Monday, September 30, 2019

Based on Andres Serrano’s “Piss Christ” Can Art Ever Push Social?

Iskra Angelova Assignment #3 Dr. Ferrante Writing 140 10/26/2012 Based on Andres Serrano’s â€Å"Piss Christ† can art ever push social boundaries too far? â€Å"Anyone who blasphemes the name of the Lord is to be put to death. The entire assembly must stone them. Whether foreigner or native-born, when they blasphemes the Name they are to be put to death. † (Holy Bible. Leviticus 24:16) Religion as believe and institution emerged centuries ago and it is a significant segment influencing our lives.Spiritual faith has impact in many institutions and fields, like politics and the art world. The Lord’s Supper has been and still is an inspiration to many artists. There are evidences in the history of the greatest art in the world: Michelangelo’s â€Å"The Creation of Adam†; â€Å"Last Supper† by Leonardo Da Vinci and many others. The representation of religious icons has been of significant importance of artists’ genius. Art is a pow erful machine which is able to shape our belief system and change lives.It has the power to teleport us to completely new environments where everyone could interpreted in their own personal perspective. The tremendous influence of art in people lives has a bouquet of lovely feelings replacing people reality with some paradise to the moment when believes fall apart. Centuries artists were focusing their talent into representation of religious people, as religion used to have a huge influence in people every day routines. Throughout the years there was a shift in the representation of religious figures.In the past they were idealized, but today there is controversy surrounding spiritual representations. The new way of picturing holy icons has become a number one topic for critics. Religious art can be highly controversial and insulting, and some ask if art is a powerful weapon that can push social boundaries too far. But where exactly does art cross the line between being acceptable a nd becoming controversial. In the past 25 years, one of the most discussed photographs, which shock society’s view of religious figure representation, is Andres Serrano’s â€Å"Piss Christ†, a controversial photograph of a small lastic crucifix submerged in a glass container filled with the artist’s urine and highlighted with red light. Some people are very sensitive when artist let their imagination and esthetic views take over the realistically and respectful representation of religious figures. As long as the creation of art does not break any laws in the country of exhibition, then art cannot push social boundaries too far. Without the title Serrano’s creation is arresting, but emphasis of the usage of urine for its creation categorizes as blasphemy.The first exhibition of the work caused bitter disputes because of its offensive context, also was problematic when it won the Visual Arts Award sponsored by the National Endowment for the Art, an i ndependent agency of the United States federal government that finances artistic projects. The general opinion claim that â€Å"Piss Christ† is blasphemous, but Serrano’s art work indicates the way modern society has begun to treat Christ and Christian values. The artist explains: â€Å"The Church is obsessed with the body and blood of Christ.At the same time, there is the impulse to repress and deny the physical nature of the Church’s membership. There is a real ambivalence there. It’s one thing to idealize the body and it’s another to deal with it realistically†¦ In my work, I attempt to personalize this tension in institutional religion by revising the way in which body fluids are idealized. â€Å"(Serrano 25). Serrano’s intentions are not to disgrace this religion but to show how commercialized the Christian icon has become in contemporary culture. The artist’s purpose is to involve people’s minds in both a visual an d intellectual domain.Even though this photograph is highly controversial and insulting to religious people, it does not violate any legislation. Religious groups and institutions make comparisons between Serrano’s â€Å"Piss Christ† and the resent film â€Å"Innocence of Muslims†. Wave of violence swept over the Arab world in response to provocation from the low-budget film satirizing Prophet Mohammed. Aggressively protesting crowds flood the streets in respond to the film, violent acts against the Western civilization and embassies attacks.But what is it so insulting about the film â€Å"Innocence of Muslims†? There are many offensive movies, art works and books which humiliate Christianity and directly disgrace Christ’s name, but in consequences of which the Christian world does not responds in such violent way. The examples are numerous, but the interesting fact is that all of the controversial art had been made during modernist movement when C hristians extracted themselves from the prejudices and place the freedom of expression over the dogmas.However, Serrano’s â€Å"Piss Christ† has been provoking and peeve people since its creation, the tolerance rich its pick on Palm Sunday, 2011 in France when it was attacked with hammer and destroyed by Catholic protestants, but it does not cross the limit and push the social boundaries too far. In contrast the anti-Muslim film, it could be consider as art which goes beyond the borders of acceptance because it is in contrast with what the Koran says about Mohammad representations and it causes people death. More than two decades Serrano’s photograph generates negative oppositions to politics, social and religious world.That contributes to the artist intention to make people engaged with his work not only visually but intellectually too. Twenty five years from its creation and it is still highly provocative. Faith people are bombarding President Obama with their requests to forbid â€Å"Piss Christ† exhibition at the Edward Tyler Nahem Gallery in New York City. Serrano’s photograph is various things including shocking, scandalous, beautiful and compelling, but there are much more important things which this art addresses and who could dispute its seriousness, originality and power?It is showing how limited is the human mind and how low educated are some people in sense of understanding art work. The artist is twisting the meaning and placing religious symbols into new contexts. He is displaying the commercialized side of the religion. People are arguing that this great creation is blasphemy, but the Bible says do not make any idols and do not worship them. In that sense of thinking isn’t it a wooden or plastic object made from human hand representing Jesus’s suffer against the Holly book lows?Bill Donohue, who is president of the Catholic League, believes that the President of The United States should defend Ame rican’s values. Obama ignores this request and does not prohibit the display of Serrano’s photograph but even support it and refused to stand against an art made 25 years ago. Artist’s supporters point out that â€Å"Piss Christ† is an expression of artistic liberty and freedom of speech. Since its creation, this art work has generated a lot of negative comments.The work was a centurial focus of the Cultural War in the 1990’s on which was question its artistic value. Throughout his career, Serrano has created a different visual language that raise the question about religion, humanity, sex and social values. The abstract beauty of his photographs it could be termed as spiritual quest. It is a fight of good and immoral, the urine is symbol of the realism and the holly icon is the idealism. His photographs are emblematic for contrasting elements from life: beauty, disgust, provocation etc.Renowned for a passionate body of work that challenges artisti c and social boundaries Andres Serrano has exhibited since the 1980s. His art is categorized as inappropriate, blasphemous and even there are claims that it is not an art. With turbulent negative verbal and physical attacks against the â€Å"Piss Christ†, Serrano cleverly navigate human attention in the direction of questioning our values and believes. This photograph is provocative art work, which is displaying a perfect balance between realism and idealism.Although its controversial idea and strongly offensive meaning this great art creating could not be consider as object which pushes social boundaries too far. In contrast to the resent film â€Å"Innocence Muslim† which not only brakes Islamic lows but provokes human vandalism and push the limits to the extremes, exactly a human death. But the question is can a society living in medieval to overleap its social and cultural point of view? Hardly. It will not change even after this cheap provocation.The modern societ y should become more open minded and free ourselves from the religious prejudices and Serrano since 25 years ago is driving people all over the world towards this goal. Work Cited: 1. Holy Bible, New International Version ®, NIV ® Copyright  © 1973, 1978, 1984 2011 by Biblica, Inc Used by permission. All rights reserved worldwide. Leviticus 24:16 2. Serrano, Andres :Works 1 983-1993. Philadelphia: Insti- 1994 tute of Contempora Art, Universityo f Pennsylvania 3. Massara, Kathleen. Piss Christ: Andres Serrano’s Iconic Work on View at Edward Tyler NahemGallery. The Huffington Post.

Sunday, September 29, 2019

Impact of WTO membership on China’s Agriculture Sector Essay

Although fruitful for sectors like finance and banking, China’s WTO member has not proved to be that much lucrative for the agriculture sector of China since it provides both opportunities and threats for the country’s economy. At one hand, China’s decreasing tariffs of agricultural exports attracted global market thereby causing a considerable boom in the year 2004 in which China’s agricultural exports raised to $17. 3 billion. At the other hand, as a result of free trade China faces a major threat in terms of the competition for domestic grains like corn and soybeans with the imported grains of better quality thereby snatching the livelihood of many farmers and people related to the agriculture sector. For the very reason, China has not opened its market of agricultural products as much as it has for the manufactured goods. Another reason behind a non restricted import of agricultural goods is that such a step on China’s behalf would have led to a trade deficit. Keeping in mind China’s growing population, China’s import would have superseded its export in case of non-protectionism. Also, China faces a risk of suffering losses because such products are easily infected and such a scenario can not only leave a scar for China’s growing international repute but can also cause a major set back to the Chinese exporters. Impact of China’s membership of WTO on China’s Manufacturing Industry: The manufacturing industry of China represents one of the major successes pertaining to the membership of WTO. Because of the cheaper prices of China made goods in the international market, the demand of these products is ever increasing. In case of manufacturing of automobiles, China has been excelling since 1975 but the major boom after its membership of WTO indicating a production percentage increase of 41. 3 percent in a single year when its production number raised to 3. 25 million in the year 2002. Today, the China’s automobile industry stands among the world’s top automobile giants. In the case of China’s Telecommunication Industry with China having entered 2nd generation of mobile communications equipment, china has launched its replica mobile phone. Unusually similar in appearance to the high quality branded cell phones, china made replica mobile phones are cheaper enough to satisfy a number of customers across the globe. Impact of WTO membership on China’s International repute: Having discussed the impact of WTO membership on China’s economy, what remains worth mentioning is a series of changes for the other sectors of the country. The impact of globalization is not just confined to the financial gains but has also left a strong image of China thereby hushing away the chances of any other world war in future. For the pro-globalists, globalization has opened new horizons for China to reach out to the world. This has resulted in an ascendance of China’s products across the world. The proliferation of China made good across the world are so wide that it has left U. S. with a ‘China Street’ in the New York City and Pakistan with a ‘China Market’ in the country’s capital. Both these markets are peculiarly meant for the selling of China made goods that are much cheaper as compared to those made by other countries. It is the result of internationalization that China has permeated into every corner of the global community by attracting the customers with its cheaper prices. But the other side of the coin suggest contrary to the positive side WTO membership on China’s international repute. The exemption of trade barriers encourages the flow of infections and diseases through products from one place to another. SARS stands as one such example that had left many people at the verge of death. It was in first few months of the year 2003 that marked the outbreak of SARS. â€Å"Originating in southern China in late 2002 (or earlier by some accounts), the epidemic quickly infected more than 8,000 people in 30-plus countries, causing nearly 800 deaths within six months. By the time the disease was finally brought under control, Beijing’s initial mishandling of the crisis, as well as the SARS scourge itself, had taken a serious toll on China’s economy and its international reputation. † Impact of WTO membership on China’s Legal System: Gregory C. Chow in his article ‘The impact of joining WTO on China’s economic, legal and political institutions’ suggests that the WTO membership of China has not only resulted in economic boom but has also brought an amelioration in the legal system of the country. He lays his assumption on the fact that by WTO membership China is dealing with a number of international firms. The exposure of foreign laws would positively affect China to pave its way to legal modernization. Also, it is in the aggrandizing phase of globalization that China has enacted many commercial laws that involve the laws pertaining to bankruptcy and corporate behaviour. It is a direct result of this fact that the number of Chinese legal personnel continue to increase. With WTO membership, this move towards globalization is further facilitated thereby suggesting a further amelioration of China’s legal system. Impact of China’s membership of WTO on other nations: Of all the corollaries of China’s entrance into the World Trade Organization, the global competition supersedes providing both the optimistic and pessimistic implications for the world. At one hand the increasing competitive has triggered a wave of fear for many smaller economies by dragging them at the verge of economic fiasco. At the other hand, the same competitiveness has fostered the production of high quality products and innovative technologies employed by the competitors. China’s accession to WTO demanded a decline in China’s tariffs on goods. These tariff barriers were employed by China as a technique of economic protectionism in order to flourish the domestic industry that might have faced overwhelming competition by the entrance of foreign goods with low tariffs. Making it crystal clear, the WTO membership not only opened new opportunities for China to globalize its export but with the ascendance of export the integration also caused the increase of import by China being forced to lower the tariffs on imported goods. According to the findings of Dorothy Guerrero in ‘China, the WTO and Globalization: looking beyond growth figures’ China had to lower down its overall tariffs on agricultural goods from 54 percent in 2001 to 15. 3 percent in 2005. However the net results favoured China in a sense that even in the absence of high tariffs, some invisible barriers for the products of foreign countries were still implemented by China. These non tariff barriers indirectly dissuade the participants of international trade market from progressively entering China’s domestic market. These non tariff barriers involve issues pertaining to stringent security check, product certification, labelling standards, delay in customs clearance and import approval. The stringency of these national non tariff barriers significantly differ from the international standards and often keep varying from time to time. As a result of rejection based on these national standards, foreign manufacturers suffered a great loss especially in terms of agricultural products. This rejection has lessened their share of goods exported to China. Apparently being insulated from the economic progress and WTO membership of China, Chinese Politics also experiences changes in terms of the preference of communists or democrats. Just like WTO demands free trade and rights of all the nations, the Chinese citizens of future can be predicted to unanimously demand democracy for the rights of every citizen.

Saturday, September 28, 2019

Corporate Financial Strategy Essay Example | Topics and Well Written Essays - 4000 words

Corporate Financial Strategy - Essay Example The money spent by the company and the level of the cash flow is considered as the profit depends on getting break even in the marketing and sales of the product. Ans. Sunk cost can be defined as the cost that has been already incurred. This cannot be relevant to the present decisions. The items related with the preliminary engineering should be eliminated from the present decisions. This gives a proper place for sunk cost to be recognised as a separate expense budget and not in the new product proposal. This will make the sunk cost as a factor that will not effect investment decisions that give importance to cash flow more than the income flows. (Columbia .edu team, 2005) 1 Ans. In general the financial analysts have to use capital budgeting decisions in the course of their careers. After valuating the process, they have to answer a yes and no choice to their higher ups. In doing so, they have to consider future cash flows of the project. The cash flows are considered to be more important as they give more liquidity to the project and thus enable the quick returns. This means that the cash flow analysis of the investment decisions concentrate on quick returns rather than heavy returns. This can be termed as the main reason for consideration of cash flow instead of income flow for taking a investment decision. (R. Bruner, 2007) 2 Ans. The incremented cash flows are considered more important than the total cash flows. This is because; the incremental cash flow determines the earnings after tax due to the sales. As the sales increases the earnings will increase. The ratio between earnings before interest and after tax to the sales can give the increment in the cash flow. This increment can be considered as the indicator of the increase in the income that is proportionate to the sales. Though the income increases with the increase of sales the calculation of increment ratio will tell about the level of increase and whether that

Friday, September 27, 2019

Cuban Revolution of 1959 Research Paper Example | Topics and Well Written Essays - 1250 words

Cuban Revolution of 1959 - Research Paper Example Varadero and Havana were the Rich and Famous’ resort and casinos, gambling as well as prostitution, were commonplace. Most Cubans particularly on the rural areas however lived in an environment of atrocious repression and they experienced extreme poverty, they were uneducated and there were many illnesses among them among them. Cuban dictator Batista was in power during this time and his regime was very cruel and the peasants greatly suffered under this very difficult political situation, which greatly concerned Fidel Castro and he started planning on overthrowing Batista’s dictatorship (Habanera, 1). The Cuban Revolution started with the Moncada Barracks’ failed attack by Fidel Castro together with his brother Raul, on July 26, 1953. Castro expected the soldiers of Batista to be inebriated and stuporous when his revolutionary’s band would surprise them at dawn. He had 160 men and prepared them to attack the barracks’ main post. However, they ex perienced a terrific failure at Moncada and Batista forces either killed or captured almost all of the rebels. Together with the members of his band, Fidel Castro was arrested and they underwent trial and were convicted. During his trial on October 16, 1953, Castro presented a famous speech entitled History Will Absolve Me as a legal defense of himself, which became a major revolutionary document (Faria, 4 ). Faria further explains that the presiding judge specifically sentenced them to be imprisoned in the terrible old fortress prison of La Cabana where they would serve a sentence of fifteen years. However, Ramon Hermida, the Cuban Minister of the Interior, directed that they be sent to the newest Modelo Prison where they were treated favorably as political prisoners. After two years only, Batista pardoned Castro and his conspirators in a general amnesty release as a sign of national reconciliation. His supporters welcomed him as a hero and he organized his followers and formed the 26th of July Movement, in remembrance of Moncada attacks, before running away to Mexico for his safety, where he started training an army in preparation to wage a guerilla war against his rival Batista (Jacob & Wong, 3). During the same time during which the 26th of July Movement was created, various groups also increased their endeavors against the government of Batista – groups such as those connected to the former political parties stepped up their efforts in opposition to the regime of Batista. Additionally, angry at the refusal of Batista to consent to new and just elections in the ‘Civic Dialogue’ that he had held with his democratic rivals, The University Student Federation established the secret Directorio Revolucionario, which would assist them to fight Batista’s government more violently and more directly. In Mexico, Castro and his brother brought together the 26th of July’s supporters and members abroad, who engaged themselves in trainin g, collecting arms as well as raising money in preparation to attack Batista (Babun & Triay, 3). On December 2, 1956, in company with 82 others, Castro landed in Cuba using a small yacht called Granma. This was two days behind the schedule and a fighter plane that a naval frigate had set upon unfortunately spotted them, which forced them to dock at a swamp called Playa los Corolados (Babun & Triay, 4).

Thursday, September 26, 2019

Promoting Creativity and Creative Learning in Young Children Assignment

Promoting Creativity and Creative Learning in Young Children - Assignment Example It involves ensuring opportunities for children making connections within specific learning areas, and guarantee that these children relate to these learning areas. Creative learning activities may often be focused on specific goals. Creative thinking is free and open (Runco and Pritzker, 1999). It also uses both convergent and divergent thinking in ensuring creative problem-solving techniques. In thinking creatively, one idea may emerge from convergent thinking, and vice versa for divergent thinking (Runco and Pritzker, 1999). Creativity and creative learning support children overall development because creativity allows the children to be involved in a trial and error learning (Fasko, 2001). It also supports collaboration, curiosity, as well as experimentation, thereby allowing the children to be as free as possible in their learning process. Through creativity, more freedom is allowed for children, allowing them to make discoveries in learning for themselves (Fasko, 2001). There is a huge degree of play involved in learning as children explore a problem, as they think of abstract processes on how to manage such problem and how they can apply such solutions to the concrete issue. Games and creativity are often seen as frivolous activities; however, these activities often involve mental efforts, calling for the children’s participation in managing problems. It prompts them to collaborate and simulate actual scenarios (Thomas, 2013). Play allows abstract ideas to be more relevant in the children†™s mind, ensuring that an abstract idea would have more meaning to them. In order to support creativity in the classroom setting, some academics advise on the importance of leaving the concept of the teacher-authority figure behind. Students, therefore, have to be encouraged to ask their teacher questions. Where interaction sets in, collaboration follows, with possibilities for creativity being introduced.  

Wednesday, September 25, 2019

Understanding Mental Health Essay Example | Topics and Well Written Essays - 2750 words

Understanding Mental Health - Essay Example The term mental health refers to a state of complete cognitive, psychological, emotional and social well-being of a person. Or in other words, it may also be termed as the absence of any mental disorder or disease. This paper aims at analyzing the case study of Peter, a man who is chronically suffering from addiction to alcohol and drugs. The World Health Organization however advocates that mental health is â€Å"not merely the absence of disease or infirmity† (WHO, 2001, p.1). It offers a much more comprehensive definition of the term by stating that mental health is â€Å"a state of well-being in which the individual realizes his or her own abilities, can cope with the normal stresses of life, can work productively and fruitfully, and is able to make a contribution to his or her community". WHO stresses that mental health "is not just the absence of mental disorder† (WHO, 2001, p.1) The Med lexicon’s Medical Dictionary (2010) defines mental health as â€Å"emotional, behavioral, and social maturity or normality; the absence of a mental or behavioral disorder; a state of psychological well-being in which one has achieved a satisfactory integration of ones instinctual drives acceptable to both oneself and ones social milieu; an appropriate balance of love, work, and leisure pursuits† (Neer aja & Anuradha, 2014, p. 87) . Hence, the three basic ideas that can be inferred from the two definitions about mental health are: firstly, that mental health is an essential part of human health; secondly, that mental health is a wide concept and cannot be defined as merely the absence of disease; and thirdly, that mental health is intricately connected to physical health and behavior. (Herrman, Saxena & Moodie, 2005) Though Peter was not suffering from any obvious physical disease or disorder, his addiction to alcohol and drugs had severely affected his

Tuesday, September 24, 2019

Account standardization, IFRS and US GAAP Essay

Account standardization, IFRS and US GAAP - Essay Example The general purpose of the financial statement is to be prepared in accordance with the international accounting standards. The need of the accounting standards emerges because auditors and financial analyst are generally confronted with problems of accounting like biasedness, misinterpretation, inaccuracy and ambiguity. To minimize these kinds of errors a set of accounting standards was developed which was universally accepted and recognized. Without these accounting standards each and every business entity had to develop their own business standards which would make it impossible to compare the financial information with other business organizations. International Financial Reporting Standards (IFRS) are accounting principles and standards formulated by the International Accounting Standard Board (IASB) which is situated in London. These established accounting standards are ideally applicable equally to all the organizations worldwide. During 1973- 2000, the international accountin g standards were formulated by the predecessor organization of the IASB formerly known as International Accounting Committee (IAC) (Beke, 2011). Since April 2001, the accounting standards set by IASB are taken into consideration. ... A financial report of high and genuine quality improves their understanding and makes them better informed and also reduces their risk of trading (Beke, 2011) 3) IFRS helps in eliminating most of the financial adjustments that the financial analyst have made historically in order to make the company financial statements comparable internationally (Beke, 2011) 4) IFRS provides reduced information costs and information risk to potential investors (Beke, 2011). Before March, 2008 the US listed foreign issuers of securities were required to prepare financial statements with respect to the US Generally Accepted Accounting Principles (US GAAP) or include reconciliation to US GAAP as a part of the financial statement reporting (Liu, 2011). This step became a prerequisite in the United States of America (USA) because of lack of widely accepted high quality accounting standards. Most of the foreign institutional investors file their annual reports on form 20-F which incorporates reconciliatio n. This reconciliation is often viewed as an unnecessary and expensive step by the foreign issuers of security (Liu, 2011). The European Union, New York Stock Exchange and the American Stock Exchange have allowed the Securities Exchange Commission of USA to allow foreign companies to use the IFRS to list on the US stock markets without the reconciliation or compliance with the US GAAP accounting principles. This was done as IFRS is considered a high quality accounting standards although there are some significant differences between the IFRS and US GAAP accounting standards. However, the investors need to be informed the differences between the IFRS and US GAAP accounting standards for

Monday, September 23, 2019

Abacus Distribution plc Essay Example | Topics and Well Written Essays - 1500 words

Abacus Distribution plc - Essay Example The Group has adopted a customer service policy with more personalised local service and a strong technical support. This ensures the company’s performance in providing quality products and support from a strongly motivated workforce. The company has an office in Asia with manufacturing operations extended in the Far East to supply European customers, quality products at competitive prices. In general, the objective of a company must be to create value for its shareholders. Value is represented by the market price of the company’s common stock, which in turn is a function of the firm’s investment, financing, and dividend decisions. The basic idea of managing finance in any business venture therefore is to acquire assets and invest in new products and services where expected return exceeds their cost, to finance with those instruments where there is particular advantage, tax or otherwise and to undertake a meaningful dividend policy for stockholders. (Ross et al.) These functions define the scope and role of financial management in any organisation. The financial management function thus concerns the acquisition, financing, and management of assets with the overall organisational goals in mind. In line with the above principles of financial management the company has taken the following actions in the financial discipline. During the year 2004 the company embarked on a major capital expenditure in upgrading the business system of the company scheduled to be completed in the year 2007. The company has adopted a policy of acquiring large properties on a freehold basis. In line with this policy the company has invested in the acquisition of subsidiaries to the extent of  £2.1 million, a net investment of  £1.1 million in plant, machinery, and equipments, and a small investment of  £0.1 million in land and building. There is an investment of  £50 million representing the acquisition of Deltron Electronics Group UK having subsidiaries in

Sunday, September 22, 2019

Crew Resource Management Research Paper Example | Topics and Well Written Essays - 1250 words

Crew Resource Management - Research Paper Example This research paper describes ways of implementing successful crew managment tasks for organizations. Crew resource management is the study of the behavior of crew members in industries of aviation, fire related services, marine industries and other such types of industries. The origin of crew resource management took place in the year 1979 in a workshop that was conducted by NASA. The purpose of crew resource management is to train, develope and increase the effectiveness of the crews, such as firefighers, police crews, troops and other military forces. Research paper defines that the main accomplishments that the crew resource management focuses on are the adaptability skills, the assertiveness skills, the mission analysis experience, communication job, leadership art, decision making competence and also developing the skills of situational awareness. The leadership arts that are required in the phase of crew resource management are to focus on coordinating and directing the activities of the entire crew team. The crew members need to be motivated by their leader at all times and should be insisted towards showing positive team work at all times. This research paper also covers basic requirements that are needed for a leader to provide all types of assistance and information to the team members so that all, for example, military operations can take place smoothly.

Saturday, September 21, 2019

Short Starbucks Case Summary Essay Example for Free

Short Starbucks Case Summary Essay The Starbucks case is about the times when Starbucks did well and when it went poorly. It begins when Howard Schultz buys the company and put his plan in action. Schultz had a vision to make a chain of coffee shops and that would become the Americans â€Å"third place†. This â€Å"third place† would be a place where you could go and small talk with people and enjoy a cup of coffee, or perhaps be by yourself and drink your coffee. It was supposed to be a place between home and work. Schultz idea proved to be a good one and he could proceed to open up several coffeehouses across America. This would later be seen as a mistake. As Starbucks grew in recognition, Schultz expanded the business fast. The people at Starbucks had an ideal to follow; customer satisfaction. As the business grew, people would lose faith in Starbucks nice atmosphere and only see the company as a money making machine. Why was that? The ideal they followed was for the customer to be satisfied, to be met by a nice clerk and get the coffee fast. What the higher ups in the company first thought was that if they increased the hours of labor a week it would bring more time to small talk with customers and give them their coffee even faster. But they soon realized that the problem was in the marketing department. Starbucks had three sections that concerned marketing; the market research group, the category group and the marketing group. Starbucks lacked a strategic group that focused on the big picture. They also needed a chief marketing officer that could make decisions. This meant that the entire decision making process had to be done by all of Starbucks senior executives. All the data that was collected was for nothing if no one looked at it and saw what was wrong. However, now they knew what the problem was. At first Starbucks primary customers were people with education, mostly women between ages 24 and 44. They were still there but the new customers were less educated and had lower income bracket. These were the persons that only saw Starbucks as a money making machine. So now Day, Starbucks senior vice president of administration proposed that an investment of 40 million dollars per year to add additional 20 hours of labor a week. It met a lot of resistance in the company but Day said to look at it as a customer-oriented investment rather than seeing labor as an expense. This meant that Starbucks, a company with the policy to have as high customer satisfaction as possible rather than as much profit as possible were neglecting the customer. They were still using their original idea but now on the wrong customers.

Friday, September 20, 2019

Overview Of The Tangshan Earthquake History Essay

Overview Of The Tangshan Earthquake History Essay It is important to develop some general knowledge what causes earthquakes, in order to gain a better understanding about the Tangshan event. Earths crust is broken into major tectonic plates that move towards and away from each other in different directions. Debated driving forces behind this movement includes Earths rotation, gravity related forces and mantle dynamics. Generally, it is accepted that tectonic plates are able to move because of the relative density of oceanic lithosphere and the relative weakness of the asthenosphere. While these plates are moving, they can collide or slide past each other creating high energy phenomena such as volcanoes and earthquakes. Specific to earthquakes, the edge of one plate is forced under another. This process is called subduction and results in intense vibrations in Earths crust. More specifically to Northeast China, the tectonic environment is driven by collisions between the Indian and Asian plates, and Pacific and Asian plates. An important component of the Tangshan earthquake is the role of an extensive strike-slip fault system, known as Tancheng-Lujiang, or Tan-Lu. This system extends in a north-northeast direction for more than 3,200 miles from the north bank of the Yangtze River in eastern China to the west across the Russian border. It is an intertwined zone of faults 5000km long and 1000km wide, neighbored by other sub-faults. These collectively played a significant part in what resulted in the Tangshan earthquake. In fact, the Tangshan earthquake sequence has been explained as the result of sequential ruptures of the Tangshan fault produced by NNE extensive faulting and associated NE-SW regional compression. The earthquake sequence then initiated at the bending region (near Tangshan City) due to continued tectonic stress that had been increasing for a long time. The relationship between the rupture geometries of the Tangshan earthquake sequence and the regional compression stresses. The Tangshan Event Pre-cursors Earthquakes have occurred in the surrounding area in the past, including 22 earthquakes of magnitude 4.75 or greater since 1485. Despite these previous activities, there were no foreshocks or clear precursory phenomenon prior to the Tangshan earthquake. However, there had been a series of abnormal signals observed in the regions of Beijing, Tianjin, Tangshan, Bohai and Zhangjiakou. Tangshan indicated that there was a consistent drop in the pumping rate (and hence groundwater levels) in the years before the event with a sharp increase in the days prior to the earthquake. Additionally, survivors interviewed following the earthquake noted that well water levels changed abruptly in the hours before the event e.g. with rises of over a meter in at least on village in the region. There was also strange animal behavior reported, including city dwellers from the downtown area who had fish discovered that the fish were restless, jumping out of the aquarium as if wanting to escape. Unfortunate ly the anomalous precursory phenomena were widely scattered and inconclusive. The main quake The main quake struck Tangshan at 3:42 am on July 28, 1976, and lasted approximately 23 seconds. This short lived quake was at an intensity of XI (out of XII), according to the State Seismological Bureau report, with a magnitude of 7.5 on the Richter magnitude scale. Although the epicenter was located in the city of Tangshan, the earthquake was felt in fourteen provinces of China, and as far as Xian, in Beijing and in Tientsin. The stress of the Tangshan quake was caused by the compression along the plate boundaries of the Indian and Asian plates, as well as the compression along the boundaries of the Pacific and Asian plates. The quake ruptured a five-mile (8 km) section of a 25-mile long fault that passes through the city Tangshan. In addition, along the west side the ground moved laterally for about five feet, in a north/northeast direction sub parallel to the major axis of the meizoseismic zone with some areas with horizontal ground displacements of up to 7 meters. On the eastern side of the rupture, the ground block tipped upward near the south end and downward at the northern end. Although the earthquake was a shallow focal depth of 15 kilometers, it created both horizontal and vertical movement, causing the ground to rent apart by several feet, cave in to form craters, previously flat agricultural land being undulated, and soil liquefaction. Aftershocks Following the main earthquake, the many aftershocks also had devastating effects. There were two major aftershocks which caused additional damage to the region. On July 28, 1976 at 6:45 pm local time an Mw 7.0 earthquake struck, centered in Shangjialin Luanxian to the northeast of Tangshan. This caused 50 km (31 mi) rupture along the Luanxian-Laoting fault. The second major aftershock of Mw 6.4 struck on November 15, 1976 at 9:53 pm local time, centered south of Lutai to the southwest of Tangshan. This aftershock ruptured 20 km (12 mi) of the Jing Canal fault. In all, over 850 aftershocks occurred through the end of 1978 and were distributed throughout an area approximately 140 km (87 mi) in length and 50 km (31 mi) in width along a northeast trend, indicating the Tangshan fault as the main fault rupture. Destruction and Casualties The destruction of the earthquake included 242,400 deaths; 164,600 people severely wounded; 3,800 people disabled; 360,000 people suffering minor injuries; and various damages to residential areas, industrial areas, roads, railways and sewage systems. Here, the report will examine what effects the earthquake had on infrastructure and casualties. Infrastructure Before the 1976 earthquake, scientists did not believe Tangshan was susceptible to a large earthquake. Thus, the seismic design code for the area was zoned an intensity level of VI and the buildings in Tangshan were not built to withstand such a large earthquake. Furthermore, the city of Tangshan is located in the center of an area surrounded with major faults, where many of its structures had been built on unstable, alluvial soils. The 7.8 earthquake that hit Tangshan was given an intensity level of XI and left hundreds of thousands of buildings destroyed. The infrastructure damage affected many different areas. Ninety-three percent of residential buildings and 78 percent of industrial buildings were completely destroyed. Eighty percent of the water pumping stations and fourteen percent of the sewage pipes were seriously damaged. In addition, the foundations of bridges gave way, bridges collapsed, railroad lines bent, closed roads were covered with debris, highway bridges and at least two dams collapsed, all telephone and radio communications systems stopped functioning and almost all of the irrigation wells became inoperative. The seismic waves of the earthquake spread the damage to various regions, such as Qinhuangdao and Tianjin, and a few buildings as far away as Beijing. As was the case in Tangshan city, earthquake resistance was not generally considered in the design of buildings in these other regions. Newer buildings with seismic capacity and any buildings strengthened after the 1975 Haicheng Earthquake performed much better during the Tangshan Earthquake than those designed without seismic design considerations. Casualty Along with infrastructure damage, there were devastating amounts of casualties. As mentioned earlier, the earthquake struck just before 4 am, when many people were asleep and unprepared. Before the earthquake, the total population of Tangshan city was approximately 1.2 million, with 2 million within 40 km (25 mi) of the epicenter. As mentioned earlier, the official death count from the earthquake was 242,400; however, other sources have cited the death toll to be as high as 655,000 to 779,000 people. Contributing to the high number of casualties was the structure of residential buildings. Most residential structures in Tangshan and surrounding rural regions consisted of older, single-story brick or stone wall homes with only few newer multi-story brick apartment buildings built in the 1960s. Due to this structure, many buildings collapsed because of the lack of proper connections between the walls and roof, as did many reinforced concrete and masonry industrial buildings with heavy roofs, weighing as much as 400 kg (890 lbs). Finally, another contributing factor to the high death toll was the density of buildings and population in Tangshan city being extremely high. This concentration contributed to the seriousness of the loss in particular because the source of the earthquake was directly beneath the city. Relief Response The earthquake disaster required both short-term and long-term response. To begin, the Chinese government refused to accept international aid from the United Nations, and insisted on self reliance. This required rescue workers accompanied by appropriate equipment in order to rescue people from the collapsed buildings, as well as a pre-established plan to coordinate the effort, which was made difficult since vehicular traffic brought the few clear streets to a standstill. Also, since most of the population lost their homes due to the infrastructure destruction, there was a great need for temporary shelters. Clearing of the debris did not begin in earnest until September 1981, leaving the vast majority of the population not being able to live in permanent housing until 1985. In addition, there was the need for long-term strategic planning. Much of this had to do with future design codes for the city. The Tangshan Earthquake led to a major update to the seismic design code, released in 1978. The study of the Tangshan Earthquake and its tectonic setting also resulted in the reclassification of hazard zonation of the Hebei province (particularly the Tangshan region). Updates to the code included performance criteria increases with the raising of expected ground shaking intensity, introduction of a new understanding of how the liquefaction of underlying soils impacts building foundations, and the inclusion of increased vertical forces from seismic loads good building practice from the collapsed buildings in Tangshan. The earthquake also highlighted the requirement for redundancy in the provision of lifelines, accompanied by the assessment of the appropriate design standards to guarantee the minimum necessary function of roads, bridges, or utility supplies wh ich were greatly affected by the earthquake. The relief responses resulting from the Tangshan Earthquake created the opportunity to build and incorporate increased earthquake resistance for future seismic events. Moreover, the layout of the city was planned to reduce both the number of casualties and injured, in addition to increasing the efficacy of emergency relief and disaster rehabilitation. The 2008 Sichuan earthquake had the same measurement on the Richter scale at 8.0 in magnitude. It, however, occurred in a mountainous region where relief efforts were noticeably hampered by the geographical makeup of the land nearby. The Sichuan earthquake also had a much quicker and more organized response system than Tangshan, as the political, social and technological environment was different. Discussion Conclusion In summary, this report has presented many important concepts to gain an understanding about the Tangshan Earthquake. It has examined the underlying driving forces, such as the Tancheng-Lujiang fault system and Tangshan fault; the various effects from the precursors, main quake, aftershocks; the destruction and casualties from the disaster, including factors that lead to an increased death toll and infrastructure damage; the relief response to the disaster and how it affected future earthquake responses; and a discussion of how amateur seismologists and professionals made predictions about the Tangshan Earthquake. Discussing these topics brings awareness on the importance of understanding natural disasters, and how a population can learn and prepare itself for future natural disasters.

Thursday, September 19, 2019

Wal-mart: Not A Villain :: essays research papers

I live in Mentor, Ohio, a suburb about thirty-five miles east of Cleveland. It used to be all greenhouses, until a few decades ago when it began the process of commercialization, along with other neighboring cities. Big-name stores moved into town, slowly at first. After awhile, along came a shopping mall and stores such as K-Mart. These businesses really began to change the community for the better. As the area became more developed, more people moved there. Eventually Wal-Mart made its way into town. The onset of competition forced K-mart to relocate (less than a mile down the road from the original site, across the street from where the Wal-Mart was being built) and upgrade to a Super K-Mart Center. The difference between K-Mart and Super K-Mart is that Super K-Mart has everything that regular K-Mart has, but it is now also equipped with a complete grocery section. This enables customers to do all of their shopping in one location.It all started in 1962. The first Wal-Mart Discount City opened that year in Rogers, Arkansas, and the franchise has been growing exponentially ever since. In 1980 there were 276 stores, and in the year 2000, there are more than 3,400 Wal-Marts in every state of the USA and a handful of foreign countries. These countries include Germany, Mexico, Canada, Brazil, and Korea, to name a few. Wal-Mart has aspirations to be globally recognized like McDonald's and Coca-Cola. For five years, the state of Vermont waged a war against Wal-Mart, refusing to let any of these super stores inside state boundaries. Eventually Wal-Mart won the battle and the first store opened in Bennington, Vermont. Instead of expected protests, Wal-Mart's business was booming. During the first week, the store had almost 1.5 times as many transactions as people live in the town. According to "Shopping With the Enemy", town life will never be the same because "people crave the low prices, large selection and convenient parking," offered by discount stores (146).In the article "Wal-Mart's War on Main Street," by Sarah Anderson, it is correctly stated that "rural life is changing and there's no use denying it." (Anderson 139) Even without imposing businesses, the technological advances of today make the world smaller and smaller. It used to be that in rural places there would be one farm and then nothing for miles. There wasn't much contact with people outside of one's family.

Wednesday, September 18, 2019

The NRA Killed Gun Control Legislation Essay -- Argumentative Persuasi

The NRA Killed Gun Control Legislation By the year 2003, it is expected that firearms will cause the most injury-related deaths in the United States, surpassing even automobile accidents. Poll after poll have revealed that most Americans favor stricter gun control laws. Five recent suburban school shootings have demonstrated that when guns and kids mix, tragedy results. Yet gun control legislation remains at a standstill. The battle for stricter gun-control laws has not been without victories. In 1968, Congress passed the Gun Control Act in the wake of the assassinations of Martin Luther King, Jr., President John F. Kennedy, and Senator Robert Kennedy. The law mandated stricter licensing requirements, prohibited the sale of handguns to out-of-state residents, and banned mail-order gun sales and the import of guns not "suitable or readily adaptable to sporting purposes." The 1984 Crime Control Act lengthened the minimum mandatory sentences given to those who carry and use armor-piercing bullets to commit violent crimes. In 1993, the Brady Bill was approved by Congress and signed into law by President Bill Clinton. The law, named after James Brady, who was shot and paralyzed in the 1981 assassination attempt on President Reagan, requires a five-day waiting period for the purchase of handguns. The "Assault Weapons" ban of 1994, passed despite a massive campaign by the National Rifle Association (NRA), ba nned nineteen assault-type weapons, including the Street Sweeper, a 12-gauge shotgun that can be fully discharged in three seconds. The ban also covered many semiautomatic firearms. The NRA's bid to repeal the law was stymied in 1995, with the explosion of the Murrah Federal Building in Oklahoma City, which killed 168 peopl... ...gun's owner may be required before the gun will fire; another technology would allow an owner to activate and deactivate his or her gun via remote control. If S.113 were to become law, it would be much more difficult for children and young adults under eighteen years of age to fire their parents', relatives', or friends' guns. New Jersey's S.113 sits presently in the Senate Law and Public Safety Committee - there are not enough votes to get the bill out of committee. Â  Although the NRA boasts several millions members and a great deal of money, polls show that they hold the minority view. The fact that they have helped prevent the passage of federal and state legislation that would promote more gun-control laws shows that the NRA's minority is a vocal one. If the majority becomes half as vocal, tragedies such as the school shootings can be avoided in the future.

Tuesday, September 17, 2019

The Impact of Biodiesel on Automotive Catalyst Performance Essay

Stringent diesel emissions regulations around the world have put much pressure on the shoulders of manufactures to reduce the level of emissions entering the atmosphere from diesel engines. Much of the initial attempt to achieve this by the manufactures was by the substitution of biodiesel in place of the conventional petroleum diesel. In order to create a balance between the vehicle performance and the imposed emissions regulations, many manufacturers prefer to blend petroleum diesel with biodiesel in a proportion which is deemed suitable to run on their engines. In a statement from the diesel fuel injection systems manufacturer’s association, they suggested that diesel fuel specification should be updated on a regular basis, to allow for the gradually increasing percentage of biodiesel. By so doing injection components could be manufactured such that they are protected from the possible secondary effect of the fatty acid methylesthers, which includes filter plugging due to softening and corrosion of zinc or aluminium parts in the fuel injection system due to the presence of free menthol residues. Whilst biodiesel has been highlighted as a plausible substitute for petroleum diesel, great concerns still arise over the effects of its emissions on health and environment, considering the fact that only a few of its hydrocarbon emissions are yet known. Studies about the effects of increasing biodiesel blend ratio on the operation and emissions of diesel engines have been documented in a vast amount of published and unpublished literature since the 1980’s (1), (2), (3). A general trend of observation amongst most of the literatures reviewed is a reduction in CO and THC emissions with increasing biodiesel blend ratio, like wise incre... ...ation of after treatment systems have been proposed by some researches, as a viable solution in reducing CO, THC and NOx emissions to a non-harmful level. Some of these proposed after treatment systems include DPF (Diesel particulate filter) and DOC (Diesel Oxidation Catalyst). Amy et al’s (27) research in to effect of biodiesel emissions on the performance of a diesel particulate filter in a diesel engine, showed that increased biodiesel blend ratio produced less soot and thus required a lesser regenerative temperature, when compared to the conventional petroleum diesel. Their conclusions indicated the fact that with biodiesel fuels, the regeneration of particulate filters could be carried out without the fear of causing an over heat in the exhaust system. They applauded the reactive nature of the biodiesel soot, as a major contributor to this trend.

Monday, September 16, 2019

1917 Conscription Crisis

The year 1917, was a time of worry and despair. As there was not enough people in Europe to fight in the war. Ideas of conscription floated through the minds of members of Parliament. Before WW1 began, the French and the English were already having disagreements over Regulation 17, which was introduced by the Ontario Department of Education in 1913. The French felt they were having their rights taken away and that the English were being strongly favoured. Many French Canadians were beginning to have serious doubts about the need to go and fight against the â€Å"Prussians† Tempers flared at both ends of the school debate. An angry Henri Bourassa declared that the real war was not in Euope but in Ontario. The bitterness towards the English weakened support for the war in Quebec. Men were desparately needed on the battlefield. Prime Minister Robert Borden travelled to Europe to see for himself how the war was going. He knew that there was no way Canada would survive the ewar unless he could get more soldiers. On May 18, 1917, Borden stood up in the House of Commons and announced a new policy of conscription. â€Å"All citizens are liable for the defense of their counrty. And I conceive that the battle for Canadian liberty is being fought on the plains of New France and Belgium.† The year 1917 was a year of worry and despair. Ideas of conscription flowed through the minds of members of Parliament. To most Canadians, anything but complete dedication was unthinkable but not all Canadians reacted in the same matter.

Classical Sociology

Dustin Jones There were many social theorists from the period of the late seventeenth and eighteenth centuries. This period of time is regarded as the period of the Enlightenment. A few of the major figures of this particular â€Å"movement† were Rene Descartes, Jean-Jacques Rousseau, and Immanuel Kant. They altered the way in which the social world was viewed and helped pave the way for other classical social theorists to explain the individual’s role in society.Karl Marx, Alexis de Tocqueville, Henri De Saint-Simon, and Emile Durkheim are only the names of a few classical social theorists who set out to explore the role of an individual within society. These men believed that Reason, along with the application of a scientific approach, would be able to positively change the world and break through to a new form of power and authority. Although the ideas and theories of these men give rise to far greater advancement in sociological theory, there is a failure in intuiti on, and thus, a failure of the classical sociological element.The first section of this paper includes an explanation of classical sociology along with an overview of the theories associated with some of the greatest sociologists of this time. The next section of this paper explores reasons and explanations for the failure of classical social theory and interpretations to why before-mentioned theories were compromised. The final section of this paper summarizes some of the conclusions drawn about the failure of this particular ideology. I. Classical Sociology/Theories Explained Classical sociology includes the idea that people can change the course of history through developmental progress.The object of study was society itself. The development of modern, industrial, and capitalist societies was believed to have separated people from the traditional way of living. The explanations and theories derived from them were a way to correlate the new society with the structure, organization , and dynamics derived from the social world. One form of classical sociological theory attempts to establish a causal relationship for institutions while another form of sociological theory argues that the causal explanation for these institutions is not justifiable. The approach is not pertinent, but what is ertinent is classical sociology explains the interaction of individuals in society, and paves the way for advancement to an explanation of the contemporary world. On page 2 in Classical Sociological Theory: A Reader, Ian McIntosh states: â€Å"The more optimistic Enlightenment thinkers thought that Reason could guide a process of positive change in the world and individuals could influence the course of history in the name of ‘Progress’. Such ‘Progress’ could, it was hoped, free the individual from the yoke and shackles of traditional forms of power and authority- embodied by religion and the myriad ties of feudal obligation. Karl Marx was one of the se great social thinkers who explains society in terms of social class and the material of the worker. He felt there was great conflict between the capitalists and the working class. The term capitalist is synonymous with the bourgeoisie: these were the people who controlled the land, the factories, and sought the most interest in personal gain. He believed that the value of anything is basically the amount of labor which it takes to produce it. In this way, he felt that profit can only be made by any surplus after the amount of labor it takes to feed, clothe, and shelter a man is produced.From this theory, he believed in the exploitation of labor. He believed that with the rise of industrialization, profits would actually fall because each industry is trying to keep up with the next guy: the cost manufacturers make for machinery goes up while what is being produced drops. Karl Marx also gives a fairly detailed description of the fall of capitalism. He believed that the downfall of capitalism was inevitable. Over time, the decline in the rate of profit would be one of the factors contributing to the downfall of capitalism.The idea is that the productive tools used for industrialization are badly utilized when workers are unemployed and goods produced are no longer meeting effective demands. Capitalism begins to move toward a huge industrial monopoly (Collins, Makowsky, p. 37). This affects the smaller capitalists who are forced to join the proletariat. The unemployment keeps high competition for jobs while those who are looking for change become more and more agitated. He believed that the economy would reach a point where the only obstacle standing in the way is a revolt within the working class and the initialization of socialism.Alexis de Tocqueville, also known as the Last Gentleman, also believed in the working class as a great supporter for the economy, and found much inspiration for the establishment of democracy after his visit to the United States. He was a great pessimist of his time and did not much believe in progress, which is exactly what other sociologists were aiming for in their research. He was one of the first foreigners to recognize the American project for a better life: freedom. He saw the coming of democracy as more than just a social or economic development; he thought that God had his hand in giving democracy to the people.One of the first things that stood out to Alexis de Tocqueville upon his arrival to the United States is the display of equality. One example in this display of equality which he noticed is that the relationship between the employer and the employee was strikingly different. In France, where Tocqueville is from, this type of relationship could be compared to a master and his servant; but in the United States, he notices that the employee is actually under contract to share labor. He also noticed that there was a lack of the simulated bonds of property which he had been so accustomed to back hom e.In the United States, personal relationships were strengthened by bonds of personal affection. This is due to the fact that family members were no longer trying to control one another for the sake of keeping any sort of wealth and ownership within the family. People were allowed to make their own decisions and were free to fall in love with whomever they choose. On page 109, in his Democracy in America, Alexis de Tocqueville states: â€Å"Here and there, in the midst of American society, you meet with men, full of fanatical and almost wild enthusiasm, which hardly exists in Europe. Emile Durkheim was someone who might say that crime in America is the glue with which people are held together. This is represented in his belief that crime helped to bring a society closer together. Meetings were held in which people would congregate to discuss the criminal activity of the community, thus enhancing the relationships within society. When a person is punished for his crime, then the rec ognition of that punishment is a reaffirmation of the law and helps to strengthen the bond of society.He also explains that criminal behavior can help to establish new ideas within a society and in turn, help that society to develop (Marsh, Gaynor, p. 97). Durkheim also came to the realization that all religions have sacred objects and that these sacred objects are a creation of society. If people pursue a high moral character by living up to the codes formed by these religions, this will reflect individualism as well as enhance social unity. II. Failure of Sociological Theories One of the major objections to Karl Marx’s ideology is the criticism brought forth to his labor theory of value.According to John R. Pottenger, in The Political Theory of Liberation Theology: Toward a Reconvergence of Social Values and Social Science, he believes that within the labor theory of value, assumptions based on values must be â€Å"purged† in order to create an objective perspective of social science, but since valued are not able to be â€Å"purged†, as he states, then this particular theory is open to speculation. Once mankind developed an industry strong enough which required the use of machines and tools to produce profit, Marx did not make any distinction between the idea of capital and labor.The use of machines was actually operated by the labor force and was not meant to replace the labor force, but they helped in establishing more wealth. Another problem with which Karl Marx did not discern was his idea that the labor force would use the power of politics to overthrow capitalism and strengthen political gain. The working class actually uses the power of politics to cultivate and modify capitalism in a way which is better suited for society. With the improvement of technology, there came an increase in employment opportunities, thus creating more jobs and strengthening the working class as a whole.This only helped to solidify the establishment of a capitalistic society. One of the biggest problems with Marx’s ideology which supports the failure of classical sociological theory is he underestimated the role that he and his ideas play in shaping history. Through the observation of Marx’s ideology, it is where society finds that supply and demand makes much more sense and that democracy is the basis for a well-rounded economy. Alexis de Tocqueville is a great supporter for this democracy, but some of his ideas about equality were flawed.He used the word democracy as if it were synonymous with equality. In this way, he felt that there was much more equality in the United States than there really was. He did not understand the social classes which were introduced to him in the United States and believed that the middle class were the poor people. This gave him the perception that equality was more wide-spread than it really was. This correlates to the idea that no matter how deeply democracy is rooted within a socie ty, it is not able to help all of those in need.One of the biggest setbacks to Emile Durkheim’s theory for criminal activity is that crime creates constant tension between members of a society. Criminal activity is known to tear families apart, create havoc, and in some instances, is a focal point for the deterioration of a particular society. Also, an increase in crime rate can bring an increase of frightened civilians who live in that society. Although criminal activity is a normal part of society, as Durkheim would say it is, it does not undermine the fact that it brings about a kind of pain and suffering, a lower quality of life if you will.III. Conclusions The most prominent factor in establishing the paradoxical failure of classical sociological theory is the rise in information technology which has brought about a better global economy. (Haferkamp, p. 218) There has been an increase in the sharing of information along with a way to actually restructure the capitalist s ociety. Also, the social theories that have been attributed to this period of â€Å"Enlightenment† were substantiated by societal norms of a period of time that was considered to be modern.What is considered to be â€Å"modern† times has drastically changed between now and then, and as such, theories pertinent to that day and time are no longer relevant. Industry is booming, technology is far more advanced, criminal activity is on the rise, and what is considered to be societal norms is much different. Also, the application of these sociological theories to what was considered to be societal norms does not include any use of an experimental method for testing hypotheses. With an experimental method for conducting research, researchers are able to manipulate one variable while comparing its effects to a different constant variable.The problem with non-experimental methods for conducting research, as is the case for classical sociological theories, is that the hypotheses are difficult to prove, and if or when they are proven, it normally requires a long period of time. In correlation to this idea, the fact that these are â€Å"theories† suggests to the reader that they have not yet been proven, and with the lack of scientific experiential data, may never be proven. Another significant factor contributing to the failure of classical sociological theory is the success in social change in the 19th and 20th centuries.According to Melvyn Dubofsky, in The State and Labor in Modern America, he states that â€Å"reformers and working-class leaders stressed collective action, more individualistic forms of thought dominated national culture, institutions, and legal doctrines. † He goes on to describe the way in which workers began to unite and form collective revolutions for the advancement of class, race, or gender. This shift in social reform has strengthened individualism and accentuated the positive effects of capitalism where people have c ontinued to attribute failure to classical sociological theories. IV. SummaryClassical sociological theory helped to explain social change and structure of society which aided in the establishment of the contemporary world. Karl Marx’s prediction of the fall of capitalism failed to see its day due to the fact that the working class has used the structure of capitalism to better establish their place among society. When reflecting upon the ideas and works of Alexis de Tocqueville, it is understood that no matter how deeply ingrained capitalism might be within a particular society, there are those who do not reap the benefits capitalism attempts to offer for all people.One of the principle notions which stand out after reviewing some of the works by these classical sociologists is that their personal objectives and theories failed to be achieved. Capitalism has continued to flourish, the industrial revolution has come to an end, and a new era of technological advancement has da wned. Bibliography Collins, Randall, & Makowsky, Michael. (2005). The Discovery of Society. New York, NY: McGraw-Hill. Dasilva, Fabio B. , & Pressler, Charles A. (1996). Sociology and Interpretation: From Weber to Habermas.Albany, NY: New York State University of New York Press. Dubofsky, Melvyn. (1994). The State and Labor in Modern America. North Carolina: Chapel Hill University of North Carolina Press. Haferkamp, Hans. (1992). Social Change and Modernity. California: Berkeley University of California Press. Marsh, Ian, & Melville, Gaynor. (2006). Theories of Crime. New York: Taylor and Francis Routledge. McIntosh, Ian. (1997). Classical Sociological Theory: A Reader. Edinburgh, United Kingdom: Edinburgh University Press. Nielsen, Donald A. (1999).Three Faces of God: Society, Religion, and the Categories of Totality in the Philosophy of Emile Durkheim. New York: Albany State University of New York Press. Pines, Christopher L. (1993). Ideology and False Consciousness: Marx and His Historical Progenitors. Albany, NY: New York State University of New York Press. Pottenger, John R. (1989). The Political Theory of Liberation Theology: Toward a Reconvergence of Social Values and Social Science. New York: Albany State University of New York Press. Tocqueville, Alexis De. Democracy in America. (Book II). Champaign, IL: Project Gutenberg.

Sunday, September 15, 2019

Race, Ethnicity, & Prejudice Essay

At one point in time the U. S. Census defined someone as a â€Å"negro† if they were one-sixteenth black. That is, if one of your sixteen great-great grandparents was of African descent (and the other fifteen were of â€Å"white† European descent), you were defined as â€Å"negro†. In Jamaica, people believed to be of â€Å"pure† African descent are described as black. People who are bi-racial are usually described as â€Å"colored†. In Brazil, there are even more differentiations of those believed to be of African descent. The point of all this is that our definitions are culture-bound and socially constructed. They are, therefore, not particularly scientific and change over time. This does not mean that race and ethnicity have no real meaning. They have meaning because we give them meaning. 1. What method do census enumerators use to classify people according to race? A census enumerator is a person who collects census data. Before 1960, census enumerators were themselves responsible for classifying people according to race. However, in 1960 there was a switch to self-reporting. From this point on, individuals were in control of classifying themselves. It was no longer the census enumerators who classified individuals, but individuals who classified themselves. Census enumerators would just compile the results. 2. Which categories of ethnicity are used by the census bureau? The categories of ethnicity and race used by the census bureau have undergone numerous changes over the years. At first, from 1790 to 1880, the census recorded only â€Å"color. † During this time period it was a person’s skin color that was of importance and there were three categories: White, Black, and Mulatto. The categories expanded in 1890 and consisted of five gradations: Black, Mulatto, Quadroon, Octoroon, and White. It was in 1900 that the word â€Å"race† actually appeared in the census. The question now asked for each person’s â€Å"color or race. † At this time the census used only two categories: White and Black. It wasn’t until 1950 that the word â€Å"color† was completely dropped and the census only asked for the person’s race. In 1960 people were able to classify themselves. Shortly following the census added the category â€Å"other. † In 1977 there were four racial categories established: American Indian or Alaskan Native, Asian or Pacific Islander, Black, and White. Plus there was the â€Å"Other† category. Also, the census added two ethnicity categories: Hispanic origin and Not of Hispanic origin. 3. How have categories changed for the 2000 Census? Since 1977, the racial and ethnic makeup of the country changed significantly. There were no questions as to whether the previous standards still reflected the diversity that was present in the United States. So, with that, the categories for the 2000 census were revised. The categories now consisted of: American Indian or Alaska Native; Asian; Black or African American; Native Hawaiian or Other Pacific Islander; and White. The category of â€Å"Some Other Race† is also included. In regards to ethnicity, there are two categories: Hispanic or Latino, and Not Hispanic or Latino. Aside from changes in the categories, another significant change for the 2000 census is that respondents are allowed to check off multiple â€Å"race† boxes. 4. What problems do you see with the Census definitions? The diversity in our society is increasing. Putting people in categories is becoming more problematic because the categories are arbitrary; none of the groups have clear or unambiguous boundaries. Classifying people into a certain category is restrictive and doesn’t take into account that â€Å"people classified as â€Å"Asian and Pacific Islander† represent scores of different national and linguistic backgrounds, and â€Å"American Indian or Alaska Native† includes people from hundreds of different tribal groups† (Healey 13). The census definitions are very limiting and they don’t do diversity justice. Also, there is still no place for a number of groups among the categories listed. â€Å"For example, where should we place Arab Americans and recent immigrants from Africa? † (Healey 13). I understand that it is unrealistic to have a category for every single group, but we should realize that the definitions used by the census, the classification schemes, have limited utility and application. In addition, there is a growing number of mixed-race individuals for whom there are no categories. Although currently that number is relatively small, it is projected to increase rapidly due to a growing number of marriages across group lines. How should those individuals be classified? Sources: Healey, Joseph F. (2010). Race, Ethnicity, Gender, and Class: The Sociology of Group Conflict and Change. (5th Ed. ). Pine Forge Press, an Imprint of SAGE Publications, Inc. Sweet, Frank W. (2011, Feb. 25). A Brief History of Census â€Å"Race†. Retrieved from http://knol. google. com/k/a-brief-history-of-census-race U. S. Census Bureau, Population Division. Racial and Ethnic Classifications Used in Census 2000 and Beyond. Retrieved from http://www. census. gov/population/www/socdemo/race/racefactcb. html.

Saturday, September 14, 2019

German Threat Was the End to Splendid Isolation

The Growing German threat was the most important reason for Britain ending its policy of Splendid Isolation. How far do you agree? At first examination it would seem that it was not actually the fear of Germany that prompted Britain to end their policy of splendid isolation if we take into consideration that this of fear of Germany only really came to fruition in about 1905. However it was before this that Britain had broken its so named policy of ‘Splendid Isolation’ by signing an alliance with japan in 1902 and then going on to form an entente with the French in 1904.Certainly there are indeed other reasons other than the emerging German threat that might have forced their hand, such as the emergence of alliance’s all around the globe which had begun to upset the balance of power (Franco Russian) this may have left Britain feeling pushed into a corner somewhat so that they felt that they had no other choice but to join an alliance so it was not left behind as it s own level of relative power decreased.Furthermore with the decrease of Britain’s level of relative power (it was easily being led by the US) but most notably Germany, the fact that a state as new as Germany could grow at such a rate made the British sit up and take note. And when in 1905 during the first Moroccan crisis it was the German’s who attempted to test the new bonds between the French and the British it demonstrated not only to Britain but to the world that the German’s wanted to carve out their own chunk of glory and they were not about to let anyone stand in their way.It was indeed between the years 1906-14 when the Anglo-German naval race was to take place. It was during this time that Germany drastically increased size of its navy, however this navy was only ever meant for short term purposes. Looking at it now it is obvious why the level of British Paranoia may be reaching breaking point at this time as a fleet of short range boats began to mass on her border, it demonstrated once again that the Germans were determined to become one of the great powers.It could however be argued that this naval race was nothing more than an inconvenience towards the British as they in the end emphatically managed to build substantially more ships than the Germans. But it was to show once again that the German’s were without a doubt an up and coming nation and one that Britain must watch carefully and so it was here that the first feelings of fear of Germany were beginning to be felt. Moreover it was understood that the German’s did not actually ever want a war with the British and that the only reason for the assing of this fleet was as I have already said to inconvenience the British and indeed provide a certain amount of leverage over them in terms of international affairs and agreements, this began to scare Britain, so much so that Britain it would seem began to move even more out of the idea of ‘Splendid Isolationâ⠂¬â„¢ when, in 1912 it came to a series of military agreements with the French and actually handed over control of the Mediterranean which actually included the main route to India for the British (The Suez canal).Although these agreements were not intended as a military alliance some historians have seen it as such, but there is no mistaking that it was definitely a move away from the policy of ‘Splendid Isolation’ that Britain had previously adopted, and it would also seem to be because of the fear of the every growing in power Germans. As Germany grew in power Britain began to realise that if it came to war that the only way in which Germany could be defeated is if Britain herself became involved with yet another alliance and so in 1907 it did this with Russia, thus forming the triple entente.I believe that if it was not for increasing aggression of the German’s then Britain would most probably have never had to forge this alliance which once again brought it forward out of its formerly adopted policy of ‘Splendid Isolation’. Although the fear of Germany was undoubtedly important another important factor in regard to the dropping of the policy of ‘Splendid isolation’ is the dropping of Britain’s level of relative power and also trade.The fact that other countries (USA and Germany in particular) were growing exponentially gave Britain cause for concern and she knew that sooner or later she would lose her empire if she did not act, if she continued to operate this policy of splendid isolation then not only in time would her empire collapse around her, therefore severing any trade routes she may have had with them, but the other powers would also continue to grow until eventually they are considerably stronger than her and Britain alone would be no match for Germany.Another important factor that we need to consider in all of this is of course the influence that the Boer war may have had on Britain’s f oreign policy. And when Britain eventually did emerge from that war in 1902 she emerged victorious but it had come at a cost and that cost was a great deal of pride. Although that they had in essence been victorious it is not to be forgotten that they had beaten some lowly people, not the great powers that they had defeated in the past.Britain had to pour huge amounts of resources into this war and this was to come at a massive cost as it was to leave her extremely vulnerable in other places around the world, not least in India. Moreover this links back to the fear of Germany because it was in actual fact the German’s who were angry at Britain for fighting the Boer’s, Indeed this helped to start the path of sour relations with Germany. Not only this but Britain’s industrial power was coming under increasing levels of threat, and although they still ruled the seas it was only a matter of time before it was caught on that front also.The seas became a contentious i ssue for Britain and around 1902 they realised that they would no longer be able to uphold a two power naval standard and the fear of Russia factored into this. The fact was that if Russia and Germany or Russia and France (Franco-Russian alliance) were to attack Britain at sea then her navy would be crushed. She was severely concerned about this fact and so sought the aforementioned alliance with Japan that would help her to hopefully keep both the Russian’s and the German’s at bay.It is clear that fear of Russian along with fear of the German’s was extremely high on the list of priorities of the change in direction of British foreign policy, which in the end culminated with their withdrawal from their so called ‘Policy of Splendid isolation’. Therefore I believe that although Britain’s fear of the growth of German power was significantly important in regard to them ending their policy of ‘Splendid Isolation’ it is not the sole r eason but is the most important.The fact that they had been badly bruised by emerging with their ‘bad victory’ in the Boer war and the fact that they could no longer bear the financial strain of keeping a two power standard navy also meant that they had to drop that policy. And although it was indeed before the intervention of the German actions that the 1902 alliance with Japan and the 1904 entente with France, it is clear that the impact of the German‘s was also extremely important if not more so than the Boer war, the fear of Russia and the fear of losing trade and the routes to India.

Friday, September 13, 2019

Compare and contrast the Buddhist view of self with that of Assignment

Compare and contrast the Buddhist view of self with that of Christianity - Assignment Example In Christianity, God is the omnipotent and He is the creator of world, humans and life. He is entitled to shower his love and blessings on his folks and devotees. Buddhism on the other hand follows a different perception as regards to the concept of self. Here, man is more prominent than the presence of God. God is inevidently the creator of the universe but never does it mentions about the presence of that omnipotent power to take care or shower its blessing on its folk. Man in Buddhist philosophy is the creator of his own destiny and it is the self, responsible for suffering too. It is the â€Å"karma† of a man that makes him responsible for his suffering. Buddhism and Christianity, both of the religions, could not excel their limitations of eternity and laying down the exact role of human on earth and the role of God. These two facets sometimes overlap with many other regimes that noteworthy in both the religion. All About Religion, â€Å"Comparison Christianity and Buddhism - What are the differences?†, July 24, 2010. Religion. 2010.

Thursday, September 12, 2019

Corporate Finance Essay Example | Topics and Well Written Essays - 1500 words - 1

Corporate Finance - Essay Example Marks & Spencer like TESCO celebrates its 125 glorious years from an ordinary penny bazaar to one of the leading retailers in UK. In 1884 Michael Marks, who was a Russian-born Polish refugee, established a stall at Leeds Kirkgate Market. (â€Å"History of Marks and Spencer†, 2009) Later on a partnership with Tom Spencer a cashier from IJ Dewhirst acquired premises and marked the transition of a new business. Both Tom and Spencer died after then. (â€Å"History of Marks and Spencer†, 2009) TESCO Plc diversified its market operations in varied products and services. It store-types includes, Extra, Superstore, Metro, Express and Tesco.com. Store offerings include food-retail, non-food retail, petrol stations and home-living range. TESCO Personal Finance includes Life Insurance, Pet Insurance, Home Insurance, Travel Insurance, Motor Insurance, Savings Accounts, Personal Loans, Secure Investment Bonds and Online Mortgage Finder. (â€Å"Major Products and Services†, 2004, p.12) Telecom services are hoping to make a definite mark in the industry. To get access of the huge customer base worldwide TESCO has been successful in selling a broad range of products via internet through TESCO Direct. (â€Å"Annual Report and Financial Statements of Tesco†, 2009) M&S deals in clothing for men and women, entertainment and travel accessories, food and wine products, kids-wear, household goods, home care products, air-care products, electronic equipments, Insurance products, loan schemes, savings & investment products, etc. (â€Å"Yours M&S†, 2009) TESCO values its customers. ‘Customer Question Time’ forum and online feedback panel ‘Shopper Thoughts’ helps to provide important feedback from the customer base. (â€Å"Annual Report and Financial Statements of Tesco†, 2009, p.32) Latest introduction of feedback technique through mobile phone, e-mail or comment card called ‘Fizzback’ and understanding of customer choices through ‘Clubcard’. (â€Å"Annual Report and Financial

Wednesday, September 11, 2019

ShutterFly's ProGrowth and ProProfit Essay Example | Topics and Well Written Essays - 1250 words

ShutterFly's ProGrowth and ProProfit - Essay Example Shutterfly has had great commercial successes and fulfilled 12 million orders, sold 370 million prints, stored one billion consumer photos and their net revenues increased from $31.4 million in 2003 to $54.5 million to 2004 and $83.9 million in 2005. Shutterfly was also voted one among the top 500 fastest growing private companies in 2005. The company also got publicly enlisted and offered about 23.5 million shares of common stock. Shutterfly rides on the growth of the photo industry market that allows online consumers to store, share, print and edit photos for the present and future generations. User friendly websites and increased access to the internet have been increasing the number of online photography users and photo prints have been generating revenue of $10 billion in 2005. Greeting cards, scrapbooks, calendars and other general merchandise on digital photography are some of the other revenue generating consumer products that are sold by the company. However several issues such as branding, competition, innovation and expansion, marketing strategies, profits and growth, market shares, consumer preferences have to b considered to analyse the various orientations to growth or profits. It would be interesting to analyse whether profits or growth of a company should be brought about with two different forms of governance, one for increasing profits and other for increasing growth. Certain firms tend to give equal attention to profits and to growth and may allocate equal amount of resources to bring about profits and growth and costs, quality and time spent on PG and PP efforts would be the same (also in Armstrong and Levesque, 2002). It would be necessary to understand whether the PP and PG efforts of a company are opposed or mutually beneficial. In certain cases, the firm would focus only on increasing profits and in certain cases the focus is on growth. With the focus on both profits and growth, there may be conflicting market ori entations and strategies although this would be an interesting combination to analyse the firm's success. Roper (1999) delineated how strategy choices affect market position and business performance of firms and suggested that a firm's turnover growth and return on assets are weakly related for short-term profits. Roper also states that firm performance also depends strongly on strategy choice, with turnover growth being particularly strategy dependent. Thus turnover growth and general profitability of a company as well as long term growth of a company would be all related to strategy choice. Even in case of Shutterfly's business analysis, the primary importance could be given to the strategy and market choices used by the company. Considering the uses of PG and PP, it would be interesting to note that when both PP and PG are allocated, executed and achieved simultaneously, they would together increase the total value of the firm. When these models are used exclusively, then downturn in the firm's performance can lead to the use of an alternate model so the focus would be on either of the two, the PP model or the PG model and either the profits or the growth of the company would be important. In fact Han (2005) noted that the management of two paradoxical forces such as pro-growth strategy and pro-profit strategy could provide for strategic ambidexterity

Tuesday, September 10, 2019

Doppelganger Essay Example | Topics and Well Written Essays - 2000 words

Doppelganger - Essay Example The objective shall be met by the aid of the salient delivery techniques employed by the director to effectively bring out the themes. The prestige adequately covers the theme of sacrifice that goes into deception; the kind of deception that is good enough to generate the perception that what is achieved is actually magical and cannot be replicated by someone else without the knowledge, skills and experience of the magician. A peculiar characteristic of this sacrifice is that in most instances, it is often disguised because its discovery could be fatal to the discovery of the truth thus unmasking the fact that no magic is performed. Two examples stand out to demonstrate sacrifice. One is in the characters of Borden and Chung Ling Soo. In order to perform the magic trick of entering one point and exiting the other instantaneously, Borden cleverly uses a twin brother to accomplish the same. However, great sacrifice is what makes the achievement a reality. Borden has to conceal at all costs that he has a twin brother and make sure that the status quo remains hidden for life (McGowen, 2012, p. 112). This demonstrates how far he is willing to go just to deceive his audiences. Borden cannot even reveal his twin brother to his wife Sarah who is forced into taking her own life when she suspects that she has been dealing with two men believing them to be one. Further, sacrifice is still demonstrated when Borden’s two fingers get shot off during a magic activity that goes awry. Instead of stopping bullets as originally intended, he ends up with two fingers chopped. The negative development puts the secret of his t win brother in jeopardy as the brother will be conspicuously distinguishable from him with all fingers intact. The only solution is to chop of the fingers of the other brother so that they all look the same. Perhaps, this example best demonstrates how far in the domain of sacrifice a magician can go to capture and retain audience for

Monday, September 9, 2019

Brainscapes Case Resolution Template Study Example | Topics and Well Written Essays - 500 words

Brainscapes Resolution Template - Case Study Example he sodium concentration detected from MRI of the hippocampus suggest that the neurons in the hippocampus became diseased and were not functioning properly? What sort of a change in the Na+ concentration gradient would you expect when neurons are damaged or malfunctioning? In a normal brain tissue, the large intracellularcompartment maintains a low sodium concentration( ~10mmol/l) against a high sodium concentration in the extracellular compartment(~140mmol/l) After the death of neural cells,the intracellular space of a cell shrinks and the extracellular space increases. The larger concentration of sodium in the extracellular space yields a larger sodium signal intensity. 3 In addition to the information in the case presentation (including the web sites contained in the case itself, what other information did you find to determine whether the differences in Na+ concentrations in hippocampal cells could be related to changes in memory function? Where did you find this information? There is considerable evidence to suggest that the hippocampus and the related medio-temporal lobe structures of the human brain are crucial for the encoding and storage of information in long term memory 4) What does each of these additional items contribute to the solution of the case? For example, the item contains data from specific tests, trials, or experiments, or presents analyses that canbe used to understand the main issues in this case. The Thulborn study has provided evidence for the changes in sodium concentration upon death of neural cells. These have enabled the use of sodium magnetic resonance imaging to determine the sodium levels in hippocampus to test for the presence or extent of AD. There may be situations where the sodium content may increase in cells that are not dead or degenerated thus giving a false interpretation of the results. Increased sodium in the tissue could be caused by direct leakage of sodium because of amyloid beta channels in membranes

Sunday, September 8, 2019

Statements of Financial Accounting Standards (SFAS) 116 and 117; Assignment

Statements of Financial Accounting Standards (SFAS) 116 and 117; sample Executive Summary - Assignment Example The first has permanent restrictions whereby the donor avails funds to the beneficiary for a particular use only. The second imposes temporary restriction that limits the use of the resource for specific purpose and time. As long as the recipient meets the specified condition they are free to use the available resources without further limitations. Finally, the standard may be unrestricted thus allowing the recipient to use the donor’s resources to satisfy their needs unconditionally (McCarthy et al., 2012). On the other hand, SFAS 117 illustrates how non-for-profit organizations should account for their donations in the financial statements (McCarthy et al., 2012). The standard stipulates three financial statements that can be used by not-for-profit organizations to report their financial information. They include, â€Å"statement of financial position, statement of cash flows and statement of activities† (McCarthy et al., 2012). In the statement of activities income and expenditures focus on the entire organization and individual

Saturday, September 7, 2019

Time Management Research Paper Example | Topics and Well Written Essays - 1000 words

Time Management - Research Paper Example The pressure to keep deadlines and to deal with increasing work load within the limited time available urges to have scientifically designed time management plans. Researchers have been focusing in this area and there are literature available confirming the impact of time management on different areas including management, education and personal life. It has been confirmed that positive approaches on time management results in effective outcomes in terms of the psychological well being of the individual and also the organizational effectiveness. This in turn results in positive personal and organizational outcomes. Time Management Processes The primary approach towards effective time management includes time assessment, goal setting, planning and monitoring (Claessens et al., 2007). Observing oneself while engaging in a particular task and reviewing it both quantitatively and qualitatively in terms of time is the primary step which is referred to as time assessment. This gives precis e information on the average time taken for a particular task. For instance, time assessment assesses time taken by the individual to travel from residence to the college or to the office. Similarly, time estimations on every task involved in the routine of the individual can be closely done through this process. This would serve as an indicator of the effective time required to undertake a specific activity (Claessens et al., 2007). It will also help to calculate the number of effective hours. Time discounting which has been confirmed as a major issue in time management also can be identified here and dealt with (Koch & Kleinmann,2007) With time assessment done, one can have measurable indicators on his or her capability to undertake a task. In other words, the time required for the successful completion of a particular task is understood completely through this estimation (Claessens et al., 2007). Thus the person is ready for the goal setting to be done. Here, an achievable goal i n accordance to the observations made through the time estimation is done. This goal will be achievable in terms of time, as this has direct reference to the estimation of time which is specific to the person involved. For instance, with reference to the time estimation, if a person sets an objective that a particular technique will be learnt within two days, this is the goal set by that person. In ideal situations, these goals can be achieved within the set limit of time (Claessens et al., 2007). The next step involves creating a plan facilitating the achievement of this goal or in combination with other goals. Here the complexity is that these goals will be coinciding with a number of other activities. Thus it is important to prioritize goals and other activities to have a prioritized list of activities (Claessens et al., 2007). However, there could be some unforeseen circumstances which could come in during the implementation of this plan. Apart from these there could be factors which would consume time and were missed to be considered while doping the planning. To investigate the effectiveness of the time plan implementation, it is important to monitor the effectiveness of the implementation. The unforeseen and missed out time consumers will be identified in this stage. This process will help to confirm the effectiveness