Wednesday, July 31, 2019

My Life had stood †a Loaded Gun Essay

Emily Dickinson’s â€Å"My Life had stood – a Loaded Gun† is a powerful poem that takes into account various thematic expressions. Its comprehensiveness in brevity is another essential feature of this poem. It symbolizes power and unconventional feminist urges on the art of the poetess. In this poem, Emily Dickinson finds an instrument adequate enough to render her need for fulfillment through absolute commitment to love’s service. The poem begins with a brilliant conceit. Fused from the ambiguous abstraction of life and the explicit concretion of loaded gun, it expresses the charged potential of the human being who remains dormant until â€Å"identified† into a conscious vitality. And after hat identification, we observe the start of a new poem i. e. the start of a new life. Historically, it was written in age when American society was torn with civil war. The symbol that Emily Dickenson has used is an essence of an experience. It is quite obvious that a universal insight that the poet tries to express in not obtained merely by imaginative wandering, it is based on concrete experiences. Emily Dickinson presents the same insight into the historical experiences of her time. The very first stanza symbolizes the paradox of finding oneself through losing oneself. It is rendered in the poem by one word: identity is claimed when someone claimed the gun as her own. The American civil war was also the process of finding ones own identity by losing ones own identity. The internal rivalries and petty identities were to be removed to achieve a national reconciliation. This national reconciliation ultimately brought the national identity. Although this process was on halt and stayed â€Å"in corners† for many decades till a day came. Now they â€Å"roam in Sovereign Woods†. So Emily Dickinson has epitomized a national experience. Now this â€Å"gun† is â€Å"foe of His – I’m deadly foe†. â€Å"His can be described in various connotations. â€Å"His† is emblem of nation state that is fully sovereign. â€Å"His† is an integrated society or the one who longs to be integrated after the pathos and miseries of Civil war. Poetess further emphasize that â€Å"None stir the second time -/ whom I lay a Yellow Eye -/ an emphatic Thumb†. All these gestures are for those who are internal or external antagonists to the new national experience. This poem has also captivated the feminist attention who has given it a new evaluative dimension. Some critics are of the view that thorough this poem, Emily has tried to present a woman that she was not primarily in the second half of the 19th century whereas other feminist critics holds the view that poem totally negates the feminine qualities and the main metaphor considers â€Å"everything [that]†woman† is not: cruel not pleasant, hard not soft, emphatic not weak, one who kills not one who nurtures. † (Bennet, 1986) But Emily Dickinson has provided a framework of power i. e. feminine power and established certain pattern on which women power can grow and has shown certain direction where women power can direct itself. It must be kept in mind that all the action verbs in the poem are not destructive or of insidious nature. It expresses powers to â€Å"hunt† â€Å"speak† â€Å"smile† â€Å"guard† and â€Å"kill†. So this power has paradoxical nature and a balance mix of these powers is necessary as shown and done by Emily Dickinson. Furthermore, Miss Dickinson does show a longing for deadliness but in actuality it is only for safeguarding. Wrath is a part of her being but she does not let it go if not invoked or incited. So her aggression and anger and the consequences as a result of it (killing and deaths) are not unwomanly but are an extension of her very personality. These feelings are not uncommon but are surely unpredictable. In the second half of the poem, she is only providing guard to one who has helped her to get rid of her alienation and had blessed her with intimacy. Here Emily Dickinson seems conventional in her feminist approach that a woman can do everything unwomanly for the one who is her companion in true sense of the word. Christine Miller (1987) says in this regard that â€Å"In the second instance, the speaker prefers guarding the master to having shared his pillow, that is, to having shared intimacy with him–primarily sexual, one would guess from the general structure of the poem. † On the other hand, this poem expresses the agonies of a female poet that was restricted by her family and society to a narrow life devoid of any intellectual and/or literary independence. These social and familial compulsion produced rashness in Emily’s attitude. She was forced to produce art in seclusion and to it keep to herself only. So language becomes her only mean and tool to bear the torments of her intellectual beings. She embodies language as gun and is of the view that this loaded gun accompanied with her literary beings is fatal for socio-cultural compulsion against women. It provided her a sense of power and control. She further eulogizes language and considers it a safeguard to her literary being. And her language is enemy to al those traditions, norms, people and things who are against her poetical endeavors. This poem can further illustrate the conflicts between two classes with their interest. Although this conflict is not materialistic or monetary but it exists in the socio-cultural domain. One class adheres to the conventions and does not allow female members to express their view on any issue especially in the form of poetry whereas other lass are comprised of the intellectual beings who consider it their right to create and disseminate their thoughts and ideas in the literary form. This poem symbolizes the struggle of the latter class and demonstrates that they are more powerful than the convention-ridden society. The poem starts with an individual quest for his/her identity but it changed into a capitalized â€Å"We†. Now the concern of the poetess is no more individualistic and sentimental, rather it has been transformed into something collective, societal and concrete. The identities have been mingled up with each other. Both owner and the â€Å"owned† perform the same masculine activities. They are no more individual but become a part of the larger whole i. e. society. Overall the poem captures a variety of themes through various thematic expressions. Although the conclusion is disturbing but it has relevance to the thematic expressions as it tries to resolve the problem initiated in the first half. Powerlessness or even fear of that is death to the poetess has no other option but â€Å"to die† without powerlessness. Last stanza is not a moralistic commentary but is identification of a wider truth. Bennett, Paula. My Life a Loaded Gun: Dickinson, Plath, Rich, and Female Creativity. Boston: Beacon Press. 1986. Gilbert, Sandra M & Gubar, Susan. The madwoman in the attic: the woman writer and the nineteenth-century literary imagination. New Haven: Yale University Press. 1979. Miller, Christanne. Emily Dickinson, a poet’s grammar. Cambridge, Mass. : Harvard University Press. 1987. Smith, Martha Nell & Loeffelholz, Mary. A companion to Emily Dickinson. Malden, MA: Blackwell Pubishers. 2008.

Tuesday, July 30, 2019

Developmental Psychology and Expressive Arts Essay

An explanation of each of the areas of learning and development and how these are interdependent. There are 7 areas of development in the learning and development for children as described in development matters in the early years foundation stage 2012 DFE Cheshire. There are 3 prime areas of development and 4 specific areas of development. The prime areas area personal, social and emotional development, physical development and communication and language development. The specific areas are literacy, mathematics, understanding the world and expressive arts and design. Personal, social and emotional development: The areas of personal, social and emotional development is about how a child makes relationships, has self-confidence and self-awareness and manages behaviour. For example, a child of 26 months will demonstrate to their parents that they can be independent and they could show this by saying ‘no’ if they don’t want to do anything. Physical development: Physical development is about how children can move around and handle things by themselves and health and self-care. For example, a child who is 10 months will pull themselves up to help them stand and they will hold onto someone they know or a piece of furniture for support. Communication and language: Communication and language is about how a child can listen and pay attention, to understand others and be able to speak. For example, a child who is 5 months will make their own sounds in response when someone who is familiar is talking to them. Literacy: Literacy is about a child who is learning to read and learning to write. For example, a child who is 16 months will be interested in books and rhymes and could also have a favourite. Also the could draw/write with their finger in the sand. Mathematics: Mathematics is about children learning about numbers, shapes, space and measures. For example, a child who is 40 months could be able to separate a group of 3 or 4 objects indifferent ways, and begins to recognise that the total is still the same. Understanding the world: Understanding the world is about how children see people and communities, how they see the world and technology. For example, a child who is 30 months could ask a question or comment on the aspects of the world, such as where they live or where a different family member lives. They might ask why they live in different places then them. Expressive arts and design: Expressive arts and design is about exploring and using media and materials, and being imaginative. For example, a child who is 60 months will be able to understand different media and combine them to make a new effect. These 7 areas of learning and development are all interdependent. An activity that shows this is playing play dough and basing this activity on the book postman pat. Personal, social and emotional links into this activity because they are all talking to you and each other about what they are doing with the play dough. This is interdependent with communication and language because they are speaking to each other while they are doing the activity. Communication and language is interdependent with physical because when they are making play dough people to do with postman pat they are using their fine motor skills to hold the cutter and rollers properly. Physical is interdependent with maths because when the children make the people, they can count how many people of objects they have made. Also they can be making different shapes which will help them learn. Maths is interdependent with literacy because they could make their names out of the play dough with the cutters and there could be some alphabetical letters they can also use. Literacy is interdependent with understanding the world because they will be using their senses and their knowledge to understand the book and be able to complete the play dough. Understanding the world is interdependent with expressive arts and design because using play dough is a type of media so they will gain skills. This is also helping the children learn more effectively and to be more creative. Early learning goals: Each aspect of the areas of learning and development have early learning goals. Most children will achieve most of these by 60 months. The outcomes have been reduced in the EYFS 2012. ‘Children play co-operatively, taking turns with others. They take account of one another’s ideas about how to organise their activity. They show sensitivity to others needs and feelings; and form positive relationships with adults and other children. This is from the personal, social and emotional: making relationships ELG 40-60+ months. For example, if a child was playing with lots of toys and another child was sitting alone with nothing to do, the child would share their toys with them so they become happy. This will help for them to build a relationship and become better friends.

Monday, July 29, 2019

Artificial Intelligence And The Legal Profession

Artificial Intelligence And The Legal Profession Technologies that may be able to automate typical legal duties, such as performing case research or creating standard contracts, have existed now for quite some time but have not been fully integrated into practice as of yet. However, in roughly the last decade, pressure on lawyers and law firms to reduce fees has increased and this has led to a more favorable attitude toward legal technologies in a push to increase efficiency throughout the profession. Second, pressure to improve access to justice by reducing both financial and structural barriers affecting disadvantaged groups has led to the development of several online or otherwise accessible legal technologies. Third, as the capabilities of computers grow to include higher-level processes, the possibilities for their integration into the legal field grow too. While previous legal technologies threatened to replace mostly clerical work, artificial intelligence may threaten to replace lawyers themselves. To gain a comprehensive un derstanding of this topic, it is necessary to explore the current state of artificial intelligence in the legal profession, how it impacts the demand for lawyer labor, and how the profession’s regulatory structures relate to the trajectory of legal technology. The term â€Å"artificial intelligence† describes how computers can perform tasks that might generally be thought to require some level of human intelligence. These tasks can range from flagging outliers in a set of data to transcribing an audio tape and everything in between. Fundamentally, computers operate based on sets of defined rules. Any task to be performed by computers must be able to be articulated as a set of basic rules to be followed. Deductive rules are those laid out in a step-by-step process that is followed by the computer until the task is completed. An example of this as applied to automated legal work is the use of automated document assembly, such as the creation of a template for a will or other standard legal document. In a matter of seconds, a document assembly application can pull relevant information about a client and use this to create a personalized document. Similarly, a computer could provide a list of cases from a particular court citing a parti cular statute. In addition to such tasks whose processes can be modeled explicitly, some other tasks can be accomplished with the use of data-driven rules. The relationship between a set of input variables and the resulting outputs can be estimated by a process called â€Å"supervised machine learning†, so called because the estimation is bounded by the set of training data. For example, a team of researchers was able to develop a model to predict the behavior of the Supreme Court, based only on data from past decisions. They were able to achieve 70.2% prediction accuracy at the case outcome level and 71.9% prediction accuracy at the justice vote level. While these predictions cannot be expressed based on a combination of deductive rules as in previous examples, with enough input data a relatively consistent pattern can be recognized. Similarly, software for automated document review has been developed and proven successful at determining relevancy of documents based on the i nput of a â€Å"seed set† of documents designated relevant or not. As well as being able to potentially replace or improve the efficiency of routine legal tasks, predictive algorithms like these have possible applications to the legal field as a whole. For example, results of a race-neutral sentencing predictor algorithm could be compared to actual sentences to determine the influence of human bias in such processes. Overall, the success of data-driven algorithms is significant primarily in that it highlights the routineness of some tasks that would otherwise be viewed as more sophisticated and complex. The adoption of technology into the legal workplace will be influenced by the market in addition to the quality and capabilities of available technologies. Historically, the demand for technology in law firms has been low for several reasons. The billable hour system economically encouraged inefficiency, while the typical partnership structure meant the funds for new technologies would come directly out of the pockets of partners, unlike a traditional corporation structure in which the money would come from shareholders. To the first point, in recent years there has been a notable shift in supply of lawyers relative to demand for lawyer labor. This leads to increasing pressure to improve efficiency and reduce cost to clients. Additionally, a rise in the share of legal work performed by a company’s house legal department compared to that performed by outside law firms allows these technologies to be purchased with corporation funds, which is more favorable. In addition to the g rowing demand for legal technologies, the capabilities of such technologies are expanding rapidly as well. The theory of disruptive innovation explains how this will also contribute to the growing prevalence of legal technology. When the only legal tasks that could be automated were clerical and other low-level services, law firms were willing to buy into such software to improve efficiency and better serve their clients. However, developers have since been able to expand their technologies to handle more complex tasks, and firms now are practically required to adopt them as client pressures grow. This phenomenon, in addition to the growing market interest, will lead to rapid adoption of technology into the legal realm. As the use of technology in the legal profession grows, the impact of artificial intelligence on the demand for lawyer labor in some areas has been or will be relatively significant, while in others is unlikely to pose a significant threat. The distinction between tasks that can easily be automated versus those that cannot is in the extent to which their underlying structures can be defined. For example, while document drafting can be successfully automated as discussed above, more complex legal writing characterizing the state of the law or its application to particular factual circumstances presents a much more challenging situation. The conceptual creativity and flexibility demanded by this type of writing cannot be defined by either deductive or data-driven rules. Another example is the distinction between document review during discovery and document review during due diligence. While the former can be automated with the use of explicit rules, the latter requires critical judgme nts that a computer cannot make. A trained lawyer can note, for example, any unexpected information or violations of appropriate rules that a computer would not be able to recognize without being explicitly primed to look for such things. Some advanced applications of artificial intelligence to the legal profession have found ways to extend its reach despite these limitations. For example, IBM’s Debater System is able to analyze documents and other materials annotated first by humans. While this is clearly less efficient than purely automated processes since it requires time put in by an associate, it alleviates some of the major issues with automated lawyering; any glaring contradictions or relevant subtleties can be highlighted before the materials are analyzed by the software. Another way by which artificial intelligence can be employed to perform tasks that a lawyer is qualified to do is through online systems to resolve minor disputes ranging from parking violations to e -commerce complaints. These technologies aid lawyers in negotiating by analyzing overlap between stated preferences of the two parties and can typically reach a mutual solution without the involvement of a lawyer at all. While such systems may thus be able to replace lawyers and even judges entirely, they will likely have little impact on the overall demand for lawyer labor since it would likely not be feasible economically or otherwise to hire an attorney and litigate. In this way, the full automation of legal services comes at no cost to lawyer labor. In fact, a study that categorized legal tasks by the impact of automation on employment found that only around 4% of lawyers’ time was billed to tasks most acutely threatened by artificial intelligence. In summary, while even moderately complex legal tasks have been successfully automated, the legal profession is unlikely to find itself obsolete within a decade as some headlines predict. As new technologies continue to develop and make their way into the practice of law, there emerges a need for a better way to protect the integrity of the legal system while ensuring consumer protection and access to quality services for all members of the population. With regard to consumer protection, computers offer the advantage of eliminating human error and standardizing services in some cases, but certainly not all. For example, online services cannot effectively analyze highly complex scenarios, but instead of returning an error message often return products completed in a way that places the client liable. While consumer protection concerns are not necessarily graver with automated legal services, they deserve at least the same attention afforded to legal services provided by human lawyers. Current professionalism guidelines limit the performance of legal services to those trained and licensed to practice law, and the stated reason for this is â€Å"to protect the public fr om the consequences of receiving legal services from unqualified persons†. These regulations are then enforced through disciplinary sanctions imposed by bar committees. However, these guidelines have several weaknesses when it comes to the regulation of new technologies in the legal field. They fail to specifically outline what tasks require the expertise of a licensed practitioner, which makes them unhelpful in governing what tasks may be left to automated providers. Next, even though computers may not be skilled enough to perform some tasks normally handled by lawyers, they may be competent enough to assist trained professionals, something not addressed by the guidelines. Finally, there has never been a sophisticated investigation into exactly what tasks computers can perform at the same level lawyers can. Although the quality of legal services provided by automated programs may be lower than that provided by a trained and experienced lawyer, the low prices associated with t hese types of services justify their employment in certain instances. For example, someone who needs a simple will written has little need for a full-service lawyer. However, the consequences of trading low quality for low cost are magnified in more complex high-stakes issues like custody disputes or messy divorce negotiations. The â€Å"access to justice† problem discussed briefly above is a key aspect of the legal profession and should not be redefined as â€Å"access to some form of legal services whether quality or not†. While the introduction of low-cost automated services does increase accessibility to low-income persons, the result could be a two-tiered system that does not equally serve justice to the disadvantaged. For these reasons, it is important that the use of technology in the legal profession is regulated in the future to prevent it from being driven forward on the basis of outcome alone. When it comes to the recent discussion surrounding technology in the legal profession, there are two major sides taken. Some argue that incorporating more technology into the field will reduce costs to client with little expense in terms of quality and oppose strict regulations while others argue that there is no equal alternative to the work of a trained professional. This paper has shown the principles of artificial intelligence that govern which tasks can be automated successfully and discussed the impacts of such automation on the legal profession. While the media forecasts an end to the legal profession, in reality only a small portion of legal tasks are affected and the overall effect on the demand for lawyer labor is moderate at best. With that said, current regulations are insufficient at providing a consistent framework to guide the incorporation of artificial intelligence and other emerging technologies into the field, and the careful creation of such regulations will prove necessary as automated legal services develop further.

Cyberspace Communication Essay Example | Topics and Well Written Essays - 500 words

Cyberspace Communication - Essay Example These metaphors acquire meaning because we are able to connect and associate even disparate things. For example we can say: 'he was turned off by the behaviour of his boss.' The title of George Orwell's famous book Down and Out in Paris is another good example of an orientational metaphor. We do not have words to describe everything. The first ray of the sun does not have a word and the first kiss of the lover is still just a kiss. These lapses of language create dents in the perception of reality. Personifying metaphors are used to lend spectacle as well as intensity to an act of communication. Abstract entities can be conceived metaphorically in terms of human life and expressed as capable of living and growing. 'Life' of a government, lifeblood, 'economic' growth are good examples. When one says that qualities reside in someone or something lives in memory, the human tendency to equate the inequitable is brought to the fore. When someone gives me the ghost of a smile, I am compelled to marvel at how the brain googles and establishes links. The word 'etheral' could be a good substitute since it combines 'ether' and 'all'. It is relevant because it makes one remember the aspect of the Universe - that vast domain which we all inhabit and our email address is a strong reminder of where we actually belong. After all, where is this gmail.com John Seely Brown

Sunday, July 28, 2019

Belonging Essay Example | Topics and Well Written Essays - 500 words

Belonging - Essay Example This is the village where our family settled. My reformed life after prison was set to be part of this changed village. â€Å"Man must live!† my friend, who belonged here, encouraged as he tried to prepare for something to eat in the ill-fated structure where we had found shelter. He became my companion that despite the hustles of what life had brought forward; a light at the end of this seeming endless tunnel was eminent. My thoughts were stuck on the newness of what the village presented to me. The village aliveness that used to dominate at night during those old days was no more. People used to dance every night but that was now a thing of the past. As the bubbling of the cooking intensified, leaning on the beam, which was the main support of the structure, some tap! tap! tap!(onomatopoeia) sound could be heard from a distance. Thought started flowing in my mind. The steps though firm, could not afford to miss they were for a woman. But what would a woman be doing outside at such a late night hour? May be a witch? (Rhetoric question) Farming is the primary activity of this community that is still done using the old hoe techniques. Hunting is practiced here but due to its manual involvement, it is only a men’s affair that are masculine enough to handle the harshness of the jungle. It is not the culture of people who belonged here to have women walk at night unless something is extraordinary. Women stay indoors at night and men attend to emergencies but life in this village seemed to have decided to follow its own thoughts (metaphor). As my friend served the food he had prepared for our supper, he kept narrating the events of what the village had become of. The stars that were visible through the wrecked roof of this house seemed to node on everything this friend of mine was telling me. The food had not changed as it reminded me of my mother’s delicacies that bound us together as a family.

Saturday, July 27, 2019

My fascination with the law profession Essay Example | Topics and Well Written Essays - 750 words

My fascination with the law profession - Essay Example Since childhood I have had a habit of asking for reasons and logic for almost everything in life. My weekly trips to my grandmother’s house demanded reasons from my parents, my occasional trips to the shelter of the homeless demanded logic and the list goes on. As I grew up, I developed a personal sense of reasoning and logic to find the purpose behind the happenings in the environment. This reasoning developed a sense of judgment for right and wrong. It has been experienced that age provides one with the confidence and courage to stand up for one’s principles and reasons in life. I have witnessed the same in my life. As I grew older, the logic demanding nature earned me the voice to protest against any wrong actions in the society. The passion for a structured and lawful society urges one to protect the rights of others as well as one’s own. One of such instances took place in my neighborhood when the local municipal community showed negligence on an important m atter. The local municipal community planted a garbage disposal point adjacent to the premises of a children park. The foul smell of the garbage surrounded the park and made the park loose the charm of the purity of the air. It would not have been a big problem if the garbage got cleared from the point every day; there were some days when the garbage was not cleared for two consecutive days. This even created a threat for the health and welfare of the community as some diseases might have initiated from the dump.

Friday, July 26, 2019

Human Growth and Development Essay Example | Topics and Well Written Essays - 1500 words

Human Growth and Development - Essay Example In addition, the summary describes the development of the infant’s senses, trends of sleep, weight, and height increase patterns. The summary to chapter six highlights the development of cognition in infants and factors that affect the infant’s cognitive processes. In addition, under cognitive development, the paper describes the development of language. Finally, the paper summarizes chapter seven of the book that deals with psychosocial development. Under this section, a description of infant emotions is available. Development Processes in Infants In her book The Developing Person through the Lifespan, Berger describes the main changes that take place in an individual’s life, especially during infancy. Each of the chapters in the book reveals the growth processes in different aspects. This paper will highlight the man ideas brought out in chapters 5, 6, and 7. These chapters discuss the different levels of growth that occur in infants in the first two years of t heir life. Infant is a Latin-derived word that refers to any child who does not speak. During infancy, multiple growth processes take place rapidly. Chapter 5 of the book describes the biosocial development of infants. At birth, babies are only 3 kilograms and 20 inches. In the first five months of the baby’s life, the weight doubles. ... As long as the infant receives sufficient nutrition, the body and brain keep growing. Percentile ranks used by clinicians help track the baby’s growth in comparison to the norm (Berger, 2011). Sleep is a crucial aspect of infants with newborns requiring about seventeen hours a day. As they grow, they take up family sleep patterns. A great percentage of infants at one year manage to sleep the entire night. Factors such as diet, birth order, brain maturation, and child rearing practices affect sleeping cycles. On the other hand, infant’s brain reaches 75% of its potential mature weight. Neuron development takes place vigorously in some parts of the brain especially those dealing with vision, smell, language, and emotional processing. Different parts of the cortex advance in growth taking up different responsibilities. Studies reveal that multiple neural dendrites emerge in infancy. In addition, pruning helps the brain function faster. The rate at which the brain develops depends on experiences surrounding the infant (Berger, 2011). Formation of new neurons implies healthy growth. Abuse and neglect slow the formation of neurons and may hinder brain development. The chapter also highlights the functioning of senses in infants. The five senses (vision, taste, touch, hearing, and smell) exhibit function since birth. However, hearing is the sharpest sense at birth while a binocular capability of the eyes in infants is achieved in 14 weeks. With time, infants acquire motor skills. The chapter highlights the cephalocaudal and proximal-distal nature of growth. Growth begins with the head downwards and extends from the torso’s center to the arms and legs. An infant’s motor skills develop slowly with muscle movements advancing from one to the other.

Thursday, July 25, 2019

Latest effort at transparency just muddies water by Carolyn Pugsley Research Paper

Latest effort at transparency just muddies water by Carolyn Pugsley and Alexandra Module - Research Paper Example The article is written by Carolyn Pugsley and Alexandra Module. The main objective of the article is to state the reforms which are adopted by the federal government of Australia in order to disclose the remunerations of seniors executives of companies. This reform has been adopted by the Australian government with the intention of facilitating better transparency for shareholders with respect to the remuneration structures of senior executives. Moreover, this reform will facilitate management of companies with minimum regulatory pressure (Pugsley & Module, 2012). Accounting Theory (Part B) The appropriate theory for this article will be ‘Legitimacy Theory’. This theory states that the remuneration policy of an organisation is conducted in a legitimated manner in accordance with it the board of directors (BOD) of the organisation is required to justify that the remuneration policy adopted by them are according to the company law and Accounting Standards of Australia. Mor eover, the remuneration of BOD of organisations should be justified to the shareholders as well as society. The remuneration policy of senior executives is required to be revealed in order to ascertain that remunerations are provided in keeping with best practices under the code of corporate governance (AFAANZ, 2010). Analysis (Part C) The legitimacy theory signifies that the remuneration policy adopted by companies is in adherence with rules as well as regulations of the government. This theory also states that the financial and annual reports which are prepared by companies are in accordance with accounting standards and company law. In this similar context, the article depicts that the remuneration policy of senior executives will aid in determining that the remunerations as well as rewards which are acquired by senior executives are according to accounting standards. The theory signifies that the remuneration of senior executives should be revealed in an appropriate manner in an nual reports with the motive of depicting the performance of companies to stakeholders. Moreover, the theory assists in minimising pressure on the management as the audit committee is familiar with the regulations of remuneration policy. The article depicts that the amount of remuneration of the senior executives should be revealed in the financial statements or annual reports of companies which will signify the performance of companies among stakeholders and market segments. Companies are required to adopt appropriate remuneration policies which will be legally enacted. The article also reveals that the remunerations of the senior executive should be disclosed in order to ascertain transparency towards shareholders. Moreover, the disclosure of the remuneration policy will assist companies in better regulatory operations (Crombie, 2010). It has been observed from the article that the government of Australia has formulated policy with regard to the disclosure of remunerations of seni or executive. The policy devised by the government is perceived to be complex for auditors as the remuneration report will comprise three segments which include ‘past pay’, ‘present pay’ as well as ‘future pay’. Furthermore, annual reports of companies with excess or decreased incentives and remunerations will portray ineffective performance of companies. Companies should adopt an effective policy of representing remuneration of senior executive which can be linked with the companies’

Wednesday, July 24, 2019

Consider a perfectly competitive market in long-run equilibrium where Essay

Consider a perfectly competitive market in long-run equilibrium where all firms operate under the same cost conditions. Suppose - Essay Example (70 marks) Market is a place where buyers and sellers meet each other for fulfilling needs and generating profits. The form of market is of great importance in business and economics as it is responsible for defining its overall characteristics including the numbers and categories of suppliers, the variable or identical nature of the products offered by different firms operating in the same or different industries, is the market exhaustive enough or it allows the entry of some new competitor and most importantly the nature of the competition; is it a perfect competition or not? The major decisions of different firms revolve around these basic features which lead to the analysis of offering price and the number of inventory to be produced (McEachern, 2011). As far as perfectly competitive market is concerned then it has the following features: There is relatively quite a small number of sellers and buyers as compared to the needs of the customers and the overall market size. In this s ituation one firm has a very low effect over the market price and trends. As a result not a single firm can practice complete control over the cost and price ratios. The perfectly competitive market deals in identical products i.e. all the firms in the market sale the same product with minor or negligible variations. The customer choices are therefore independent of the quality of the product and other characteristics of the products excluding the price factor. The market forces such as demand and supply work freely to decide the equilibrium price and equilibrium quantity, in addition to this the government policies affect the price and quantity ratios through taxes and subsidiaries. There is a free entry for all the firms in the market. They can leave or enter the market in any geographical location without facing any obstacles in their way. They can also apply whatever factors of production they want to with whatever variations and manipulations. The market offers complete and com prehendible information about the products and services. Therefore the firms are aware of the quality and characteristics of their products which leads them towards better performance. It is an ideal market to work in as it ensures the profits and flexibility of operations. In addition to free will related to entrance and exit hence giving numerous advantages to the consumers and sellers both (Dodd & Hasek, 1952). Now let’s consider the example of Rice market where the competition is perfect in nature. All the firms operating in this particular market are having the same costing conditions which are expected to remain at the equilibrium stage in the long run as well. The Automation Technology has become available to few of the firms in the market. This technology is pretty much useful for the production and packaging purposes as it lowers the marginal cost per unit and therefore contributes in increasing the profit margin of the seller without the need of increasing the price of the commodity rather decreasing the cost of the product. The usage of the Automation Technology will have some short run and long run effects over the rice market whereas the factor prices and the demand of the product remain same. This will disturb the equilibrium state of the perfect competition. Application of some new technology is always beneficial for both the industry and the individual firms operating in the market as it is more effective and efficient than the previous

Tuesday, July 23, 2019

World Religions From A Healthcare Perspective Essay

World Religions From A Healthcare Perspective - Essay Example In fact, proceeding from the information included in this chapter, it may even be claimed that there is no such thing as a unified American Indian religion whatsoever. This is supported both by the incredible diversity of tribal groups and nations among American Indians and Alaska Natives, and, on the other hand, by the absence of the organized religion (in the Western sense at least) among many of these peoples. The painful history of relations between the US Government and various Indian tribes had its brunt on the state of the healthcare provision to the American Indians, among other things. While the Indian Health Service (IHS) was established in 1955 to provide primary and comprehensive health care to the American Indians, many of the latter reside in metropolitan areas which lie outside the field of the HIS competence. This complicates the situation with regard to health care provision and creates significant discrepancies in respect of the interrelations between the IHS and co nventional healthcare providers, on the one hand, and the traditional tribal elders, on the other. When speaking on the subject of the specificity of American Indian religious traditions, it is necessary to observe that the practitioners of American Indian beliefs have a significantly different concept of the world than those of theistic religions. Unlike linear concepts of the proceedings of the world inherent in the latter, the American Indian belief traditions assume the circular development of the world, which is aimed at perceiving the world as a harmonious whole. Subsequently, the centre of this whole is construed as a state of peace and balance, including peace of mind, which informs the general understanding of the world in Indian religious traditions. Therefore the idea of healthcare provision in American Indian tradition is directly intertwined with the notion that the surrounding world is infused with spiritual energy that may be embodied in particular healing substances such as some herbs. In practical dimension, this means that the concept of healthcare in American Indian worldview is directly connected with the idea of healing by nature’s aid and that of connection between the spiritual and physical health of the patient. Therefore the taking into account of such complexities is absolutely necessary when dealing with American Indian patients. 3. Hinduism The essence of Hinduism as a set of religious practice lies not so much in the regulation of the practitioners’ beliefs than in the regulation of the latter’s behavior. In reality, Hinduism can scarcely be characterized as a unified religion arising out of the certain consensus, as the majority of its practitioners belong to different sects and sub-cultures. Nevertheless, there are some common tenets that bring different strands of the Hindu religion together. On the one hand, Hinduism is characterized by its reliance on the preceding, Vedic tradition that emphasizes the impo rtance of ritualistic devotion to the gods, the maintenance of the devotee’s duties before the social structure and the world in general, the existence of the complex cycle of life and death, where the souls of the

Employee Performance Essay Example for Free

Employee Performance Essay The methods presented here are designed to develop elements and standards that measure employee and work unit accomplishments rather than to develop  other measures that are often used in appraising performance, such as measuring behaviors or competencies. Although this handbook includes a discussion of the importance of balancing measures, the main focus presented here is to measure accomplishments. Consequently, much of the information presented in the first five steps of this eightstep process applies when supervisors and employees want to measure results. However, the material presented in Steps 6 through 8 about developing standards, monitoring performance, and checking the performance plan apply to all measurement approaches. A HANDBOOK FOR MEASURING EMPLOYEE PERFORMANCE foreword The handbook has four chapters and three appendices: ⠝™ CHAPTER 1 gives the background and context of performance management that you will need to understand before beginning the eight-step process. ⠝™ CHAPTER 2 defines accomplishments, which is key to using this handbook successfully. ⠝™ CHAPTER 3 includes a detailed description of the eight-step process for developing employee performance plans that are aligned with and support organizational goals. ⠝™ CHAPTER 4 provides study tools, including a followup quiz and a quick reference for the eight-step process. ⠝™ THE APPENDICES contain example standards that were written specifically for appraisal programs that appraise performance on elements at five, three, and two levels. After reading the instructional material, studying the examples, and completing the exercises in this book, you should be able to: ⠝™ DEVELOP a performance plan that aligns individual performance with organizational goals  Ã¢ â„¢ USE a variety of methods to determine work unit and individual  accomplishments ⠝™ DETERMINE the difference between activities and accomplishments ⠝™ EXPLAIN regulatory requirements for employee performance plans P E R F O R M A N C E M A N A G E M E N T: B A C K G R O U N D A N D C O N T E X T emember the story about the naive student in his first English literature course who was worried because he didn’t know what prose was? When he found out that prose was ordinary speech, he exclaimed, â€Å"Wow! I’ve been speaking prose all my life!† Managing performance well is like speaking prose. Many managers have been â€Å"speaking† and practicing effective performance management naturally all their supervisory lives, but don’t know it! Some people mistakenly assume that performance management is concerned only with following regulatory requirements to appraise and rate performance. Actually, assigning ratings of record is only one part of the overall process (and perhaps the least important part). Performance management is the systematic process of: ⠝™ planning work and setting expectations ⠝™ continually monitoring performance ⠝™ developing the capacity to perform ⠝™ periodically rating performance in a summary fashion ⠝™ rewarding good performance The revisions made in 1995 to the governmentwide performance appraisal and awards regulations support â€Å"natural† performance management. Great care was taken to ensure that the requirements those regulations establish would complement and not conflict with the kinds of activities and actions effective managers are practicing as a matter of course. PERFORMANCE MANAGEMENT: BACKGROUND AND CONTEXT PLANNING In an effective organization, work is planned out in advance. Planning means setting performance expectations and goals for groups and individuals to channel their efforts toward achieving organizational objectives. Getting employees involved in the planning process will help them understand the goals of the organization, what needs to be done, why it needs to be done, and how well it should be done. The regulatory requirements for planning employees’ performance include establishing the elements and standards of their performance appraisal plans. Performance elements and standards should be measurable, understandable, verifiable, equitable, and achievable. Through critical elements, employees are held accountable as individuals for work assignments or responsibilities. Employee performance plans should be flexible so that they can be adjusted for changing program objectives and work requirements. When used effectively, these plans can be beneficial working documents that are discussed often, and not merely paperwork that is filed in a drawer and seen only when ratings of record are required. MONITORING In an effective organization, assignments and projects are monitored continually. Monitoring well means consistently measuring performance and providing ongoing feedback to employees and work groups on their progress toward reaching their goals. The regulatory requirements for monitoring performance include conducting progress reviews with employees where their performance is compared against their elements and standards. Ongoing monitoring provides the supervisor the opportunity to check how well employees are meeting predetermined standards and to make changes to unrealistic or problematic standards. By monitoring continually, supervisors can identify unacceptable performance at any time during the appraisal period and provide assistance to address such performance rather than wait until the end of the period when summary rating levels are assigned. MEASURE WHAT IS IMPORTANT—NOT WHAT IS EASY TO MEASURE It is easy to count the number of days since a project began, but if that is all that you measure, is that enough information to assess performance? No, probably not. Or if, for example, a customer service team only measures the number of calls that come into the team (the easy measure) and does not attempt to measure customer satisfaction with its service (the more difficult measure), the team does not have complete information about its performance and has no idea how well it is serving its customers. In addition, because what gets measured gets done, the team will probably focus on how it can increase the number of calls it receives and ignore the quality of service it provides. As a result, organizations need to anticipate the behavioral and unintended consequences of measuring performance. As an example, recently a medical laboratory came under fire because of the errors it made in certain of its cancer tests. A high number of cancer tests that the laboratory had approved as negative turned out to be wrong—cancer had actually been

Monday, July 22, 2019

Evading Intrusion Detection Systems Essay Example for Free

Evading Intrusion Detection Systems Essay As information technology advances its demand and reliance has increase has increased resulting in numerous growths in development and usage of web site. This technology has resulted to be very beneficial to organizational and institutional prosperity for example world of business has benefited a lot from the so called e-commerce. These benefits have on the other hand attracted exploitation of the web site supporting them. Growth in occurrence of exploitation of data sites which handle crucial organizational information have resulted to a major concern over their security and management of risks associated. This concern has resulted to usage of prevention system such as â€Å"Web Application Firewall, intrusion prevention systems and intrusion detection systems† (Vittie, 2007 pp. 1). Intrusions detection systems are protective systems which detect identify and isolate exploitation of computer systems. According to Newsham 1998, intrusion detection is a vital element of computer systems security system which complements other protection machineries. â€Å"By providing information to site administration, ID allows not only for the detection of attacks explicitly addressed by other security components (such as firewalls and services wrappers) but also attempts to provide notification of new attacks unforeseen by other components† (Newsham, 1998 para. 3). They are also very important as they provide organization with forensic information enabling detection of origination of attacks. This can help in following of attackers and make the answerable for their malicious actions. Working of Intrusion Detective Systems (IDS) is geared toward monitoring network of any attackers. In this operation it is hindered by network skilled attackers who are working day and night to be able to counter these systems and continue with their malicious damages. Exploitation in this case can continue in case where IDS may be short of complete scrutiny for the all of behavior perpetuated by a certain protocol. A good example to this is a case where attacker of IDS that is unable to reassemble Internet Protocol (IP) fragment through deliberate â€Å"†¦transmission of attack traffic in fragments rather than complete IP datagrams† (Kreibich, 2001). Internet Protocol end systems are assumed to conduct fragment reassembly and incase of this scenario, the attacker may accomplish intended mission without being noticed by IDS since it may be unable to reconstruct entire datagrams. Evading Intrusion Detection Systems using fragmentation and small packet technique can be said to be an evasion technique designed to confuse detection by IDS. Operations of fragment and small packet are based on ensuring attack payload splits into numerous small packets making IDS to gather the packet steam so as to identify the attack. This is possible through fragmenting the small packets but making of packets with minute payload can as well function. Although the small packet may a not evade any IDS which looks like packet steams, they can be designed to confuse reassembly as well as detection. Following deployment of IDS in 90s evasion, discovery of evasion followed. Evasion this time was â€Å"segmenting a signature into multiple packets, sometimes delaying second part of signature to trigger a network IDS time-out† (Gorton Champion, n. d. pp 2). Since 1997, several way of evading IDS which largely depended on using UNIX command shell potentialities. Later, hackers were able to use shell evasion design for example â€Å"mimicking ROT-13 ‘encryption’ using the TR command† (Gorton Champion, n. d. pp 2). Overlapping fragments has also been in use in that numerous packets with Internet Protocol or Transmission Control Protocol modified to overlap. Protocol violation uses similar technique as overlapping fragment in attempt to evade IDS through deliberate violation of Internet Protocol. Other evading Intrusion Detection Systems are Denial of Service and Inserting Traffic at the Intrusion Detection Systems. The inserted traffics are modified packet which are identified by IDS by computer may not detects becoming the main target. While Denial Service is a system modified to evade detection through overpowering Intrusion Detection System. This is possible through exploiting attacking element by use of large codification. â€Å"In 1999, Ptacek and Newsham demonstrated that commercial Intrusion detection systems had fundamentals flaws at handling the IP and TCP protocols which allowed attacker to trick them into incorrectly reconstructing sessions containing an attack† (Gorton Champion, n. d. pp 4). These two researchers in this field identified that several ways which IDS could not be able to detect invasion through being tricked and lack to attack invasion capable to detect. This was followed by development of programs by Dug Song guided by techniques explained by Ptacek and Newsham. This program is called fragrouter and later developed to fragroute. Attack of server through Hypertext Transfer Protocol (HTTP), â€Å"†¦there are fewer possibility for application evasion than in shell version. If the signature is flawed, an attacker can alter non-essential parts of the attack and avoid the signature,† (Gorton Champion, n. d. pp 4). To counter this inefficiency other forms of IDS were developed these are Mendax and Whisker written by Kang’s and Puppy respectively. In conclusion, evading Intrusion Detective System is still an active field. As ways to counter their malicious behaviors are developed hackers are busy advancing their attacks. This means future and survival of IDS in protecting web site is dependent to continued research in this field. Reference: Vittie, Lori Mac (2007): XSS Evasion—Trying to hide in the all-concealing torchlight; Retrieved on 12th December 2008 from; http://www. f5. com/pdf/white-papers/xss-evasion-wp. pdf Newsham Timothy N. (1998): Insertion, Evasion, and Denial of Service: Eluding Network Intrusion Detection. Retrieved on 12th December 2008 from; http://insecure. org/stf/secnet_ids/secnet_ids. html. Kreibich, Christian (2001): Network Intrusion Detection: Evasion, Traffic Normalization, and End-to-End Protocol Semantics. Retrieved on 12th December 2008 from; http://www. icir. org/vern/papers/norm-usenix-sec-01. pdf Gorton A. Samuel Champion Terrence G. (n. d): Combining Evasion Techniques to Avoid Network Intrusion Detection Systems. Retrieved on 12th December 2008 from; http://www. skaion. com/research/tgc-rsd-raid. pdf

Sunday, July 21, 2019

Water fluoridation

Water fluoridation ABSTRACT The safety and efficacy of water fluoridation has been a topic of great controversy throughout Americas communities. Scientific evidence has shown that ingesting low to moderate levels of fluoride can benefit the dental health of a community, especially those populations in a community that may be classified as having low socioeconomic status. Children in all areas, but especially those with low SES, are at greatest risk for developing dental caries and having a community water fluoridation program (CWFP) will help them reduce their dental caries. Moderation of fluoride ingestion for individuals is the key. Low to moderate daily ingestion of fluoride, averaging 1.0 mg/liter per day is optimum. Dental and skeletal fluorosis can occur if ingestion levels are greater than 3.0 mg/liter per day for long periods of time. This is a discussion on the safety and efficacy of water fluoridation. INTRODUCTION This commentary presents the on-going controversy on community water fluoridation in the United States, and I will attempt to analyze science-based evidence in support of water fluoridation. There have always been questions on the safety and efficacy of fluoride in drinking water, some school of thought believes that fluoridation has some adverse effects to exposed human populations, especially in infants and children. Another school of thought believes that water fluoridation is essential in preventing tooth decay, and therefore the practice should be sustained. According to the Center for Disease Control and prevention (CDC) water fluoridation is one of the 10 great public health achievements of the 20th century in the United States (CDC, 1999), which is attributable for increased lifespan of Americans by 25 years ( Bunker et al., 1994). This paper will discuss science-based evidence that proves the efficacy and safety of water fluoridation among children as well as offer some reco mmendations to the various stakeholders. POSITION STATEMENT Water fluoridation is the adjustment of the concentration level to the optimally regulated level of which the naturally occurring fluoride presents in public or community drinking water supplies. In most cases, deflouridation is needed when the naturally occurring fluoride level exceeds recommended limits. The recommended fluoride concentration in drinking water by the U.S. Public Health Service (PHS) is 0.7-1.2mg/L, to effectively prevent dental caries and minimize the occurrence of dental fluorosis (NRC, 2006). Low decay rates were found to be associated with continuous use of water with fluoride content of 1ppm (Meskin, 1995). There has been serious questions as to the efficacy of fluoride intervention in preventing both tooth decay, as it benefit is said to be merely cosmetic or topical (CDC, 1999). Such topical effect of fluoride can be achieved by the use tooth without the risking the overexposure from ingested fluoride (NRC, 2006). However, it has also been reported that fluor ide exposure provides both systemic and topical protection. Ingested fluoride deposited on tooth surface during tooth formation, and fluoride contained in saliva provides long-lasting systemic protection against booth tooth decay than topical application using tooth paste or fluoride foams (CDC, 2001). WHAT IS FLUORIDE Fluoride is a naturally occurring element. It is found in rocks and soil everywhere. Fluoride can be found in fresh water and ocean water. Naturally occurring fluoride levels ranges from 0.1ppm to over 12ppm (NRC, 2006).Fluoride is present in the customary diets of people and in most portable water sources. The average dietary intake of fluoride is approximately 0.5mg daily from either naturally occurring fluoride in the water or the fluoride found in produce. It is also a normal component of tooth enamel and bone studies have shown that the calcified tissues of both enamel and bone are made up of a combination of hydroxyl- and fluor-apatites of varying composition depending on the abundance of fluoride at the site of formation. These tissues are the principal sites of deposition of fluoride (NRC, 2006). HOW FLUORIDE PREVENTS AND CONTROLS DENTAL CARIES Dental caries is an infectious, transmissible disease in which bacterial by-products (i.e., acids) dissolve the hard surfaces of teeth. Unchecked, the bacteria can penetrate the dissolved surface, attack the underlying dentin, and reach the soft pulp tissue. Dental caries can result in loss of tooth structure, pain, and tooth loss and can progress to acute systemic infection. Cryogenic bacteria (i.e., bacteria that cause dental caries) reside in dental plaque, a sticky organic matrix of bacteria, food debris, dead mucosal cells, and salivary components that adheres to tooth enamel. Plaque also contains minerals, primarily calcium and phosphorus, as well as proteins, polysaccharides, carbohydrates, and lipids. Cryogenic bacteria colonize on tooth surfaces and produce polysaccharides that enhance adherence of the plaque to enamel. Left undisturbed, plaque will grow and harbor increasing numbers of cryogenic bacteria. An initial step in the formation of a carious lesion takes place when cryogenic bacteria in dental plaque metabolize a substrate from the diet (e.g., sugars and other fermentable carbohydrates) and the acid produced as a metabolic by-product demineralizes (i.e., begins to dissolve) the adjacent enamel crystal surface (CDC,2009). Demineralization involves the loss of calcium, phosphate, and carbonate. These minerals can be captured by surrounding plaque and be available for reuptake by the enamel surface. Fluoride, when present in the mouth, is also retained and concentrated in plaque. Fluoride works to control early dental caries in several ways. Fluoride concentrated in plaque and saliva inhibits the demineralization of sound enamel and enhances the remineralization (i.e., recovery) of demineralized enamel (Featherstone, 1999 Koulourides, 1990). As cryogenic bacteria metabolize carbohydrates and produce acid, fluoride is released from dental plaque in response to lowered pH at the tooth-plaque interface. The released fluoride and the fluoride present in saliva are then taken up, along with calcium and phosphate, by de-mineralized enamel to establish an improved enamel crystal structure. This improved structure is more acid resistant and contains more fluoride and less carbonate (Featherstone, 1999). Fluoride is more readily taken up by demineralized enamel than by sound enamel. Cycles of demineralization and remineralization continue throughout the lifetime of the tooth. Fluoride also inhibits dental caries by affecting the activity of cryogenic bacteria. As fluoride concentrates in dental plaque, it inhibits the process by which cryogenic bacteria metabolize carbohydrates to produce acid and affects bacterial production of adhesive polysaccharides. In laboratory studies, when a low concentration of fluoride is constantly present, one type of cryogenic bacteria, Streptococcus mutans, produces less acid. Whether this reduced acid production reduces the carcinogenicity of these bacteria in humans is unclear (Van Loveren, 1990). Saliva is a major carrier of topical fluoride. The concentration of fluoride in ductal saliva, as it is secreted from salivary glands, is low approximately 0.016 parts per million (ppm) in areas where drinking water is fluoridated and 0.006ppm in non fluoridated areas. This concentration of fluoride is not likely to affect cryogenic activity. However, drinking fluoridated water, brushing with fluoride toothpaste, or using other fluoride dental products can raise the concentration of fluoride in saliva present in the mouth 100- to 1,000-fold. The concentration returns to previous levels within 12 hours but, during this time, saliva serves as an important source of fluoride for concentration in plaque and for tooth remineralization (Murray,1993). Applying fluoride gel or other products containing a high concentration of fluoride to the teeth leaves a temporary layer of calcium fluoride-like material on the enamel surface. The fluoride in this material is released when the pH drops in the mouth in response to acid production and is available to remineralize enamel. In the earliest days of fluoride research, investigators hypothesized that fluoride affects enamel and inhibits dental caries only when incorporated into developing dental enamel (i.e., preeruptively, before the tooth erupts into the mouth) (Murray,1993). Evidence supports this hypothesis, but distinguishing a true preeruptive effect after teeth erupt into a mouth where topical fluoride exposure occurs regularly is difficult. However, a high fluoride concentration in sound enamel cannot alone explain the marked reduction in dental caries that fluoride produces . The prevalence of dental caries in a population is not inversely related to the concentration of fluoride in enamel, and a higher concentration of enamel fluoride is not necessarily more efficacious in preventing dental caries (Mcdonagh etal.,2000). The laboratory and epidemiologic research that has led to the better understanding of how fluoride prevents dental caries indicates that fluorides predominant effect is post eruptive and topical and that the effect depends on fluoride being in the right amount in the right place at the right time. Fluoride works primarily after teeth have erupted, especially when small amounts are maintained constantly in the mouth, specifically in dental plaque and saliva (Mcdonagh etal., 2000). Thus, adults also benefit from fluoride, rather than only children, as was previously assumed. RISK FOR DENTAL CARIES The prevalence and severity of dental caries in the United States have decreased substantially during the preceding 3 decades. National surveys have reported that the prevalence of any dental caries among children aged 1217 years declined from 90.4% in 19711974 to 67% in 19881991; severity (measured as the mean number of decayed, missing, or filled teeth) declined from 6.2 to 2.8 during this period (Burt, 1989). These decreases in caries prevalence and severity have been uneven across the general population; the burden of disease now is concentrated among certain groups and persons. For example, 80% of the dental caries in permanent teeth of U.S. children aged 517 years occurs among 25% of those children. Populations believed to be at increased risk for dental caries are those with low socioeconomic status (SES) or low levels of parental education, those who do not seek regular dental care, and those without dental insurance or access to dental services (Meskin,1995). Persons can be at high risk for dental caries even if they do not have these recognized factors. Children and adults who are at low risk for dental caries can maintain that status through frequent exposure to small amounts of fluoride (e.g., drinking fluoridated water and using fluoride toothpaste). Children and adults at high risk for dental caries might benefit from additional exposure to fluoride (e.g., mouth rinse, dietary supplements, and professionally applied products). All available information on risk factors should be considered before a group or person is identified as being at low or high risk for dental caries. However, when classification is uncertain, treating a person as high risk is prudent until further information or experience allows a more accurate assessment. This assumption increases the immediate cost of caries prevention or treatment and might increase the risk for enamel fluorosis for children aged NATIONAL GUIDELINES FOR FLUORIDE USE PHS recommendations for fluoride use include an optimally adjusted concentration of fluoride in community drinking water to maximize caries prevention and limit enamel fluorosis. This concentration ranges from 0.7ppm to 1.2ppm depending on the average maximum daily air temperature of the area (PHS, 1991). In 1991, PHS also issued policy and research recommendations for fluoride use. The U.S. Environmental Protection Agency (EPA), which is responsible for the safety and quality of drinking water in the United States, sets a maximum allowable limit for fluoride in community drinking water at 4ppm and a secondary limit (i.e., non-enforceable guideline) at 2ppm (EPA,1998). The U.S. Food and Drug Administration (FDA) is responsible for approving prescription and over-the-counter fluoride products marketed in the United States and for setting standards for labeling bottled water and over-the-counter fluoride products (e.g., toothpaste and mouth rinse) (ADA,2007). Nonfederal agencies also have published guidelines on fluoride use. The American Dental Association (ADA) reviews fluoride products for caries prevention through its voluntary Seal of Acceptance program; accepted products are listed in the ADA Guide to Dental Therapeutics (ADA, 2007). A dosage schedule for fluoride supplements for infants and children aged 16 years, which is scaled to the fluoride concentration in the community drinking water, has been jointly recommended by ADA, the American Academy of Pediatric Dentistry (AAPD), and the American Academy of Pediatrics (AAP) (Meskin,1995). In 1997, the Institute of Medicine published age-specific recommendations for total dietary intake of fluoride. These recommendations list adequate intake to prevent dental caries and tolerable upper intake, defined as a level unlikely to pose risk for adverse effects in almost all persons. COST-EFFECTIVENESS OF FLUORIDE MODALITIES Documented effectiveness is the most basic requirement for providing a health-care service and an important prerequisite for preventive services (e.g., caries-preventive modalities). However, effectiveness alone is not a sufficient reason to initiate a service. Other factors, including cost, must be considered. A modality is more cost-effective when deemed a less expensive way, from among competing alternatives, of meeting a stated objective (Garcia,1989). In public health planning, determination of the most cost-effective alternative for prevention is essential to using scarce resources efficiently. Dental-insurance carriers are also interested in cost-effectiveness so they can help purchasers use funds efficiently. Because half of dental expenditures are out of pocket (Garcia, 1989), this topic interests patients and their dentists as well. Potential improvement to quality of life is also a consideration. The contribution of a healthy dentition to quality of life at any age has not been quantified, but is probably valued by most persons. Although solid data on the cost-effectiveness of fluoride modalities alone and in combination are needed, this information is scarce. In 1989, the Cost Effectiveness of Caries Prevention in Dental Public Health workshop, which was attended by health economists, epidemiologists, and dental public health professionals, attempted to assess the cost-effectiveness of caries-preventive approaches available in the United States (Downer et al., 1981). Community Water Fluoridation Health economists at the 1989 workshop on cost-effectiveness of caries prevention calculated that the average annual cost of water fluoridation in the United States was $0.51 per person (range: $0.12$5.41) (Burt, 1989). In 1999 dollars, this cost would be $0.72 per person (range: $0.17$7.62). Factors reported to influence the per capita cost included: size of the community (the larger the population reached, the lower the per capita cost); number of fluoride injection points in the water supply system; amount and type of system feeder and monitoring equipment used; amount and type of fluoride chemical used, its price, and its costs of transportation and storage; and expertise of personnel at the water plant. When the effects of caries are repaired, the price of the restoration is based on the number of tooth surfaces affected. A tooth can have caries at >1 location (i.e., surface), so the number of surfaces saved is a more appropriate measure in calculating cost-effectiveness than the number of teeth with caries. The 1989 workshop participants concluded that water fluoridation is one of the few public health measures that results in true cost savings (i.e., the measure saves more money than it costs to operate); in the United States, water fluoridation cost an estimated average of $3.35 per carious surface saved ($4.71 in 1999 dollars). Even under the least favorable assumptions in 1989 (i.e., cities with populations A Scottish study conducted in 1980 reported that community water fluoridation resulted in a 49% saving in dental treatment costs for children aged 45 years and a 54% saving for children aged 1112 years (Downer et al., 1981). These savings were maintained even after the secular decline in the prevalence of dental caries was recognized. The effect of community water fluoridation on the costs of dental care for adults is less clear. This topic cannot be fully explored until the generations who grew up drinking optimally fluoridated water are older. School Water Fluoridation Costs for school water fluoridation are similar to those of any public water supply system serving a small population (i.e., Assessment of the Adverse Health Effects of fluoride Evidence of the adverse health effects of prolonged exposure to high concentrations of fluoride are well documented by several peer reviewed studies, which are examined in this paper. Higher concentrations of total ingested fluoride from potential sources like drinking water, food and beverages, dental-hygiene products such as toothpaste, and pesticide residues can have adverse health effects on humans (NRC, 2006). Some of the adverse health effects of fluoride in drinking water are enamel fluorosis, skeletal fluorosis, bone cancer and bone fracture. (NRC, 2006, PHS, 1991). Fluorosis is caused mainly by the ingestion of fluoride in drinking water (Viswanathan et al., 2009). Fluoride has high binding affinity for developing enamel and as such high concentration of cumulative fluoride during tooth formation can lead to enamel fluorosis, a dental condition from mild to severe form characterized by brown stains, enamel loss and surface pitting (DenBesten Thariani, 1992). These dental ef fects are believed to be caused by the effects of fluoride on the breakdown rates of early-secreted matrix proteins, and on the rates at which the degraded by-products are withdrawn from the maturing enamel (Aoba Fejerskov, 2002). Children are much more at risk of enamel fluorosis, especially in their critical period from 6 to 8 years of age, than adults. Fluoride uptake into enamel is possible only as a result of concomitant enamel dissolution, such as caries development (Fejerskov, Larsen, Richards, Baelum, 1994). There is a 10% prevalence of enamel fluorosis among U.S. children in communities with water fluoride concentrations at or near the EPAs MCLG of 4 mg/L (NRC, 2006). The CDC estimates that 32% of U.S. children are diagnosed with dental fluorosis (CDC, 2005). Today, there are convincing evidence that enamel fluorosis is a toxic effect of fluoride intake, and that its severe forms can produce adverse dental effects, and not just adverse cosmetic effects in humans (NRC, 200 6). Burt and Eklund (1999) states: â€Å"The most severe forms of fluorosis manifest as heavily stained, pitted, and friable enamel that can result in loss of dental function†. Epidemiological data from both observational and clinical studies have been examined. Sowers, Whitford, Clark Jannausch (2005) investigated prospectively for four years bone fracture in relation to fluoride concentrations in drinking water in a cohort study, by measuring serum fluoride concentrations and bone density of the hip, radius, and spine. The authors reported higher serum fluoride concentrations in the communities with fluoride concentrations at 4 mg/L in drinking water; and higher osteoporotic fracture rates in the high fluoride areas that were similar to those in their previous studies in 1986 and 1991. It is unclear in their recent study whether existing factors in the population like smoking rates, hormone replacement and physical activity were examined as potential cofounders for fractures. Fasting serum fluoride concentrations are considered a good measure of long-term exposure and of bone fluoride concentrations (Whitford, 1994; Clarkson et al., 2000). Findings by t he Sowers studies were complemented in several ways by Li et al. (2001) in a retrospective cohort ecologic study. The combined findings of Sowers et al. (2005) and Li et al., (2001) lend support to the biological gradients of exposures and fracture risk between 1 and 4 mg/L of fluoride concentration. Evidently, the physiological effect of fluoride on â€Å"bone quality† and the fractures observed in the referenced animal studies are consistent with the effects found in the observational studies. RECOMMENDATIONS Before promoting a fluoride modality or combination of modalities, the dental-care or other health-care provider must consider a persons or groups risk for dental caries, current use of other fluoride sources, and potential for enamel fluorosis. Although these recommendations are based on assessments of caries risk as low or high, the health-care provider might also differentiate among patients at high risk and provide more intensive interventions as needed. Also, a risk category can change over time; the type and frequency of preventive interventions should be adjusted accordingly. Continue and Extend Fluoridation of Community Drinking Water Community water fluoridation is a safe, effective, and inexpensive way to prevent dental caries. This modality benefits persons in all age groups and of all SES, including those difficult to reach through other public health programs and private dental care (CDC, 2001a). Community water fluoridation also is the most cost-effective way to prevent tooth decay among populations living in areas with adequate community water supply systems. Continuation of community water fluoridation for these populations and its adoption in additional U.S. communities are the foundation for sound caries-prevention programs. In contrast, the appropriateness of fluoridating stand-alone water systems that supply individual schools is limited. Widespread use of fluoride toothpaste, availability of other fluoride modalities that can be delivered in the school setting, and the current environment of low caries prevalence limit the appropriateness of fluoridating school drinking water at 4.5 times the optimal concentration for community drinking water. Decisions to initiate or continue school fluoridation programs should be based on an assessment of present caries risk in the target school(s), alternative preventive modalities that might be available, and periodic evaluation of program effectiveness (CDC, 2001a). Frequently Use Small Amounts of Fluoride All persons should receive frequent exposure to small amounts of fluoride, which minimizes dental caries by inhibiting demineralization of tooth enamel and facilitating tooth remineralization. This exposure can be readily accomplished by drinking water with an optimal fluoride concentration and brushing with fluoride toothpaste twice daily(CDC, 2001a). Supervise Use of Fluoride Toothpaste among Children Aged Childrens teeth should be cleaned daily from the time the teeth erupt in the mouth. Parents and caregivers should consult a dentist or other health-care provider before introducing a child aged Use an Alternative Source of Water for Children Aged 8 Years Whose Primary Drinking Water Contains >2 ppm Fluoride In some regions in the United States, community water supply systems and home wells contain a natural concentration of fluoride >2ppm. At this concentration, children aged 8 years are at increased risk for developing enamel fluorosis, including the moderate and severe forms, and should have an alternative source of drinking water, preferably one containing fluoride at an optimal concentration. In areas where community water supply systems contain >2ppm but 8 years. For families receiving water from home wells, testing is necessary to determine the natural fluoride concentration (CDC, 2001a). Label the Fluoride Concentration of Bottled Water Producers of bottled water should label the fluoride concentration of their products. Such labeling will allow consumers to make informed decisions and dentists, dental hygienists, and other health-care professionals to appropriately advise patients regarding fluoride intake and use of fluoride products (CDC, 2001). CONCLUDING POSITION STATEMENT When used appropriately, fluoride is a safe and effective agent that can be used to prevent and control dental caries. Fluoride has contributed profoundly to the improved dental health of persons in the United States and other countries. Fluoride is needed regularly throughout life to protect teeth against tooth decay. To ensure additional gains in oral health, water fluoridation should be extended to additional communities, and fluoride toothpaste should be used widely. Adoption of these and other recommendations in this paper could lead to considerable savings in public and private resources without compromising fluorides substantial benefit of improved dental health. What is consistent from the literature review is the fact that infants and children are much more at risk of overexposure and the development of adverse health effects. A community water fluoridation program (CWFP) is very safe and efficient, not only in terms of reducing dental caries, but also on the communitys budg et (CDC, 2001a). A CWFP can especially help those communities who have populations in the low SES category. These populations have children whose parents or guardians dont always have access to dental insurance and so regular dental checkups to curb the dental caries is not always an option. Reducing dental caries before they lead into more extreme oral morbidity can be very beneficial to these children. Implementing a fluoridated water program can also be beneficial to a whole community in terms of saving communities thousands and millions of dollars. Implementing a water program would follow strict guidelines set by the EPA, so the optimum level of fluoride would be followed, staying in the range of 0.7 to 1.2, where people would ingest no more than an average of 1 mg/liter of fluoride per day. Moderation is the key. There are studies confirming that ingestion of fluoride greater than the optimum level could produce dental fluorosis. Though unconfirmed by studies, individual reports have even suggested that ingestion of fluoride >8 mg/liter per day over a long period of time could produce skeletal fluorosis. However, with proper surveillance and reporting of fluoride in water systems, the greater population could be served, increasing the dental health of all individuals, especially the youth and saving dollars from excessive health care costs (ADA, 2009). Remember, a little prevention now can go a long way later. REFERENCES ADA (2005).Fluoridation Facts: ADA statement commemorating the 60th anniversary of community water fluoridation. Retrieved October 19, 2009 from www.ada.org/public/topics/fluoride/facts/fluoridation_facts.pdf ADA.(2007). ADA Guidelines to Dental Therapeutics. Retrieved October 23, 2009 from http://www.ada.org/prof/resources/pubs/advocacy.asp ADA (2009). Fluoride: Natures tooth decay fighter. J of the Am. Dental Ass., 140(1), 126-126. Alphajoh, C.(2009). (PhD Student). Service Learning Activity: Environmental Health. Walden University. Assessed November 13, 2009 from http://environmentalhealthtoday.wordpress.com/2009/05/13/commentary-and-position-statement-on-the-safety-and-efficacy-of-water-fluoridation/ Aoba, T., Fejerskov, O. (2002). Dental fluorosis: Chemistry and biology. Crit. Rev. Oral. Biol. Med., 13(2), 155-170. Bowden, G.(1990). Effects of fluoride on the microbial ecology of dental plaque. J Dent Res 1990; 69(special issue):653—9 Brunelle, J.(1987. The prevalence of dental fluorosis in U.S. children. J Dent Res.(Special issue) 68:995. Bunker, J.P., Frazier, H.S., Mosteller, F. (1994). Improving health: measuring effects of medical care. Milbank Quarterly,72, 225-58. Burt, B. (1989).(Ed.). Proceedings for the workshop: Cost-effectiveness of caries prevention in dental public health, Ann Arbor, Michigan, May 1719, 1989. J Public Health Dent 1989; 49(special issue):3317. Burt, B.A., Eklund, S.A. (1999). Dentistry, dental practice, and the community. Philadelphia, Pennsylvania: WB Saunders Company, 204-20. CDC (1999). Ten great public health achievements United States, 1900 1999. MMWR,48(12), 214-243. CDC (2001a). Promoting oral health: intervention for preventing dental caries, oral and pharyngeal cancers and sport-related craniofacial injuries a report on recommendations of the Task Force on Community Preventive Services. MMWR 2001, 50(21), 1-12. CDC. (2001). Recommendations for using fluorideto prevent and control dental

Saturday, July 20, 2019

Choice of Lifestyle in Kate Chopin’s The Awakening Essay -- Chopin Awa

Choice of Lifestyle in Kate Chopin’s The Awakening One of many poignant themes in Kate Chopin’s The Awakening is Edna Pontellier’s fundamental choice of lifestyle -- the choice of dedication to the aesthete, the solitude of art (as represented by Mademoiselle Reisz), or devotion to the all-consuming task of becoming a domestic goddess (as Madame Ratignolle has done). Considered mutually exclusive not only by Chopin but by American society as a whole, the role of the housewife leaves little room for the serious pursuit of art. As evidenced in Helen Watterson Moody’s contextual document "The Artist and Marriage," "The woman must decided, then, whether to pursue her chosen art or to marry will make her happier." The plethora of demands of the successful artistic lifestyle, which includes near absolute concentration on one’s craft, the time and space to truly create, and the solitude needed to express one’s essential self simply was not compatible with nineteenth century ideals of domesticity. Edna Pont ellier, unwilling to submit to the relative asceticism of art and equally incapab...

Directing the Actor Playing Macbeth in Act 2 :: Drama

Imagine you are a director. Direct the actor playing Macbeth in Act 2 Scene 2. Shakespeare's Macbeth has been a play out of the ordinary. It was written to upset, and show life at its most cynical and brutal. It is among his darker pieces of work along with Othello, King Lear and Hamlet. It was also written to please the current King of England at the time, King James I. The play is based on real Scottish history, as King Duncan was killed by one of his kinsmen who then became King. It is set within a Scotland in which frequent wars occur. Returning one of theses wars are Macbeth and Banquo - generals of the Scottish army. Lady Macbeth has made a soliloquy, in which she has asked demons to take away her sexuality and have it replaced with evilness. She asked literally to have her 'breast milk replaced with bile'. Having her milk replaced with bile would supposedly give her the ability to do masculine actions. She desires power and starts to mildly bully her lover, Macbeth, and ridicule his masculinity. She talks about a smiling baby and then one with it's brains smashed out she'd prefer this to having a husband unwilling to kill in cold blood. Lady Macbeth challenges Macbeth to prove his masculinity, by aiding her in killing King Duncan, who will soon be a guest at their house. The conspiracy is that they kill the King and smear the blood on his guards, which would make them the prime suspects. Macbeth is next in rank and is likely to become the next King of Scotland. Between them, there is an enormous desire to gain power and become leaders of the country. With this desire and Lady Macbeth's challenge combined, you have the play of Macbeth. Shakespeare has cleverly set the play in certain themes, such as ambition, good vs. evil, disorder and the supernatural. In this scene, Lady Macbeth will rendezvous with Macbeth in the courtyard as he returns from his challenge - the murder. Act 2 Scene 2 is an early climax of the Macbeth play. Anticipation has built whilst the conspiracy has been planned and the audience would be very eager to see what happens, as they have been posing questions in their head which need answering, such as 'Will they get caught?' or 'Will Macbeth become the King of Scotland?' A murder always attracts interest, and a murder of high treason would multiply such interest and excitement. It is highly significant as the infamous murder is committed here (not chronologically - it is not shown in the play).

Friday, July 19, 2019

Exile And Pain In Three Elegiac Poems Essay -- essays research papers

There is a great similarity between the three elegiac poems, The Wanderer, The Wife of Lament, and The Seafarer. This similarity is the theme of exile. Exile means separation, or banishment from ones native country, region, or home. During the Anglo Saxon period, exile caused a great amount of pain and grief. The theme is shown to have put great sadness into literature of this time period. The majority of the world's literature from the past contains the theme of exile. The Wife of Lament is another perfect example of literature with exile, and was written by an unknown author. The most striking example of exile in this poem can be seen in the passage when she says, "A song I sing of sorrow unceasing, the tale of my trouble, the weight of my woe, woe of the present, and woe of the past, woe never-ending of exile, and grief, but never since girlhood greater then now." The woman's husband left her in a life of exile, after he left. She is constantly looking for him, and finds a life that is quite similar to being locked away in prison. She is locked up in a cave under a tree. Her joy comes from thinking that her husband is as miserable as her. In the first passage from the poem, The Wanderer, it speaks of exile by saying, "To the wanderer, weary of exile cometh Gods pity, compassionate love, though woefully toiling on wintry seas with churning oar in the icy wave, homeless and helpless he fled from fate." It can be easily seen...

Thursday, July 18, 2019

Mr. Bus

4. In March 2006, Tesco announced that it would enter the United States. This represents a departure from its historic strategy of focusing on developing nations. Why do you think Tesco made this decision? How is the U. S. market different from others Tesco has entered? What are the risks here? How do you think Tesco will do? In our opinion, Tesco had done a lot of research before they decide to open in United States market. Tesco believes that each market is unique and requires a different approach. Tesco experience In the United Kingdom has demonstrated that no single format can entirely penetrate a market. That is why the company has developed a range of formats from convenience stores to hypermarkets that it deploys to meet the needs and opportunities it encounters in each country. One of the reasons Tesco enters the United States market is because they want to build a brand for Tesco. Tesco believe brands are the building blocks of lasting relationships with consumers. Tesco want to develop capabilities. A critical part of Tesco’s culture is an intense focus on learning, developing skills, processes and systems, and then sharing them across international markets to increase the chances of success. United State market is different from others Tesco has entered. Accounting for almost 30% of world GDP, the United State is the world’s largest and most demanding market for almost everything from oil to microprocessors to premium coffee. Companies around the world aspire to do business in the United State or at least with United State companies in their home markets. By doing so, they learn much about the latest management practices, they can be closer to the cutting edge of innovation, and they can boost their reputations by supplying well known United States firms. The risk for Tesco decide to open a market in United States is, Tesco moved too fast and made too many wrong assumptions about the United States Market. If the concept was working, an established and well financed retailer like Tesco would be using the economic downturn to drive out weaker United States players. It will be some risk to Tesco if they open a new market in United States, because they will compete with Wal-Mart their biggest competitor in United States. Wal-Mart is the biggest retailer in United States and since Wal-Mart has bought ASDA, Tesco will be struggling to compete with Wal-Mart in United States market. In our opinion Tesco will fail or struggle in the beginning because they have to compete with their biggest competitor Wal-Mart. Most of the customers in United States used to go to Wal-Mart, since that Tesco will be struggle in a beginning. And from our research we found that none of British retailer has succeeded in United States market. But maybe after few months or few years Tesco will be back stronger in United States market and Tesco maybe will be more succeed than Wal-Mart.

Wednesday, July 17, 2019

Beano Ice Cream

Amanda Dundee BEANO CASE QUESTIONS 1. Harriss partnership proposal is non circus for metalworker. He completely revised the trustworthy investment come in and lend roll in the hay that they had original discussed. He is asking to try out his share to 49%, which would pose numerous problems for smith in the mince of the union. grown Harris that high of a stake in the immunity would be loose him a weed more m whizzy, and half of the control. metalworker would be dep nullifyent on Harris, and if something perfectly happened to him, or the deal didnt end up going through, then metalworker would be out of business.His SCORE counselling recommended that he does non give up more than 20% share to one investor, and this is above and beyond that. He is besides asking to be paid tush his full loan of $95,000 over the inaugural quint years. This is completely unreasonable, since it is a grass fresh company and they allow not be birthing high gelt in those primary years . With that expectation, metalworker is judge to not but behave bandaging his SBA loan, but also an supernumerary $19,000 per year, with an added summit rate of interest, to Harris.With estimated incomes of lone(prenominal) $41,000 after their rootage year in business, his entire lucre for the year would be $8,695. Not only that, but Harris would loll around his loan bottom in five years, plus an extra $111,867. This is an extra 22 times the arrive he put in, while smith would be left with close to nothing. 2. so faring though the estimated net incomes are increase at a steady pace, it will take him at least five years to situate to an average compensation point around $60,000. Even then, he will have his SBA loan and Harriss personal loan to pay back, which would be a huge detriment into his salary.It would be much more rewarding for him if he could come to a negotiation with Harris as an investor, or find a new investor all together. This way he could pay off his loan over a longer period of time, and maybe not give up a exercise set of his control. With the equity stake and loan that Harris is offering, Smith would not be getting a immense salary or return from all his hard work. This particular privilege expects to be pretty stable with only a 5% failure rate. one time he gets past those first a couple of(prenominal) years, he will start eyesight more of a rofit, with some stores even reaching $500,000 in sales, and they are enactment three in market condition in sales. The franchisee program comes with a lot of perks that will make it much easier for Smith to be successful in his ventures, and the company has a solid competitive benefit with specifics that include superior ingredients, new return and market development, and environmentally conscious behavior. 3. I would not recommend Smith to go into a partnership with Harris.He does not seem very fair in his projections of what his is set into the company, and seems to be at tempting to connive Smith into giving up a ton of his control for not a great total of return. His financials expectations are completely unfair and not warranted. Smith will be left with an extremely low salary, and Harris will be making 22 times the tot of his investment in a dead period of time. While Smith wants to get started as soon as attainable on this first franchise due to his financial problems, if he chooses to go with Harris he could be getting himself into much deeper trouble.The franchise itself seems to be a decent option, with its great location, franchise support, and competitive advantage, but Smith should wait to find a punter partner. This business will not come through if the two owners do not get along. It would ruin their entire organizational and managerial structure. FINANCIAL APPENDIX 51% bills flow Distributions Smiths share 1997 with loan $ 17,050 $ 17,050 $ 8,695 1998 with loan $ 37,050 $ 24,350 $ 12,418 1999 with loan $ 55,650 $ 41,75 0 $ 21,292 1997 1998 1999 2000 2001EBT $ 29,000 $ 49,000 $ 67,600 $ 87,100 $ 87,800 Add depreciation $ 12,000 $ 12,000 $ 12,000 $ 12,000 $ 12,000 silver flow $ 41,000 $ 61,000 $ 79,600 $ 99,100 $ 99,800 Price earning ration (3) 3 3 3 3 3 Company value(average of cash flows from previousyears x 3) $ 123,000 $ 153,000 $ 181,600 210525 $ 228,300 Investor self-possession 49% 49% 49% 49% 49% Buy out amount $ 60,270 $ 74,970 $ 88,984 $ 103,157 $ 111,867

American Politics in the Context of Obama’s Election and First 100 Days Essay

The choice of Barack Hussein Obama as the 44th electric chair of the United States is a watershed in the score of American politics. In a country were blacks were at a time prohibited from choose sound because of the color of their skin, his climb into the White House is indeed a milest angiotensin converting enzyme. Obamas conquest is often attributed to s everal factors, including changes in voting behavior and populace opinion and constant media exposure. normal support of his presidentship did non break off with the pick hype a 2009 Associated Press-GfK poll revealed that belt up 48% of Americans were satisfied with the economic outcomes of the Obama presidencys starting time light speed days (Philstar. com n. pag. ). The rise of the Obama regime had a tremendous impact on American politics. It brought about the prospect of women and minorities gaining a greater voice in political institutions. But Obamas first nose candy days in office told a distinguishab le story. His first 100 days revealed that the sub bearing of his regime remained largely the same as that of George W. Bushs.This just goes to show that in the context of Obamas election and first 100 days, American politics changed its modality but retained its hegemonic and elitist nature. Winning the nomination prove to be a greater ch aloneenge for Obama than kind the general elections. Because of a national political form attached to her and her husband, Hillary Clinton was initially chosen by the democrat Party to become its presidential candidate (Ceaser, Busch and Pitney 15). Although Obama was young, charismatic, cerebral and self-assured, the Democrats were apprehensive about his lack of invite in the political scene (Ceaser, Busch and Pitney 16).This weakness would probably not sit well with the American electorate, who were desperate for a leader who could rectify the damaging mistakes of the Republican disposal (Ceaser, Busch and Pitney 15). But shifts in the economic and demographic profile of American voters rendered Obama a more suitable presidential candidate than Clinton. As of 2004, about 56. 6% of American voters were below 30 years old (Dahl n. pag. ). majority of these individuals grew up using the Internet as an internal tool for work, study and leisure.When the Clintons staged their last national campaign in 1996, the Internet was just a fledgling industry. Obamas youth and tech hollow (he kept a Blackberry with him at all times), therefore, would make him more appealing to the aforementioned voters age group than Clinton (Ceaser, Busch and Pitney 106). Obama must restrain been aw ar of these advantages of his his election campaign involved chiefly the utilization of the Internet. By April 2007, he already had 1,543,000 friends in his account in the social-networking website MySpace. com. In sharp contrast, Clinton further had 41,500 people in her network (Dupuis and Boeckelman 123).In the mould of 2008, Obama had at least 1 million friends in Twitter, while Clinton only had 330,000. Although they had the same number of reckonbook friends during this period, the websites largest pro-Obama group had over 500,000 members, while the largest Facebook group that support Clinton only had 30,000 members (Tapscott 252). Furthermore, Obamas rhetoric reflected the American publics disillusionment with traditional political ideologies. His slogan, revision You Can Believe In, appealed to voters because it did not bombard them with highfaluting dogmas.Rather, it showed them that change meant exploring for new solutions to problems. The American people did not give way to make do with traditional solutions which Obama believed set about already failed them in the past. For instance, he is constantly criticized for his copulation youth and limited high-level government inexperience. Obama downplayed this invade by claiming that Dick Cheney and Donald Rumsfeld have an awful vision of experience, and ye t have engineered what I think is one of the biggest exotic policy failures in our recent bill (Dupuis and Boeckelman 123).Through this argument, he pointed out that adherence to radiation pattern is not always the best for the nation. There are instances when the government and the people must work together and come up with new solutions. In addition, Obama created a firm connection between himself and the people by letting them know that he also underwent their plights. In his campaign speeches, he often used his experience as the son of a working charr and as the husband of a working fair sex in order to show to the people that he knew how it felt to be in their shoes (Leanne 52).He knew how it was to be poor, marginalized and to work hard just to affirm ends meet. Thus, his cynicism towards conventional ideologies he and so many different Americans remained impoverished despite their application. Given such a democrat and down-to-earth campaign strategy, it was no eigh t-day surprising if Obama won a landslide victory in the 2008 national elections. But his first 100 days in office revealed that his regime was basically the same as that of George W. Bushs. Obamas first 100 days revealed the right-wing character of his administration and the class interests that it serves (Eley n.pag. ). If there was any difference at all, it was the approach Bush assumed a warmonger-like stance to obtain the presidency, while Obama adopted a populist one. Obama continued the Bush administrations militarist and aggressive foreign policy. Although he promised that he exit all American good deals out of Iraq, troop levels in Iraq remained virtually unchanged. Furthermore, Obama expanded the war in Afghanistan and even extended it to Pakistan. Worse, he proposed a exoneration budget worth $664 billion believed to be the largest annexation for soldiers spending in American record (Eley n. pag. ).The prison camp at Guantanamo Bay remain open, despite Obamas pl edge to eventually close it down. As a result, its inmates are at danger of being shipped to US military prisons such as those in Iraq and Afghanistan, where they can be tortured and or killed in secret. Under the guise of moving on, he blocked all investigations and or criminal pursuit of parties that were responsible for the torture of detainees in US military prisons across the world. Obamas government also intervened in the procedures of several court cases in order to defy habeas corpus to detainees in US military prisons in Afghanistan (Eley n.pag. ). While Obama was busy perpetuating Bushs foreign policy, the American economy further deteriorated. Mounting layoffs took place, on with wage cuts, home foreclosures and depreciation of real body politic value and retirement savings. These developments, in turn, resulted in escalating crave and homelessness. But instead of creating concrete solutions to put an end to these calamities, the Obama administration used billions o f dollars in public bills to bail financial institutions such as AIG, Lehman Brothers and Merrill lynch out of bankruptcy.Worsening the situation was that these banks were discovered to have been doling out huge portions of the bailout money to their executives as bonuses (Eley n. pag. ). It is in truth ironic that Obama, a black man who undergo growing up poor and marginalized, would end up perpetuating the repressive and anti-poor policies of his predecessor. But what Obama did reflected the recourse that the US intimately probably resorted to in order to steer itself from the economic crisis tighten its grip over the Third World.It is during the trustworthy economic crisis that the US needs unlimited nark to the natural resources of the Third World more than ever before. Thus, the Obama administrations promise of change was replaced with the de facto extension of the Bush regime. Works Cited AP Poll After Obamas 100 Days, US on Right Track. 24 April 2009. Philstar. com. 4 May 2009 . Ceaser, James W. , Andrew E. Busch, and John J. Pitney. epic Journey The 2008 Elections and American Politics. freshly York Rowman & Littlefield, 2009. Dahl, Melissa.Youth right to vote May have been Key in Obamas Win. 5 November 2008. MSNBC. 4 May 2009 . Dupuis, Martin, and Keith Boeckelman. Barack Obama The New Face of American Politics. Santa Barbara Greenwood Publishing Group, 2008. Eley, Tom. Obamas 100 Days. 29 April 2009. GlobalResearch. ca. 4 May 2009 . Leanne, Shel. Say It Like Obama The spot of Speaking with Purpose and Vision. New York McGraw-Hill Professional, 2008. Tapscott, Don. Grown Up Digital How the Net Generation is changing Your World. New York McGraw-Hill Professional, 2008.