country of your Essay

Profile and discuss one communications sector of a country of your choice. ( India film industry Bollywood) - Essay Example Bollywood, the Indian film industry, is an important part of the global international communication system in the modern world. This paper is aimed at providing the profile of Bollywood, the Indian film industry and also in discussing various aspects of international communication related to this industry. International communication and films: International communication is considered as the inseparable part of human lives as it is playing an important role in developing various social, cultural, socio-cultural, economic, educational and other aspects of their lives. After the World War II, international communication has gained significant attention from all over the world. Since the middle of the 19th century, global communication started to gain greater amounts of focus by people (McPhail, 2011, p.1). According to McPhail (2011), â€Å"international communication refers to the cultural, economic, political, social and technical analysis of communication and media patterns and ef fects across and between nation-states† (McPhail, 2011, p.2). International communication is essential for the purpose of producing effective value judgments. The most important sources of international communication are online media services, print media services, news channels and films and theaters (Supadhiloke, 2008, p.109). The notion of international communication is closely related to the society as various societal imbalances and inequalities are revealed through international communication (Moby, 2003, p.10). Improvements in satellite, television and internet system are helping films to become an important medium of international communication. Modern technologies are getting transferred in developing countries from developed countries like UK and USA (Hallin, 1998, p.153). Film is considered as traditional media and the growing technological advancements are creating greater amounts of integration in favour of developing the international digital telecommunication ne twork (Madikiza and Bornman, 2007, p.16). With the help of film media and industries cultural aspects are commoditised (Madikiza and Bornman, 2007, p.32). However, several instances reveal that national cultures are becoming the victim of the film media as the most important way of communicating with the people nationally as well as internationally (like the Western society) (Golding and Harris, 1996, p.199). Numerous epic films which have been produced in different countries all over the world have raised the effectiveness of international communication all over the world with the help of greater popularity of these films (Curran and Morley, 2006, p.267). Indian film industry: Bollywood, the Indian film industry is effectively using various social, cultural, economic as well as political aspects which are creating various impacts on the lives of people of the country, in particular, and in the lives of people of the world, in general. Bollywood is the largest film industry in India (there are number of regional film industries in the country which are popularly known as Tollywood. The New York Times as well the Washington Post regularly publish reviews of Indian films which are released and shown in different multiplexes of New York, Toronto and other cities of the United States (Rao, 2007, p.57). More than 300 films are produced every year in Bollywood and large numbers of Bollywood films are exported to the United