Tuesday, December 24, 2019

Essay on Theories of Personality - 525 Words

Introversion has the greatest chance of negatively affecting SLA. Students that are afraid of embarrassing themselves by speaking incorrectly or by not being able to speak at all may try to avoid opportunities that would otherwise aid their learning (Zhang, 2008). Since 1960, personality has emerged as major field of specialization among doctoral candidates (Vance Macphail, 1964). Many investigations have been accomplished followed by literature on a variety of theories of personality. The importance on individual differences and distinctiveness of the individual are the most frequent features of the study of personality. There is a guarantee that each person’s profile is different from that of another person and thus, each person†¦show more content†¦The study can merely be called systematic and scientific when it concerned unbiased observations that are quantified so that systematic analyses can be performed (Allen, 1990). Dworkin and Kihlstrom (1978) underlined th at the prediction of behavior will be improved by the use of personality tests. In line with this, many personality inventories with certain extent of reliability and validity have been developed to aid in the study of personality. There are essentially two forms of personality tests that can be found in the literature. One of it is named projective test, allowing an extensive variety of freedom in making response, whereby the test items are more unstructured, vague or open-ended. Example of this is the Rorscharch Technique (1951). In the meantime another form of test is called the objective test. Objective tests are extremely structured paper and pencil questionnaires such as true/false or multiple choices, each of which can be scored with a key. Sidek personality Inventory is one case of an objective test. As objective tests are highly structured and scientific, they are higher in validity and reliability compared to projective tests. Allport (1936) was the first one who considered the conception of traits as the origin of his theory of personality. Nevertheless, different psychologists have developed different list of essential traits and different measurementShow MoreRelatedAssessment of Gordon Gekkos Personality Using a Mbti Framework and Personality Type Theory2061 Words   |  9 Pagesaim of this essay is to assess Gordon Gekko character ‘s personality from an Oliver Stone’s Movie â€Å"The Wall street, Money Never Sleeps† using the Myers Briggs Type Indicator (MBTI) framework and Personality Type Theory. THE MBTI The MBTI is an instrument designed to evaluate people and provide descriptive profiles of their personality types. It classifies people into sixteen broad and distinctive personality types based on Carl Jung’s theory of perception and judgement. The MBTI model was developedRead MorePersonality Theory And Personality Theories1441 Words   |  6 PagesIntroduction Personality can be defined in many ways due to the individual and unique aspects of personality, and there is yet to be a definitive answer for what personality is and how it comes into being. Generally personality can be defined as the relatively constant, individual and unique characteristics and traits which present themselves to others in different circumstances. Due to the many unknown factors of personality psychologists have suggested many ways in which personality is created,Read MorePersonality Theory : Personality Theories2989 Words   |  12 Pages Personality Theories Personality Theories: Of the many varieties of personality theory on offer, do you think any offer distinct advantages over the others, and if so, why? The personality of the man has been under study since the existence of man himself. It has been hard to understand the human personality due to the fact that one man is different from another. There are different aspects of life that have made the study of the human personality to be a challenge. Such factors include cultureRead MoreTheories Of Personality And Personality Theory4645 Words   |  19 Pagesinformative paper that explores theories of personality. The investigation that is included explains different views from past and present psychologists, from two different theories used in class during the semester. It is prevalent that a person development can suffer from behavioral and psychodynamic problems due to inconsistencies in their life growing up. This paper will discuss an eclectic view of ones personality in conjunct with a formulation of my own personality theory of development. Read MoreTheories Of Personality And Personality1039 Words   |  5 PagesTheories of Personality At one point in life, at a young age or as a resident in an elderly home, the question of who am I will arise. It is a convoluted mesh of thoughts and feelings that a person will go through before coming up with an answer. Some people may even experience cognitive dissonance in trying to explain different stages of life, while others will be comfortable in responding instantaneously with minimal cognition. In going through this process and drawing up the ‘who am I’ andRead MorePersonality Theory And Personality Theories3650 Words   |  15 PagesPersonality is the unique, relatively enduring internal and external aspects of a person’s character that influences behavior. Personality is something we deal with on a daily basis. We question people s behavior based on their motivations; like what childhood experiences did they go through to make them behave in a certain way. Many personality theorists present their own definitions of the word, personality, based on their own theoretical positions. These theorists try to explain people’s actionsRead MorePersonality Theory And Personality Theories1845 Words   |  8 PagesIt is important for psychologists to understand the factors of personality to understand cognitive, emotional and behavioural characteristics required when treating clients. Personality is described as a range of characteristic that controls the way a person thinks, feels and acts that deliver coherence and direction in one’s life. A group of theorists once said, â€Å"each of us is in a certain respect like all other people, like some other people and like no other person who has lived in the past orRead MoreTheories On Personality And Personality2396 Words   |  10 PagesMany psychologist have different theories on personality and how personalities develops from childhood to adulthood. Alfred Adler, Alderian Psychology focuses on people’s effort to compensate for their self-perceived inferiority to others. Erik Erikson believed that personality develops in a series of stages. They all seem to play a part in the shaping of the social behavior of one’s personality, failure or success. Freud theory of personality reasons that the structures and conflicts in the humanRead MorePersonality And Theory Of Personality Essay2250 Words   |  9 PagesPersonality Examined Personality is deeply complexing subject that cannot be easily summed up. There is no concrete right answer, or only one way to evaluate any given subject, as every aspect of personality has more than one view point or angle. Famous psychologists such as Freud, Adler, Jung, Erickson, Eysenck, and Skinner all shaped and conducted the research that would come together and be taught to generations as the foundations of personality and the theory of personality. To better understandRead MoreThe Theories Of Personality Theories1124 Words   |  5 Pagesimportant theories regarding personality. Some of these theories are still relevant to our world today. These theories have helped form humans and they have also changed the way we think and the way we do things. There are many different forms of personality theories that have shaped the world for us: Biological, Behavioral, Psychodynamic, Humanist, Trait, etc. Biological theories are based on genetics and they believe that genetics are re sponsible for personality. Behavioral theories suggest that

Monday, December 16, 2019

Ifrs 10 Application to Hyundai and Kia Free Essays

string(24) " the total volume of 2\." ————————————————- ACCT333 Advanced Financial Accounting ————————————————- Group Project Assignment (IFRS 10) Cheong Wang Shen Gordon Prepared for: Prof Bernardine Low Prepared by: Gordon Cheong Wang Shen Jason Tan Zhu En Twain Teo Wei Ren Wee Huixiang (G4) Table of Contents Question 1: IFRS 10 flowchart3 Question 25 (a) Identifying ambiguity of control5 Background5 Control issues5 Co-owning of subsidiaries5 Inter-company director relations6 Same platform manufacturing6 b) (c) Application of IFRS 10 flowchart to determine existence of control by Hyundai7 Step 1: Determine the purpose and design of investee (Kia)7 Step 2: Determine relevant activities7 Step 3: Determination of ability to direct relevant activities8 Step 4: Determine if exposed to variable returns9 Step 5: Determine if Hyundai is a principal or an agent10 Question 310 Identification of four requirements in IFRS 10 that are challenging to interpret and apply10 Considering the purpose and design of the investee10 Determining the relative size of voting rights11 Considering related parties12 Determining if investor is a principal or agent12 References14 Question 1: IFRS 10 flowchart Question 2 (a) Identifying ambiguity of control Background The Hyundai Motor Company (hereafter referred to as Hyundai) is a multinational automaker based in Seoul, South Korea. Hyundai is one of the two best-known divisions of the global conglomerate Hyundai, the other being Hyundai Heavy Industries, the largest shipbuilder globally. A famous Korean businessman, Chung Ju-yung, founded Hyundai in 1974. We will write a custom essay sample on Ifrs 10 Application to Hyundai and Kia or any similar topic only for you Order Now Following the Asian Financial Crisis in 1997, Hyundai bought over Kia Motors Corporation (hereafter referred to as Kia) in 1998, which resulted in the formation of the Hyundai Kia Automotive Group (HKAG). It consists of multiple affiliated companies related through complex shareholding agreements, although Hyundai is taken to be the de facto representative in transactions done with HKAG. During the acquisition of Kia in 1998, Hyundai out-bidded Ford motors to acquire 51% of the company’s shareholding. After a series of divestments over the years, the total ownership of Hyundai in Kia has been reduced to only 33. 5%. Hyundai and Kia are both listed individually on the Korean Stock Exchange. In 2008, Hyundai was ranked the 8th largest automaker in the world. It was also the fastest growing automaker globally for 2 consecutive years (2010 and 2011). The chairman and CEO of Hyundai is Chung Mong-koo, one of the surviving sons of Chung Ju-yung. Control issues Hyundai currently has a 33. 75% direct shareholding in Kia, with the remaining shareholdings being presumably widely dispersed. As such, it evidently has significant influence over the operations and running of Kia’s business. However, establishing direct control between Hyundai and Kia is not as straightforward. There are a number of issues that we have to look at. Co-owning of subsidiaries Hyundai and Kia co-own a large number of subsidiaries. As evidenced by the 2010 consolidated financials of Hyundai, the global branches of the Kia Motors Group are 100% held by Hyundai through Kia themselves. Both companies also have percentage ownership in Hyundai’s various component manufacturing companies like Hyundai HYSCO Company Limited and Hyundai Powertech Company Limited. Aside from this, they also have holdings in Autoever Systems Corporation, where their main Research and Development unit is located. Inter-company director relations The current Chairman and CEO of HMC is Chung Mong-koo. He took over Hyundai in 1992 when the Hyundai Group split into its various divisions. The Hyundai group itself follows a South Korean Business form of conglomerate known as chaebol, where the unique characteristic is that it is usually a huge family controlled corporate group. As such, it is not surprising to see that many of the third generation members of Chung Ju-yung’s family are heading many of the different divisions of the Hyundai Group. Chung Mong-koo’s only son, Chung Eui-sun was a key operating officer in various corporate planning divisions in Hyundai-Kia before eventually heading Kia as its president from 2005 to 2009. Currently, he is the vice chairman of Hyundai and is on the internal board of directors for Kia. Aside from this, Chung Mong-koo also has a 5% shareholding in Kia. Same platform manufacturing Both Hyundai and Kia co-own manufacturing subsidiaries that produce component parts to both companies. As a result, their production facilities get the similar component parts from the same suppliers. The companies also use the same power trains (engines and transmissions) all manufactured largely from the Hyundai Powertech Company Limited. A majority of the automobile electronic components from both brands also come from Hyundai MOBIS Limited. Both these companies are co-owned subsidiaries of Hyundai and Kia. Both Hyundai and Kia also share design studios. In fact, the vice president of design based in HMC actually oversees the design management of both brands. The family controlled heading of both Hyundai and Kia allows us to consider the possibility of Hyundai having a controlling influence over Kia, especially with Chung Eui-sun’s dual positions on both companies’ board of directors. Furthermore, given the fact that both companies virtually sprout from the same supply chain, and control over their research and development and design of the vehicles are headed by staff based in Hyundai, we can see hat these revenue generating activities greatly affect the business operations of both companies. Even though Kia is clearly not a subsidiary at first glance, given the meagre 33. 75% ownership by Hyundai, it would appear that Hyundai may be exerting more than just significant influence over Kia through the various factors mentioned. (b) (c) Application of IFRS 10 flowchart to determine existence of control by Hyundai Step 1: Determine the purpose and design of investee (Kia) Hyundai purchased shares in Kia for 1. 18 trillion won in November 1998. The purpose of this acquisition in Kia is for Hyundai to gain significant foothold and widen its market share in the auto industry. By taking over Kia Motor, the Hyundai-Kia group was able to forge a solid position having over 70% of domestic market share and become the 7th or 8th global automaker by combining its affiliates’ production capacity into the total volume of 2. You read "Ifrs 10 Application to Hyundai and Kia" in category "Essay examples" 9 million units in 1999. Step 2: Determine relevant activities Activities| Does it significantly affect investees’ returns – relevant activities? | Example of decisions about relevant activities| How decisions about relevant activities are made? Research and development| Yes| Reduce the number of platforms to 718 by the end of 2005, in order to save the costs of product development and manufacturing and produce a variety of car models having differing external styling and interior options for the brands of Hyundai an d Kia| Decisions are made by a joint RD Division led by the Chief Technology Officer (for Hyundai and Kia combined)| Auto-assembly| Yes| Which type of vehicle that each plant should produce? Whether Hyundai and Kia should share power-train parts (i. e. engine and transmission) to be supplied to assembly plantsWhether Hyundai and Kia should share production technology| Decisions are made by top management of the Hyundai-Kia group, where the de facto representative is Hyundai| Auto parts supply| Yes| Which vendor should supply auto parts to the companies? How many vendors should they engage? | Decisions are made by Joint Material Handling Division that Hyundai and Kia set up| Marketing and competition| Yes| Whether to focus on price or non price competition such as customer service and product quality| Decisions are made by top management of the Hyundai-Kia group| Step 3: Determination of ability to direct relevant activities Hyundai owns 33. 75% of the shares in Kia Motors. In addition, Chung Eui-sun, the son of the Hyundai Motor Group Chairman, owns another 1. 73% of the shares. This presumably gives Hyundai control of 35. 48% of Kia Motors, which is significantly less than the 50% shareholding that would give Hyundai the majority of the voting rights. However, we are unable to find any evidence that anyone has control of a large proportion of the remaining shares, and thus we feel that the assumption that the rest of the shares in Kia are highly dispersed is a reasonable one. If that is the case, then it is almost impossible that all these shareholders will collectively outvote Hyundai when a decision needs to be made, so Hyundai can be said to have power over the relevant activities. Another factor to consider is that Mr Chung is both the vice chairman of Hyundai and an internal director of Kia. As Mr Chung sits on Kia’s board, he should have a certain amount of influence over Kia’s decision-making process. This factor, coupled with Hyundai’s holding of voting rights, lend much weight to the claim that Hyundai can direct the relevant activities. Last but not least, we notice from the table above that the Hyundai and Kia managements jointly make most decisions regarding relevant activities. In fact, Hyundai and Kia share almost the same supply chain. Many companies in the supply chain are subsidiaries or associates co-owned by these two parents. However, because Hyundai owns a larger portion of shares, and hence voting rights, in most of these entities, Kia is understandably at risk if it goes all out to oppose Hyundai in some way or another. It can be seen that when decisions are made, Hyundai is better represented because of both the presence of its management and its voting rights, and Kia would tend to concede ground to Hyundai when there are disagreements. So, even though Hyundai owns less than 50% of the shareholding in Kia, they probably still have enough power to direct the relevant activities. Step 4: Determine if exposed to variable returns If Hyundai has actual control of Kia, they will be exposed to returns, which can be positive, negative or both. Also these returns must be variable rather than fixed. The returns that Hyundai is exposed to can be classified into two categories: 1) Returns not available to other interest holders. This refers to cost savings and synergies that arise from Hyundai owning Kia, which other shareholders in Kia would not be entitled to. In this case, they are mostly in the form of cost savings, due to the similar operations of the two companies. Consolidation of RD centres of Hyundai and Kia, sharing of RD centres allowed both companies to lower costs by reducing number of employees in the RD centres * Products share similar core platforms leads to savings and economies of scale * Sharing of factories leads to further specialisation, for example, Kia’s Kwangju plant was designated as a specialised assembly plant for small-sized commercial vehicles for both Hyundai and Kia, leading to cost reduction * Sharing auto-part suppliers to apply greater pressure on suppliers for cost savings on supplies 2) Dividends Kia paid out 96 billion won in dividends in 2010 * Hyundai’s ownership of common stock entitles them to receive dividends from Kia. Thus, it can be seen that Hyundai meets all our requirements that would allow it to classify Kia as a subsidiary. Our last step would be to ensure that Hyundai is acting in the capacity of a principal, rather than that of an agent, which is holding delegated power. Step 5: Determine if Hyundai is a principal or an agent In determining whether Hyundai is acting as a principal or an agent, we need to consider four factors: 1) Scope of decision making authority * Unable to find information proving that Hyundai has any limits to the decisions it can make for Kia * Presumably, Hyundai can make most decisions for Kia 2) Rights held by other parties * No evidence of rights held by other parties 3) Exposure to variability of returns from investees * High cost savings due to economies of scale Many of Hyundai’s subsidiaries depend on Kia for revenue * Affected by dividends paid out by Kia 4) Remuneration * Almost solely dependent on dividends, which are highly variable * No actual fixed remuneration In consideration of all the four factors, Hyundai is most likely a principal and not an agent. Hence we can reasonably conclude, after thorough application of the framework, that Kia is a subsidiary of Hyundai. Question 3 Identification of four requirements in IFRS 10 that are challenging to interpret and apply Considering the purpose and design of the investee Paragraph B5 of IFRS 10 explains that â€Å"when assessing control of an investee, an investor shall consider the purpose and design of the investee in order to identify the relevant activities, how decisions about the relevant activities are made, who has the current ability to direct those activities and who receives returns from those activities†. Paragraphs B51-B53 then goes on to explain the factors to be considered when determining the purpose and design of the investee. However, IFRS 10 does not explain how the purpose and design of the investee can be used to â€Å"identify the relevant activities, how decisions about the relevant activities are made, who has the current ability to direct those activities and who receives returns from those activities†, which paragraph B5 suggested. A simplistic scenario is given in paragraph B6, whereby the investee is controlled by means of equity investments. Beyond this straightforward case, paragraph B7 directs readers back to the factors listed in B3 to determine control (relevant activities, ability to direct relevant activities, variable returns and ability to use power over investee to affect returns). Furthermore, the factors provided in paragraphs B51-B53 are hard to determine and require much professional judgment. For instance, paragraph B51 states that in the process of assessing the purpose and design, we â€Å"evaluate whether the transaction terms and features of the involvement (at investee’s inception) provide the investor with rights that are sufficient to give it power†. No conclusive elaboration is provided by IFRS 10, and it is uncertain whether being involved in the investee’s inception signifies control. This creates much ambiguity and inconsistent interpretation across firms. Rather than making it seem like an isolated step with little purpose, IFRS 10 should provide clearer guidance for the objective of determining the purpose and design of the investee. Clearer linkages, between the consideration of purpose and design of investee and the other factors to be considered when determining control, could also be provided to improve the flow of IFRS 10. Furthermore, more comprehensive and conclusive guidelines could be included to standardise the interpretation of the purpose and design of the investee. Determining the relative size of voting rights According to paragraph B42, an investor can consider the size of its holding of voting rights relative to the size and dispersion of other holdings of the other vote holders to determine whether its rights are sufficient to give it power. However, because relativity encompasses the use of personal judgement, this section may be open to manipulation. In Hyundai’s case, it holds around 35% of the voting rights, including those held by its vice chairman, Chung Eui-sun. If the rest of the voting rights are very widely dispersed, with nobody else holding more than 1%, Hyundai can say that it has control because it is very improbable that all the other parties will come together to collectively outvote Hyundai. On the other hand, Hyundai can also claim that there is still a possibility that the other shareholders will collectively vote against Hyundai if it introduces a policy that does not benefit them, so in that case, Hyundai does not have control. We notice that the voting structure remains the same, yet different interpretations can be derived. Paragraph B42 also says that other circumstances, such as voting patterns at previous shareholders’ meetings, can be considered, but it is hard to say if the historical patterns are able to predict the future. Shareholders might not have voted in previous meetings because there were no major decisions that affected them, but if Hyundai intends to propose something revolutionary, the voting situation will definitely change. IFRS 10 can provide more detailed guidance to ensure that this section is applied appropriately and consistently. For example, when determining how widely dispersed the rest of the voting rights are, an investor should consider only the next 10 largest shareholders. If their combined holding is larger than that of the investor, then the investor does not have control based on this requirement alone. When assessing previous voting patterns, the investor should only look at shareholders’ meetings where issues of similar impact were raised. If previous meetings did not encompass such issues, then the voting patterns for those meetings cannot be considered. Considering related parties Paragraph B18 states that an investor can consider whether the investee’s key management personnel are related parties of the investor when determining if the investor has the practical ability to direct relevant activities unilaterally. However, it does not specify how much influence the related parties must have over the investee, so this may not always be a good indicator of power. For example, Hyundai’s vice chairman, Chung Eui-sun, is also on Kia’s internal board of directors. According to paragraph B18, this should provide evidence that Hyundai has power over Kia. But in order to determine whether Hyundai can direct relevant activities through Chung Eui-sun, we must also consider the amount of influence that he has over Kia’s decision-making process. Kia has 9 directors on its board, of whom two are also presidents in the company, so Chung Eui-sun may not always have his way. If the investor does not take this into consideration, then the determination of control would be flawed. In that sense, this requirement would be more complete if guidance on the influence commanded by related parties was given. Instead of only determining whether there are related parties in the investee’s governing bodies, the investor should also take into account the role and power of the related parties. If the related parties have the final say when it comes to decision-making over relevant activities, then this factor can conclusively determine that the investor has power. But if the related parties do not have the final say, then only a minimal weight should be placed on this factor. Determining if investor is a principal or agent Being able to determine if the investor is a principal or an agent is crucial to determining whether the investor has control over the investee. A principal would have power over the investee, but an agent would only have delegated power. Delegated power is held on behalf of a third party who ultimately controls the investee. The method prescribed in IFRS 10 for determining if a decision maker is an agent is the consideration of the factors listed in paragraph B60. Upon further elaboration of the factors, IFRS 10 provides certain cases where the investee is definitely a principal or an agent. For example, paragraph B70 states that â€Å"a decision maker cannot be an agent unless the conditions set out in paragraph B69 (a) and (b) are present. † However, if none of these extreme conditions are met, we must assume that we would have to take all five conditions into account when trying to decide if the investor is an agent. However, there is no prescription in IFRS 10 about how to consider these conditions. In a situation where some of the conditions point towards the investor being an agent and some point towards them being a principal, there is a certain amount of ambiguity in whether the investor should be classified as a principal or an agent. This gives the company some leeway in choosing the decision that would reflect a better financial position of the firm. This could lead to reduced accuracy of financial statements and less comparability among financial statements of different companies. To make this requirement easier to interpret and apply, IFRS 10 should clearly state the relative importance of each factor. For example, the factors which are given a higher relative importance would have a higher influence on whether the company is a principal or an agent, as compared to those with a lower importance. As such, in ambiguous cases, companies will know which factors should be considered first. Given this, all companies will have more similar definitions of principal/agent, thereby reducing the ambiguity and increasing comparability among different financial statements. References 1) Hyundai 2010 Annual Report http://worldwide. hyundai. com/company-overview/investor-relations/financial-information-Annual-Report-view. aspx? idx=13nCurPage=1ListNum=11 2) Kia 2010 Annual Report http://www. kmcir. com/eng/library/annual. asp 3) Merger and Reconfiguring of Hyundai-Kia (Byoung-Hoon Lee, Sung Jae Cho) http://gerpisa. org/rencontre/9. rencontre/S13Lee-Cho. pdf 4) HYUNDAI MOTORS’ DE-CHAEBOLIZATION EFFECTS (Hyunjoong Jun) http://gerpisa. org/rencontre/9. rencontre/S13Jun. pdf How to cite Ifrs 10 Application to Hyundai and Kia, Essay examples

Sunday, December 8, 2019

Gun Control1 Essay Example For Students

Gun Control1 Essay 6:35 p.m. : William Wallace had a very stressful day at work and is now driving home. As he is travelling along the I-10 freeway in Los Angeles, he suddenly comes to a complete stop. Gridlock traffic is not an unusual sight for any motorist that travels on this freeway, and William decides to exit the freeway in order to escape the madness. He exits on the next off ramp and comes to a red light at a busy intersection. As he patiently waits for the stoplight to change illumination he thinks about his wife and his two beautiful daughters. Suddenly the driver’s side window is shattered and glass disperses throughout the interior of the car. William looks over to find a brick resting on the passenger seat next to him. A hooded man runs up to the side of his car and violently opens the door. The man points a gun and shouts at William to get out before he gets hurt. As William struggles to unbuckle his seatbelt, the man hits him against the side of his head with the pistol. William is then forcefully pulled out of the car and thrown onto the asphalt in a manner of rage. William looks over and sees a man step out of the car behind him pointing a 9mm pistol with one hand and holding a police badge in the other hand. The off duty officer shouts for William’s attacker to stop. The hooded man panics and opens fire on the officer. William watches the officer take three bullets to his chest and fall to the ground. The hooded man then jumps into William’s car, slams on the accelerator and races straight into the busy intersection. The next sound that William hears is burning rubber, crushing metal to metal, and shattering glass. William is bleeding severely and barely conscious when the paramedics arrive several minutes later. The story above is fictitious, but these kinds of horrifying crimes occur everyday in America and innocent people are being killed. Crime in America has become as common as a cold. Television, movies, and music have contributed tow ards desensitizing our outlook on violence. The children of today are growing up in a society that is full of violent crimes and other such atrocities. People are being killed while just taking a walk, driving on freeways, going to school, and even in their own homes with stray bullets from drive-by shootings. It should not be this way. Innocent people should not be persecuted by the hands of unstable arm-bearing people on angry power trips. Something terrible has happened in our society and the citizens of this once ‘great country’ have greatly lowered their moral and ethical values. The fact is that people are no longer taking responsibility for their own behavior. What once used to end with a harmless bloody nose is now resulting in blood baths. â€Å"With two hundred million guns in circulation and another fifteen thousand manufactured everyday, there are enough firearms to arm every man, woman, and child in the United States†(Bender Leone 16). Any ethical A merican would agree that gun related violence is a major problem in today’s society, and that gun control looks like a serious solution. The constitution states that every citizen in the United States has the right to own a gun. The second amendment in the Bill of Rights states, â€Å"A well regulated militia being necessary to the security of a free State, the right of the people to keep and bear arms, shall not be infringed† (Miller 28). This bill was written over 200 years ago in 1791, and has been debated ever since. When our forefathers wrote the constitution, every man in every state was part of the U.S. militia and could be called upon at any time to help protect the country in a case of emergency or national threat. This is no longer relevant in today’s society. Today there are varied branches of the military that are separate from the citizens of the United States. Militant Monks EssayGottfried, Ted. Gun Control : Public Safety and the Right to Bear Arms. Brookfield, CT: Millbrook, 1993. Kelly, Raymond W. â€Å"Gun Control Will Reduce Violent Crime.† Opposing Viewpoints.Ed. David L. Bender and Bruno Leone. San Diego, Ca: Greenhaven Press, 1997. 139-44. Miller, Maryann. Working Together Against Gun Violence. New York: Rosen Publishing Group, 1994. Safran, Claire. â€Å"Private Ownership of Handguns Leads to Higher Rates of Gun Violence.† Opposing Viewpoints. Ed. David L. Bender and Bruno Leone. San Diego, Ca: Greenhaven Press, 1997. 17-25.

Saturday, November 30, 2019

Zipcar Refining the Business Model Essay Sample free essay sample

Zipcar is attractive to the investors because it has a good concern theoretical account. There are 9 edifice blocks for a successful concern theoretical account: Customer Sections. Zipcar marks at the people who do non desire to have a auto but on occasion wants the convenience to utilize a auto in the urban locations. where there is a heavy base of possible users. parking was expensive. and the demand to drive is limited. In Unite States. this market is big and virtually untasted. Value Propositions. Different from the rivals. Zipcar tries to present convenience. easiness of usage. freedom to go. and the hassle-free â€Å"ownership† for clients. Zipcar provide rank. members can instantly lease and return the auto in the nearest topographic point. All the reserves and Billingss are done online and it is hassle free. Besides. it provides lower rate to pull clients. Channelss. Through rank and on-line reserve. Zipcar can easy and rapidly delivers its services to the clients. We will write a custom essay sample on Zipcar: Refining the Business Model Essay Sample or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page In add-on. autos are parked in designated infinites in vicinities convenient to users ; they merely need five-minute walk to a parking location. Customer Relationships. Zipcar provide rank. Members would be issued alone propinquity cards called Zipcards. Members can do a reserve online. and merely swipe the Zipcards to acquire entree to the rental autos. Revenue Streams. The gross comes from sedimentation. rank fee and rental fees. Harmonizing to the fiscal program. the one-year growing rate is expected to be 30 % . From twelvemonth 2 to 5. the net income before revenue enhancement will increase to 2 times of the old twelvemonth. Key Resources. Zipcar has already owned about 20 autos as cardinal resource. Besides. they had contracts with many big establishments for parking. For human resource. ZipCar has a strong direction squad with the accomplishments of concern. fiscal planning and proficient expertness. Cardinal Activities. On the one manus. Zipcar has built up the engineering platform to guarantee its services. Zipcar has envisioned a system that enabled the users to do a reserve online. Besides. a card reader was installed inside the windscreen of each Zipcar to authorise the users to acquire into the auto. On the other manus. Zipcar do good advertisement occupations. They create a logo and utilize it as advertizement. Key Partnership. There are merely 2 rivals in United States and they focused on the environmental impact of auto sharing instead than convenience and cost effectivity. In add-on. Zipcar has partnerships with many big establishments for parking Cost Structure. The cost of Zipcar includes overhead. vehicle purchase. rental cost. fuel filling. insurance and care. The fixed cost is in a little per centum and can be reduced as the scale addition. For an lift pitch. Zipcar is a sophisticated auto sharing company. We aims to present convenience. easiness of usage. freedom to go. and the hassle-free â€Å"ownership† for clients. Our members can do a speedy reserve online. travel to the nearest parking location. and acquire the auto merely by swiping the cards. Zipcar has built up the engineering platform. selling channels. direction squad and strategic partnerships to guarantee the services. For the fiscal portion. a high revenue-cost ratios and assuring growing rate have been proved. Now we are believing to spread out our concern to Boston and turn out the Boston market’s viability.

Tuesday, November 26, 2019

Does Herodotus offer adequate explanations for Greek colonisation during the archaic period Essay Example

Does Herodotus offer adequate explanations for Greek colonisation during the archaic period Essay Example Does Herodotus offer adequate explanations for Greek colonisation during the archaic period Essay Does Herodotus offer adequate explanations for Greek colonisation during the archaic period Essay Essay Topic: History In order to assess how adequate Herodotus explanations for Greek colonisation in the archaic period are it is necessary to first look at Herodotus’ reasons behind the establishment of Hellenic settlements, the attitudes of modern historians. Herodotus relies heavily on religion as a main factor behind Greek colonisation, most notably the Delphic Oracle at the Temple of Apollo. Herodotus and modern historians also mention political motivation for the foundation of new colonies however the latter prefer to focus more on ‘land hunger’ and trade developments as being the main reasons behind the institution of apoikia. Lastly it is important to examine the reliability of Herodotus himself; assessing whether The Histories is dependable on its own as source or whether other information is required along side it to paint an adequate picture for the true purpose behind Greek colonisation during the archaic period. The most important reason Herodotus uses to explain Greek colonisation would be down to instructions relayed by the Delphic oracle. Herodotus writes how the â€Å"Phocaean’s made Cyrnus their destination, because twenty years earlier, on the advice of an oracle, they had founded a community there called Alalia†[1] and also how the colonisation of Cyrene involves the apparent founder Battus consulting the Pythia[2]. These examples therefore show that Greeks placed great stock in the predictions made by the oracle which they believed were messages being relayed by the Gods. Dillon and Garland agree with this assessment by stating that â€Å"men of former times†¦ would not found cities, or surround themselves with walls, or kill anyone, or get married before they had learnt all they could from the seers†[3]. Descoeudres agrees that â€Å"consultation of the Delphic oracle was a normal, even mandatory prelude to a colonizing venture†[4] but later goes on to argue â€Å"but was sought from the Gods was a sanction for action already decided upon†[5]. This idea that Greek cities wanted approval for expeditions that they had already planned is concretized by Dillon and Garland who state that â€Å"most mother-cities would have known their destination in advance†. Therefore it could be argued that Greeks did not require the Delphic oracle as a director of the expedition, but for divine authorisation, one which could not be contested by rival claimants to the newly establishment settlement. This is particularly evident in the case of Cyrene where both the Therans and the Lacedaemonian accounts of the settlements origin differ widely except from the involvement of character known as Battus and his consultation of the Delphic oracle in their attempt lay claim to that territory. Dillon and Garland state that â€Å"while it was important by the fifth century to ensure a colony had the backing of Apollo at Delphi there are no recorded foundation oracles for several colonies of the 8th and early 7th centuries†[6] which could be used to support Demand’s assertions that â€Å"the participants (of the colonisation movement) would have wanted to have a clear title to their land, and this could only be provided by the Gods†¦ some oracular responses may even have been invented at a later time by poleis tidying up their local histories†[7]. Therefore, there is ample evidence to suggest that Herodotus’ testimony that the Delphic oracle was a motivation behind Hellenic expansion is not an adequate explanation for Greek colonisation during the archaic period but instead can be used to examine the attitudes of those reporting to the father of history. On the other hand, both modern and ancient sources agree that political differences had its part to play regarding Greek colonisation during the archaic period. Herodotus explains how the entire Tean populace â€Å"took to their ships and sailed away to Thrace where they founded the city of Abdera†[8] due to pressure from the Persian forces under the command of Harpagus. The impeding nature of a larger, more powerful army aiming to conqueror a city would arguably be a good reason for that group of people to move to a safer area in order to survive. Along with external political enemies being the reason for colonisation amongst the Hellenic peoples, internal political strife was also evident; one example being Dorieus failed attempt to colonise in Libya and later Sicily due to his brother Cleomenes I being crowned King of Sparta[9]. Dillon and Garland assert that along with other factors â€Å"political problems at home were the primary social and economic factors that impelled cities to send out settlements elsewhere†[10] which corresponds with Speake who argues â€Å"the foundation of Tarentum and Cyrene both refer to political strife, while Phocaea was a response to Persian expansion†[11]. Therefore political conflicts did also contribute to the Greek colonisation movement however it could be argued only on a smaller, more specific scale. The threat of a Persian invasion laying waste to cities and placing its inhabitants in captivity would seem like a reasonable excuse to relocate however this does not explain motivations behind colonisation before and after the conquests of Darius and later Xerxes I. The fact that Herodotus says â€Å"the Phocaeans and the Teans were the only Ionians who emigrated from the native lands rather than endure slavery† implies that external political pressure was limited as a reason for Greek colonisation. Colonisation stories similar to that of Dorieus would mainly have been restricting to only a few mother-cities like Sparta who abided by the Male Primogeniture rule of inheritance (the entire estate of the father going to the eldest son) rather than partible inheritance (equal division of father’s estate amongst children) whereby which led Dorieus to seek foreign land. In summation, political motivations were minor reasons for Greek colonisation during the archaic period. A more extensive argument for Greek colonisation during the archaic period, maintained by modern historians, would be economic factors, chiefly land hunger and trade benefits. A combination of partible inheritance and population rise meant that less land was being divided between more people and that ultimately â€Å"there was not enough arable land in the existing Greek world to support the growing population by agriculture and pasturage alone†[12]. This assessment is accepted by Crawford who concurs that â€Å"shortage of land as a result of the growth of population in the eight century mainly lies behind the need to found settlements overseas†[13] and Dillon and Garland who agree that â€Å"it is important to realize how significant population size could be in Greek cities throughout this period†[14] and later go on to mention Thera’s colonisation of Cyrene due to drought and population increase, a settlement Herodotus problematically explains as being a result of an oracular prophecy. This view seems more concrete given archaeological finds such as increased amounts of graves being dated to around that period and urbanisation of large cities during that time. In conclusion, the reasons Herodotus gives for Greek colonisation during the archaic period are useful as a starting point but not adequate as an entire description of the movements made by the Hellenics. Tales of divine instruction to establish new settlements and heroic singular efforts against the odds given to us by Herodotus hold less weight compared to the economic practicality of creating new communities to relieve the increase of population, a view upheld by most modern historians. Although factors such as religious zeal and political strife were possibly involved in the decision to set up new colonies they are not as significant as the economic advantages concerned. However this view of Herodotus as an inadequate source is by no means a criticism of his ability as a historian, rather a limitation on the reliability of the information he was given. It is clear that Herodotus’ resources were flawed and he himself implies that there are restrictions on their usefulness[15]. Luraghi agrees with this assessment of the passage and the Histories as whole by stating â€Å"Herodotus explicitly says a couple of times that his task is to report what is said, regardless of whether he believes it or not†[16]. Therefore Alone, Herodotus offers adequate explanations of the views of locals regarding the founding of settlements and their attitudes towards religion and heroes but must be used alongside archaeology and the views of modern historians in order to paint and adequate picture of Greek colonisation during the archaic period.

Friday, November 22, 2019

The History of the Ashikaga Shogunate

The History of the Ashikaga Shogunate Between 1336 and 1573, the Ashikaga Shogunate ruled Japan. However, it was not a strong central governing force, and in fact, the Ashikaga Bakufu witnessed the rise of powerful daimyo all around the country. These regional lords reigned over their domains with very little interference or influence from the shogun in Kyoto.   The Beginning of Ashikaga Rule The first century of Ashikaga rule is distinguished by a flowering of culture and the arts, including Noh drama, as well as the popularization of Zen Buddhism. By the later Ashikaga period, Japan had descended into the chaos of the Sengoku period, with different daimyo battling one another for territory and power in a century-long civil war. The roots of Ashikaga power go back even before the Kamakura period (1185 - 1334), which preceded the Ashikaga shogunate. During the Kamakura era, Japan was ruled by a branch of the ancient Taira clan, which lost the Genpei War (1180 - 1185) to the Minamoto clan, but managed to seize power anyway. The Ashikaga, in turn, was a branch of the Minamoto clan. In 1336, Ashikaga Takauji overthrew the Kamakura shogunate, in effect defeating the Taira once more and returning the Minamoto to power. Ashikaga got his chance in large part thanks to Kublai Khan, the Mongol emperor who founded the Yuan Dynasty in China. Kublai Khans two invasions of Japan, in 1274 and 1281, did not succeed thanks to the miracle of the kamikaze, but they did significantly weaken the Kamakura shogunate. Public dissatisfaction with Kamakura rule gave the Ashikaga clan its chance to overthrow the shogun  and seize power.   In 1336, Ashikaga Takauji established his own shogunate in Kyoto. The Ashikaga Shogunate is also sometimes known as the Muromachi shogunate  because the shoguns palace was in the Muromachi district of Kyoto. From the start, Ashikaga rule was bedeviled by controversy. A disagreement with the Emperor, Go-Daigo, about who would actually have power, led to the emperor being deposed in favor of the Emperor Komyo. Go-Daigo fled south and set up his own rival imperial court. The period between 1336 and 1392 is known as the Northern and Southern Courts era  because Japan had two emperors at the same time. In terms of international relations, the Ashikaga shoguns sent frequent diplomatic and trade missions to Joseon Korea, and also used the daimyo of Tsushima Island as an intermediary. Ashikaga letters were addressed to the king of Korea from the king of Japan, indicating an equal relationship. Japan also carried on an active trade relationship with Ming China, once the Mongol Yuan Dynasty was overthrown in 1368. Chinas Confucian distaste for trade dictated that they disguise the trade as tribute coming from Japan, in exchange for gifts from the Chinese emperor. Both Ashikaga Japan and Joseon Korea established this tributary relationship with Ming China. Japan also traded with Southeast Asia, sending copper, swords, and furs in exchange for exotic woods and spices. The Ashikaga Dynasty Overthrown At home, however, the Ashikaga shoguns were weak.  The clan did not have a large home domain of its own, so it lacked the wealth and power of the Kamakura or the later Tokugawa shoguns. The lasting influence of the Ashikaga era is in the arts and culture of Japan.   During this period, the samurai class enthusiastically embraced Zen Buddhism, which had been imported from China as early as the seventh century. The military elites developed an entire aesthetic based on Zen ideas about beauty, nature, simplicity, and utility. Arts including the tea ceremony, painting, garden design, architecture and interior design, floral arranging, poetry, and Noh theater all developed along Zen lines.   In 1467, the decade-long Onin War broke out. It soon escalated into a nation-wide civil war, with various daimyo fighting for the privilege of naming the next heir to the Ashikaga shogunal throne. Japan erupted into factional fighting; the imperial and shogunal capital of Kyoto burned. The Onin War marked the beginning of the Sengoku, a 100-year period of continual civil war and turmoil. The Ashikaga nominally held onto power until 1573, when warlord Oda Nobunaga overthrew the last shogun, Ashikaga Yoshiaki.  However, Ashikaga power really ended with the start of the Onin War.

Thursday, November 21, 2019

Statical Data in a Business Essay Example | Topics and Well Written Essays - 500 words

Statical Data in a Business - Essay Example A central depot is set up, where all the detergent that is manufactured by the two plants is sent and mixed together. Following a careful investigation, the production manager established that 10% of the detergent manufactured in Florida and 5% of the detergent manufactured in Texas is faulty and hence cannot be used. It is also known that when the company sells faulty products, its goodwill is tainted and the cost of replacing the faulty product is high. The production manager finds it prudent to allocate these costs reasonably between the two production facilities. This allocation requires knowledge of the probability that a particular production line will produce faulty detergent. In particular, the production manager should seek answers to the following questions: To find the solution to this problem, a probability function is constructed, whereby, F stands for the event that a unit of detergent is faulty. In other words, the production manager is aware of the following? It is by now known that 40% of the detergent is produced by Florida plant and 60% from Texas. As such, P (Florida) = 0.40 and P (Texas) = 0.6. Using Bayes’ Theorem, the following probability from each production line is presented: These probabilities imply that 57.14% of the faulty cost should be assigned to the Florida plant and 42.86% assigned to the Texas plant. It is notable that P (F) represents the probability of the faulty detergent. This probability can be represented as follows: The production manager has applied Bayes’ theorem to craft a fair method of allocation cost that is associated with production of defective products between the two production facilities (Peebles, 1993). Although the production manager was not certain of the exact cost that comes from each plant, the probabilities have been formed devoid of bias. Therefore, the company will be more decisive when allocating these costs between

Tuesday, November 19, 2019

When will employers require cognitive augmentation of their workers Essay

When will employers require cognitive augmentation of their workers - Essay Example A driver of cognitive augmentation on the social side is the growing acceptance of technological augmentation of human capabilities, already present in 2015, and certainly will continue to accelerate and become commonplace by 2040. This will be to the extent of people becoming used to cognitive augmentation as a way of life. Current forays into device augmentation of reality, such as Google Glass, are testaments to this. The certainty and the level of impact are high, given the current high rate of social adoption of such new cognitive augmentation devices, with the smart phones arguably an early form of a cognitive augmentation device already prevalent worldwide (Pang, 2014). The on-going shift in the major economies, such as the American economy, towards more substantial industries that require high levels of scientific expertise, such as biotech, will certainly propel industries to require cognitive augmentation for workers. The certainty and level of impact is high, judging from the permanent nature of the shift and the need for more highly intelligent workers by 2040 (Egan, 2015). Climate change will be a driver of change towards cognitive computing in the workplace by 2040. The problems relating to climate change are persistent and long-range, requiring the development of new answers, new ways of living, and new ways of adapting. This means that workers will be required to make use of augmented cognition technologies to aid in this large task. The level of certainty and the level of impact are both high, judging from the high impact nature of the problem of climate change, and the urgency of the tasks relating to solving the problem (Gilpin, 2014). Reed, B. (2015). Bill Gates is the latest brilliant person to warn artificial intelligence could kill us all. Yahoo! News. Retrieved from

Saturday, November 16, 2019

Translation in Advertising Essay Example for Free

Translation in Advertising Essay Modern mass media have triggered the distribution of the international advertizing activity. Nowadays, the translation of advertising has become not only necessary but also the daily phenomenon of life of the world community. Thus, the knowledge of theoretical bases of the process is not only an indispensable condition, but also the quality assurance of the translation. Like other production of the mass media – newspapers, magazines, TV programs, broadcasts, advertising is materialized in the form of the ready media text. And the concept â€Å"text† with the reference to the sphere of the mass information is used not only for a designation of an actual text verbal number, but also gets lines of dimensions and multidimensionality including such important for media production components as a visual number in its graphic or television embodiment, and also an audio number in the form of a product. Therefore, the concept â€Å"the advertising text† concerns not only a verbal number, but also includes a set of all linguistic significant components, somehow: schedules, images, sound, etc.  where the concrete set depends on a mass-media-carrier. Such interpretation of a concept ‘the advertising text’ finds the reflection in works of many English-speaking researchers, in particular, in Angela Goddars The Language Book of Advertising which writes: â€Å"The word ‘text’ here (as applied to advertising) is used in its widest sense, including visual artifacts as well as verbal language†. While translating advertising texts it is necessary to consider the purpose of the advertising message, the character of the consumer, the language qualities of the text of the original, the cultural and individual possibilities of the language in the cultural aspect of the consumer and many other things. Translation of texts in advertising can be defined as close to â€Å"adequate†. Such type of translation is caused by its practical necessity. The given approach demands good knowledge of the translator of the subject discussed in the original, the translator should understand what the author of the advertising text, i.e. communicative intention of the advertising text, wanted to say. Translation of the advertising text at change of the verbal form should be, at the same time, precisely transferred in meaning. While translating English-speaking advertising texts, in some cases Russian translators dont translate the text and give its â€Å"semantic equivalent†. For example: â€Å"What legs! Much more than legs! OMSA knows how to be admired! † (From Paris to the Find Omsa the best stockings! ); â€Å"Betcha can’t eat just one† (Zahrustish – you will not resist! ). The choice of this or that way or translating depends on a lot factors. It can be both the character of the text being translated, and the audience of the consumer of advertising production, psychological features of the translator, and his /her adherence of a certain literary tradition. For many experts in advertising activity the foreign language text serves only as a means for understanding the idea of an advertised product, the text is often written from scratch in the language of the country of the consumer, taking into account its national specificity. When the exact translation of the text represented is for any reasons undesirable, the translator uses the phrases that are approximate in meaning; the phrases should necessarily consider traditional ethnic, national and social features, stereotypes of behavior of a concrete audience at whom the product in the advertising text is directed. If the audience on whom the text of an advertised product is focused is various, translators use exclusively common lexicon that is clear to each native speaker and has wide application in a daily dialogue. If the target audience is homogeneous, translators dont use in the advertizing text the words that have certain restrictions in the use. They carefully select the words included in the advertising text with the reference to their stylistic conformity, to the chosen theme, the product and the audience. In the case when the advertising campaign is focused on the narrow homogeneous audience having its own social or professional metalanguage, the use of slangy words and words of professionalism is not forbidden to the translator, but, moreover, it is welcomed. The reference to literary, cultural and historical traditions is â€Å"the powerful weapon† for the founders of advertising. At the same time similar phenomena represent certain difficulties at interpretation and perception of the text. The use of citations, hints, deformed idioms, and also the words of another language assumes the presence of the general background knowledge of the founder of the text and its addressee. A similar phenomena gets special importance in advertising of the goods displayed in  the international market as in this case there is required some adaptation of advertising messages to the audience they are addressed; with the reference to peculiarities of the language picture of the world. Advertising texts should be characterized by clarity, brightness, laconicism, extravagance, highly professional execution, as its main objective – to draw attention, to raise interest and to stimulate sale. To achieve this purpose the composers of the advertizing text appeal to the use of various linguistic and psychological devices. Therefore, in advertising messages on the â€Å"the limited space† it is possible to observe the highest concentration of various stylistic devices. â€Å"Having the purpose of intensive concentrated influence, advertising uses a rich spectrum of expressive means at all language levels†. [1] Allegory, a metaphor, comparison, parallelism, various kinds of repetitions, alliteration, an onomatopoeia, concentration of imperative forms of a verb and connotive adjectives – all these are widely represented in advertising texts. So, for example, D. Dajer characterizes features of language of advertizing as follows: â€Å"Advertising language is of course loaded language. Its primary aim is to attract our attention and dispose us favorably towards the product or service on offer. Advertisers use language quite distinctively: there are certainly advantages in making bizarre and controversial statements in unusual ways as well as communicating with people using simple, straightforward language †¦ Catching our attention and imagination and aiding memory are perhaps the primary functions of advertising languages: usual or stylish words and short, crisp sentences are easy to repeat and remember. And our memories are also served by brand names, slogans and catch-phrases, rhythm and rhyme, alliteration, snatches of song and verse and of course endless repetition†. [3, p. 140] As one of the major components of the advertising text is the description of advertised goods or services, attributive combinations that include adverbs and adjectives bear the big functional loading. Some researchers even name the adverbs and adjectives the keywords of the advertising text and pay to them special attention. â€Å"If you listen to any commercial or glance at advertisements in magazines, you will be subjected to a liberal sprinkling of adverbs and adjectives. There are key parts of speech for advertisers. They are the trigger words because they can stimulate envy, dreams and desires by evoking looks, touch, taste, smell without actually misrepresenting a product†. Adjectives and adverbs help to create that unique tonality of an advertising appeal which allows to transfer qualities and advantages of an advertised subject. While translating into other language this circumstance should be necessarily considered: â€Å"Radiant, sensual, sophisticated, Jadore is a fragrance that celebrates the renaissance of extreme femininity and the power of spontaneous emotion with a brilliant bouquet of orchids, the velvet touch of Damascus plum and the mellowness of Amarante wood† (Shining, sensual, difficult, Jadore – aroma which celebrates the Renaissance of extreme feminity and the power of direct emotion with a brilliant bouquet of orchids, velvet contact of Damask plum, and ripeness of wood of an amaranth). [3, p. 149] In translation process of advertising texts adjectives and adverbs are used for the description of the most various properties of an advertised product – forms, the size, the quality, the cost, sensations which the given product causes. The adjectives that are most used in English-speaking advertising concern: natural, sensual, innocent, passionate, romantic, mysterious, good, better, best, free, fresh, delicious, full sure, clean, wonderful, special, fine, big, great, real, easy, bright, extra, rich, gold. Often there are the adjectives specifying the authenticity of a trade mark genuine, authentic and original. But, perhaps, the champion of frequency in English-speaking advertising there is an adjective ‘new’ he can be met practically in every second advertising text. On syntactical level it is possible to name such most significant signs of the advertising text as the frequent use of imperative forms of a verb that considerably strengthens dynamism of an advertising appeal (see, buy, fly). â€Å"They fell in love with her when she started wearing that Sexplosion perfume. That perfume really attracts boys! Buy some! † Very often in advertising texts there is a metaphor, while translating it the translator needs to show a great creative potential: â€Å"Plop plop, fizz fizz, oh what a relief it is! † (Advertizing Alka-Seltzer: â€Å"Fun without a hang-over! †); â€Å"The quicker picker-upper† (advertizing of chocolate Bounty: â€Å"Bounty. Paradise pleasure†). Or on the contrary, while translating a usual advertising slogan into Russian the translator uses a metaphor: â€Å"Mr.Clean will clean your whole house and everything thats in it† (â€Å"Mr. Proper all has washed also apartment has freshened†; â€Å"With Mr. Proper is more cheerful, houses purely twice faster! †); â€Å"If it’s gotta be clean, it’s gotta be Tide† (â€Å"Cleanliness – Tajd is pure! †). References: 1. ДÐ ¾Ã ±Ã'€Ð ¾Ã' Ã ºÃ »Ã ¾Ã ½Ã' Ã ºÃ °Ã' , Ð ¢. Г. Ð’Ð ¾Ã ¿Ã'€Ð ¾Ã' Ã'‹ Ð ¸Ã ·Ã'Æ'Ã'‡Ð µÃ ½Ã ¸Ã'  Ð ¼Ã µÃ ´Ã ¸Ã ° Ã'‚Ð µÃ ºÃ' Ã'‚Ð ¾Ã ². – ÐÅ". : ÐÅ"Ð ÃÅ¡Ã ¡ ПÃ'€Ð µÃ' Ã' . 2000. 2. Ð §Ã °Ã ³Ã °Ã ½, Ð . Г. Ð  Ã µÃ ºÃ »Ã °Ã ¼Ã ° Ð ² Ã' Ã ¾Ã'†Ð ¸Ã ¾Ã ºÃ'Æ'Ð »Ã'Å'Ã'‚Ã'Æ'Ã'€Ð ½Ã ¾Ã ¼ Ð ¿Ã'€Ð ¾Ã' Ã'‚Ã'€Ð °Ã ½Ã' Ã'‚Ð ²Ã µ: Ã'‚Ã'€Ð °Ã ´Ã ¸Ã'†Ð ¸Ã'  Ð ¸ Ã' Ã ¾Ã ²Ã'€Ð µÃ ¼Ã µÃ ½Ã ½Ã ¾Ã' Ã'‚Ã'Å' // ÐÅ"Ð °Ã'€Ð ºÃ µÃ'‚Ð ¸Ã ½Ã ³ Ð ² Ð  Ã ¾Ã' Ã' Ã ¸Ã ¸ Ð ¸ Ð ·Ã ° Ã'â‚ ¬Ã'Æ'Ð ±Ã µÃ ¶Ã ¾Ã ¼. 2000. â„â€" 2. 3. Dyer, G. Advertising as Communication. – London. 1995.

Thursday, November 14, 2019

Searching in Schools Essay examples -- Education Students Search Illeg

Searching in Schools The U.S. Supreme Court and state courts have very gently both bestowed and limited Fourth Amendment rights upon public school students in a series of cases over several decades. Recent cases may indicate that the delicate balance between student rights and school safety procedures is strongly leaning towards the rights of school authorities to actively isolate and reduce perceived causes of school violence. Starting in 1968 and culminating in 1984, the law of the land concerning the status of students compared to school authorities shifted to a more constitutional basis. Prior to that time, student rights in school were defined by the common law doctrine of in loco parentis, which for centuries posited that school officials were given the right, duty, and responsibility to act in the place of a parent. Their right to act included the power to search students for illegal items, or for items merely considered to be prohibited under state or local law or school district policies, withou t the warrant or probable cause conditions mandated for all other citizens under the Fourth Amendment. State laws, as upheld by their state courts, permitted such school action when, for example, student searches were deemed to be in the best educational interests of all the students. Any search based upon the much lower and non-constitutional standard of right problem was found to be in accord with the doctrine of in loco parentis; it was accepted by the courts as necessary and reasonable in light of public necessity to maintain school discipline and order and the longstanding social concept of the parental powers of school authorities. The searching of students produces a sense of security and safety in schools. Student ... ...ice-type school violence prevention strategies. Law-related education is a fresh approach to reducing the causes of school violence early and continually throughout a students education. It is a generic, interdisciplinary direction to education combining particular kinds of content related to rules, laws, and legal systems with active instruction, flexible to any grade level and intended to continue through all grade level. Its aim is strictly to instill non-aggressive social problem-solving abilities, while also helping students become good citizens. Its method is to integrate into all curricula illustrations of common, student-relevant issues in the context of legal rights and responsibilities. Bibliography: Brownfield, Currie, Margid, McKelvey, Norris, Wade. Rights & Privileges Opposing View Points Green haven Press Inc. San Diego, CA 1990

Monday, November 11, 2019

Scarlet Letter- Grey

Scarlet Letter Assignment Topic: Gray Part I- Cite six times in the book where your topic appears and analyze how those instances relate to the meaning of the work as a whole. 1. â€Å"A throng of bearded men, in sad-colored garments and gray† (33). The color gray adds to the atmosphere of the day, the day of judgment for Hester. The people of this Puritan town are close-minded and dull, all represented by the color grey. 2. She bore in her arms a child, a baby if some three months old, who winked and turned aside its little face from the two vivid light of day; because its existence, therefore, had brought it acquainted only with the gray twilight of dungeon, or other darksome apartment if the prison† (36) When in the dungeon Hester spoke to no one and would not admit to anything, because she concealed her secrets. The color gray connotes secrets and hiding. Once Hester and Pearl depart from the prison for the first time the gray of the dungeon disappears and the secret s can now be found out—this admission being a major plot in the novel.This is the moment when the secrets break free and begin to unfold. 3. â€Å"Standing on that miserable eminence, she saw again her native village, in Old England, and her paternal home: a decayed house of grey stone, with a poverty-stricken aspect, but retaining a half obliterated shield of arms over the portal, in token of antique gentility† (40). When leaving the jail, Hester gazed at her hometown. However, she was not filled with nostalgia or wistfulness. Rather, she looked out and saw her family’s poverty stricken house, though it was noticeable that it was once of high nobility.Those who were once elite and considered noble people are now in poverty and being trialed for murder. Grey connotes this transition. It is dull, boring, and is not red, blue, and purple, which are the colors that aristocrats wore at that time. When leaving the jail Hester realizes that everything has turned to gr ey—life will not be as luxurious and she will be repudiated by society because of her sins. 4. â€Å"The wide circumference of an elaborate ruff, beneath his grey beard, in the antiquated fashion of King James's reign, caused his head to look not a little like that of John the Baptist in a charger† (74)This description of Governor Bellingham is to show how he is esteemed and of high class in Puritan society. Puritans desire to live like their ancestors; no room for change at all. Governor Bellingham is illustrated in the novel and is compared to those living in King James’ time. To the Puritans this is positive, this dullness and inability to change their ways: it is the way of life. But to others, like Hester it is a negative aspect of the society. The color gray is therefore used in this context to highlight this. The Puritan society is gray, devoid of color and excitement.In today’s day, a black-and-white movie suggests that it is old and outdated. So too here, adding the fact that Governor Bellingham’s beard is gray is to elucidate Hester’s opinion that the society is and should be obsolete. 5. â€Å"An unwearied pall of cloud muffled the whole expanse of sky from zenith to horizon. If the same multitude which had stood as eye-witnesses while Hester Prynne sustained her punishment could now have been summoned forth, they would have discerned no face above the platform nor hardly the outline of a human shape, in the dark grey of the midnight† (101).The use of grey in this instance defines the mood Nathaniel Hawthorne is attempting to portray. Dimmesdale mounts the scaffold and screams out, confessing his sin. It is in the depths of the night and is dark, somber reflecting Dimmesdale’s desire of penitence for his sin. He wishes to be found out and for his guilt to be palliated. 6. â€Å"Mr. Dimmesdale throughout the long hereafter. But as he came down the pulpit steps, the grey-bearded sexton met him, holding up a black glove, which the minister recognized as his own† (108).The day after Dimmesdale’s profession of his sin in the midst of the night, the church sexton comes over to Dimmesdale and hands him his black glove that was found on the scaffold. The sexton decides that it was Satan’s doing and not that of Dimmesdale. Everything around Dimmesdale suddenly begins to turn gray. He sees everything as gray—full of sin and darkness void of life and purity. Part II- Explain how your topic sheds light on at least one character’s development in the novel Grey symbolizes many different ideas in the novel, The Scarlet Letter. However, a main theme of the color gray is that of darkness and the presence of sin.Throughout the novel, Dimmesdale’s status and health slowly deteriorate and the color gray helps track this decline. At first the society is looked at as gray, boring, and dull in the eyes of Hester. Dimmesdale was a prize pastor giving the best sermons. However, once Hester is reestablished in society, Dimmesdale’s guilt begins to take over. Especially after he and Hester talk about leaving the town by ship, his shame gets the best of him. He ascends the scaffold hoping someone will hear him confess his sins, but everyone thinks it is a witch. Everyone and everything around him appears gray, all reminding him of his sin.Dimmesdale even gives a sermon in which he reveals that he too has sinned, so as to alleviate some of his guilty conscience, but it makes the people like and revere him even more. At last he cannot take it and he mounts the scaffold, Hester and Pearl in hand, confessing his sins to all and dying there as Pearl kisses him. The guilt was too much for him and finally the pain is gone for Dimmesdale. Part III- Choose three biographical facts about Nathaniel Hawthorne and/or historical facts about the time period, and explain how the facts add to your understanding of the overall book 1.Nathaniel Ha wthorne’s ancestor, John Hathorne, originated in the Massachusetts Bay Colony and was a judge in the Salem witch trials. Hawthorne was fascinated by his kinship to John Hathorne and inspired several of his novels. This was a great inspiration for The Scarlet Letter, as witchcraft, sin, and Puritan society are all main themes of this novel. 2. Nathaniel’s father died when he was at an early age. This was therefore the inspiration for Hester being a single mother in the novel. He felt the same way that Pearl did and at the same time empathized with Hester because he watched his mother go through the same thing. . One important influence on The Scarlet Letter is money. Hawthorne never made much money as an author and the birth of his first daughter just added to the financial burden. He received a job at the Salem Custom House, but lost it three years later and was forced to return to writing to support his family. Consequently, The Scarlet Letter was published a year aft er being fired by his job in the Salem Custom House. At first, the work was only intended to be a long short story, but the extra money a novel would bring in was needed to support his growing family.

Saturday, November 9, 2019

Martha Graham Essay

Throughout history, Modern Dance has been pioneered by inspirational choreographers such as Isadora Duncan and Martha Graham. Martha Graham in particular, revolutionised the dance industry with her numerous choreographed works. By experimenting with foreign movements and establishing the fundamental technique in Modern Dance, Martha Graham clearly expressed this dramatic dance style as a new form of life. Her style, created from raw emotion, challenges the technical barriers of traditional ballet and has evolved into today’s contemporary dance form. Born into a privileged life in 1894 near Pittsburgh Pennsylvania, Graham was inspired from her father being a specialised physician interested in the way the human body moves. In 1915, she studied dance with Ted Shawn and Ruth St Denis, the innovative teachers at Denishawn. She then moved to the Greenwhich Village Follies for two years to establish her lengthy career. Living in a time of misconceived ideas, Martha Graham used her dancing genius to represent the many issues in American society in an abstract form. Martha Graham’s technique is classically based but tweaks the usual symmetrical body alignment with sharp, precise and angular shapes. Graham’s moves communicate through the dancer, her emotion and stance on American social issues. These moves are expressed through; contraction, release, spirals, flexed hands and feet, rolls, flexion and suspension, clenched fists, fall and recover, curl and twist. Her stimulus for creating movements was breathing and the way she could emotionally express how she felt about life. The contraction starts from the pelvis and travels up the spine. This curvature in the upper body is developed from an exhalation of breath. The release brings the body back to a neutral position with an inhalation of breath. All of the dancers in her company have an extremely strong core and maintain flexibility even though strength is the dominating component. To train the dancers, Graham would often perform classes with just floor work to strengthen the technical elements (contract, release and spiral) as well as learning control. Here the discipline of dance was drilled before allowing the freedom of performing. Graham was quoted, â€Å"Practice means to perform, over and over again in the face of all obstacles, some act of vision, of faith, of desire. Practice is a means of inviting the perfection desired. † Her experimental technique allowed her dramatic view on life to be performed through Modern Dance. One of Graham’s theatrical works Night Journey, displays her established technical elements of modern dance. Inspired by Sophocles’ Greek Tragedy, the dance begins with King Oedipus and his Queen Jacosta complementing each other in their arms. As the dynamics in the music develop, intruding onto the stage are six chorus members (Daughters of the Night) in a grieving state. Lunging forward in a contraction with their fists covering their eyes, they repeat this sequence around the stage recovering to a release in between each contraction. As the contraction is a Graham interpreted symbol of the human emotion grief, this has been consequently used multiple times throughout. Showing locomotion in unison as they clench their fists and flex their hands demonstrates this pleading state. These movements, contractions, releases, developpes, attitudes and shuffling of feet, depict the women as vulnerable to lustful desires. Graham was quoted, â€Å"The body is your instrument in dance, but your art is outside that creature, the body. † The expression of the upper body is sharp and angular with the reoccurring contraction and release. Non-locomotor movements are often in isolated poses of fear positioned around the males. At the time, women were often discriminated against not having the same power as men. Graham has used this theme to display the social inequality sending a message that men have been in control of women for centuries and that women need to break free. The males use dominating gestures throughout, with the blind-seer Tiresias, portraying power and purpose with the repetition of arabesque promenades and high levels. These foreign movements have expressed the themes in a dramatic way developed from her dance style. In this Greek themed performance, the women wore long black dresses with stripes down the side and crown-like head pieces. King Oedipus wears a simple black tunic revealing most of his body. Tiresias dresses in a black flowing coat, carries a wooden staff, and wears mask to show he is blind. Tiresias uses this wooden staff to indicate his wisdom and this symbolizes truth. The silk rope used to hang Queen Jacosta symbolises the connection to Oedipus from birth til death. The music is an extension to the dancers and enhances this performance dramatically. Wild, fierce and harsh would be a way to describe William Schumann’s dynamic instrumental score. The dancers reacted with the music emotionally as well as physically increasing the overall effect of the performance. This choreographic style has allowed modern dance to communicate life’s emotions through drama intertwining with physical movement and relationships. Martha Graham has created countless choreographic pieces that have revolutionised the traditional outlook on dance. The Martha Graham Company was established in 1926 and is still a leading company to date. She has pioneered the Modern Dance industry by creating the fundamental technique and applying it to her 181 choreographed performances. Martha Graham has created a dance style to express a new form of life which has changed the dance world forever.

Thursday, November 7, 2019

Chipko Movement Case Study Essay Example

Chipko Movement Case Study Essay Example Chipko Movement Case Study Essay Chipko Movement Case Study Essay Case Study on Chipko Movement The Chipko movement of the Uttarakhand region in the northwest part of India began as a communal reaction of local villagers to protect their forests from commercial deforestation practices. The term Chipko which literally means to embrace, was designated to these villagers who reacted by actually hugging the trees. It became so popular that the movement spread throughout all of India and different parts of Asia. Local women of the region are central to the movements success and continue to be its backbone. In fact over the decades, Chipko has been known for its ecofeminist strategies. This case study will examine the development of the envrionmental problems over the decades and study the social and cultural elements implicit in the communities of the Uttarkhand Himalyan region. From 1815 to 1949 Uttarakhand was divided into two kingdoms, Tehri Garhwal state and the colonial territory of Kumaun (Shiva, 7). The political structure of hill society in those two kingdoms was distinct from the rest of India in that along with the prescense of communal tradition, there as an absence of sharp class division (Shiva 14). The land was understood to belong to the community rather as a whole even though there was a caste system in place. The natural environment for the hill people consisted of a system of tillage and methods of crop rotation (Shiva 15). The production was directed towards subsistence in which the surplus was exported to Tibet and southwards to the plains. In fact, the communities living in the hill usually had six months of stock in grain with supplement of fish, fruit, vegetable, and animal meat (Shiva, 15). The hill district constituted over 60% of owner-cultivators and 80% of the total population farmed with the help of family labour. By the turn of the century, nine-tenths of the hill men cultivated with full-ownership rights . The absence of sharp inequalities in land ownership within body cultivating propietors who formed bulk populationwas basis for sense solidarity village community. Because those who owned worked community together to sustain their existence. men not only maintained household economy by collecting fooder fuel and food family they equally with husbands field cultivated reared cattle as well. The absence of intermediaries and class divisions within the villages is also due to the ecological characteristics of mountain society. look at page 30 for the way tradition played a role in the preservation of the environment and the way villagers worked with nature. The building of railway network that began the science forestry and social change of the community. Forestr y in Gharwal Forestry in Kumaun Early Resistence to the forestry techniques and rules. In the recent decades, the availability of natural resources to the rural communities of the Uttarakhand region as well as in other rural communities has eroded tremendously due to two linear, interrelated processes that have undermined the traditional institutional arrangement of resource use and management which existed in many of the areas: 1) the degradation of the forests both in quantity and quality and 2) the appropriation of land by state to preferred ndividuals and the privatization of land to timber or profit-seeking corporations. As a result there has been a shift away from community resource management and control which was proven to be more effective in ecological regeneration and deteriorating soil conditions, depleting water resources, and disappearing forests. Although there is no exact data as to the extent of the degeneration, there is enough that indicates the depletion of the resources as real and substantial, increasing at a rapid rate under the control of external hands.

Tuesday, November 5, 2019

14 April Fools Day Pranks for College

14 April Fools Day Pranks for College Not all of us have the time or the patience to completely tinfoil someone’s dorm room, or sticky note their care. We don’t all have flash mobs of friends to do something nuts for April Fool’s Day. In this post we’ve got 14 gags that just about anyone should be able to pull off and there’s no real budget to speak of. Especially not if two or three people are in on them. Check it out! 1. Get like 80 Poppers And†¦ Here’s what you do: tape them to their dorm room door from this inside (no scaling any sky scrapers for this). With 100 of these things the sound will be pretty big; the mess will be lovely; you’ll scare the #$@ out of them! 2. The Best April Fool’s for Computer Nerds..EVER! After browsing the ten billion ideas Google has to offer, this is definitely one of the coolest. You’re basically going to put your head in a jar and then put it in their fridge. Or, you could go with their best friend’s, or significant other’s head. All you need is a computer. 3. Does Their Major Require Typing? Hey, if someone you want to play a prank on does a bunch of typing this is a really good one: rearrange the letters of their keyboard. It’s harmless, easy to do without breaking the keyboard and yeah. Even if they are the fastest and loudest typer in school, it will boggle their mind. You could order the letters to say something perhaps? 4. This is Hardcore This can get ugly fast so you need some finesse. If you’ve got a girlfriend/boyfriend, have a stranger they don’t know hand them a hand written â€Å"I’m breaking up with you and dropping out† letter. It helps if the gangs in on it, but again, while this will definitely get a reaction it might backfire†¦ 5. Nail Polish + Soap This is an oldy but goody. You just coat their soap with clear nail polish and in the morning when they try to shower it won’t lather and they’ll be like, â€Å"Whu?† 6. Fill the Halls with Fruit Not on the ground silly, but hanging from clear cords or strings. At least everyone will get their fruits in for the day. You could go with bananas, apples, pears, strawberries, grapes, or even go big with grapefruits. 7. Mouse + Jello These days a regular computer mouse doesn’t cost but a few bucks. So, go ahead and put their mouse in the middle of a jello mold of your choosing. It should be said that jello is both cheap and amazing. You can get pretty crafty with jello and just about everyone loves the stuff. 8. Go Pop Star Just pick a pop star they would love to have plastered all over their stuff and go to town. Bieber is always a favorite. But, let your imagination run wild. 9. Pregnancy This only works on guys that have no clue it’s April Fool’s Day. You know, those guys who only know basically New Years, Spring Break and Christmas. If they have a girlfriend, oh yeah this will get them good. If they don’t and you know someone they’ve been frisky with in the past that’s willing to play along†¦even better. 10. Flash Mob Anyone? Okay fine, no prank or gag list is complete without the theater company involved. 11. The Out of Reach Alarm Clock Simply put: legendary. Grab their alarm clock while they’re sleeping, set it to go off an hour earlier in a hidden place that will drive them nuts. If it can be taped to the ceiling out of reach – perfect! 12. The Ultimate Stink Bomb? Everybody loved a stink bomb. So why not bomb an entire dorm? Why not bomb an entire building? I mean you can get boxes of these things in multiples colors, head into the stairwell and go floor by floor (two people on both sides for ideal coverage). So awesome! And, if you’re major is covert operations you should be able to stealth-mode this and no one will even know you just pulled a prank that will make the college paper! 13. Dixie Cups for Miles This is especially cool for anyone that’s a fan of beer pong. You can get hundreds of these things for cheap (make sure to recycle them afterwards), fill them only a little bit with water or whatever works, and then chill. You could fill an entire dorm room hallway. You could fill their dorm room. It’s funny. 14. A Bed Full of Cornflakes! Cornflakes. Cheap, loud, crunchy, delicious with milk and processed sugar. Why not a bed, car, dorm room, or closet full of them? Okay all you aspiring students out there, how do you do it? Share your tips for pranks in comments!

Saturday, November 2, 2019

The Future of the Music Industry Assignment Example | Topics and Well Written Essays - 750 words

The Future of the Music Industry - Assignment Example While the business spent numerous years opposing the rise of the internet as a supply and promotion technique for music, it was ultimately forced to identify it. The labels finally accredited music to iTunes and Apple (in addition to some other stores). It took them so long to make out that people needed DRM-free music; however, theyve lastly come around to identify that too. Anybody intrigue to predict the future of music sees different facets and factors. One of the main factors that can control music drifts are the musicians that create music (Hannan, 2001). The future music will probably be considerably diverse from the music we are at present used to. Artists disclose future drifts in this business since their individual tastes in addition to preferences are usually the main cause of most drifts that happen inside this industry. Customers inside this industry also portray drifts too though. Pakistani music with most recent leanings in the 21st century revitalized itself to be admired sound all through the world and region (Hannan, 2001). Through assessing the individual likes as well as dislikes of artists as they make their music and the fragile preferences of customers as they get their music, we can widen a moderately clear picture of what the viewpoint of the business will be. The only technique we can exactly predict the prospect of this industry is by joining deliberation of both customers and artists (Lankford, 2013). By assessing the predilections of both patrons, as well as artists, we can get an unambiguous picture of how the two noteworthy variables will influence future drifts. Modern musicians are focusing on scientifically sophisticated musical tools to produce their art, and the public is at present focusing on more scientifically sophisticated tools to access their music. By simply assessing the tendencies that musicians are taking, we can effortlessly