Wednesday, July 31, 2019

The Bush Doctrine

President George W. Bush made known to the people all over the world the existence of his new National Security Strategy on September 2002. While the new scheme preserved a few components from past strategies, in many aspects it is a daring digression from previous U. S. policy. It clearly asserts that the United States is in an extremely distinctive spot of political and military ascendancy and that it possesses an ethical responsibility to utilize this power to institute an autonomous and noninterventionist world order.This new strategy maintains that the United States must set up and sustain a global military supremacy to achieve the kind of democratic and peaceful world it has visualized. According to this plan, its execution necessitates blocking, if necessary by force, any and all those who will challenge this notion of U. S. military dominance. As it is, terrorists and some states that are known to seek or actually possess weapons of mass destruction pose a colossal challenge to world stability.Fearing that the Cold War principles of deterrence and containment may be outdated or would no longer work, and that â€Å"if we wait for threats to fully materialize, we will have waited too long,† Bush declared in the National Security Strategy a novel â€Å"preemption doctrine† to combat such threats (Speed & May, 2005, pp. 38-49). The Bush Doctrine This doctrine is a set of foreign policy courses of action initially disclosed by President Bush during his commencement speech addressed to the graduating class of West Point on June 1, 2002.When taken as a whole, these principles shaped a comprehensive and novel stage in US policy that stressed military pre-emption, military superiority (what has been known as strength beyond challenge) unilateral action and a dedication towards extending democracy, liberty and security to all regions. Such set of principles was made official in a document called The National Security Strategy of the United States of America, published on September 20, 2002.This doctrine provided the framework for the invasion of Iraq in 2003. The term Bush Doctrine at first referred to the policy formulation stated immediately after the September 11, 2001 World Trade Center assault that the United States would see no difference between terrorists who commit outrageous acts against property and humanity and those people who believe and protect these terrorists. During the invasion of Afghanistan in October 2001, this policy was stridently applied.Even though the Taliban-controlled government of Afghanistan volunteered to extradite al-Qaida leader Osama bin Laden if concrete proofs were given that he was really responsible for the September 11 attacks and also offered to entrust bin Laden to Pakistan where he would be tried under Islamic law, their refusal to extradite him to the U. S. with no preconditions was considered justification for invasion. This principle then connotes that any country that would not ta ke a pro-active position against terrorism would automatically be seen as a country supporting it.In a televised speech to a session in Congress, President Bush recapitulated the doctrine with these very popular words – â€Å"Every nation, in every region, now has a decision to make. Either you are with us, or you are with the terrorists. † Roots of the Doctrine History of the doctrine can be traced back to the Department of Defense when a draft version of the internal Defense Planning Guide principles prepared by Paul Wolfowitz came out, at that time then he was the Under Secretary of Defense for Policy in 1992.As the guidelines were leaked to the press and consequently triggered bitter controversy, President Bush commanded it to be re-drafted which now became to be known as the Bush Doctrine. Debate over the Bush Doctrine In spite of the United States’ position as a world power, the ominous September 11 assault on the American people on American soil and Bushà ¢â‚¬â„¢s declaration of a GWOT depicted more than ever the necessity of taking a new perspective of its global security environment (Zelikow, 2003, p. 19).The Bush Doctrine progressed from a realist selective engagement scheme toward a plan of US supremacy with the motivation and enthusiasm to utilize pre-emptive military might in confronting threats essential to American national security (Dueck, 2004, pp. 523-532). Both liberal and conservative standpoints clashed. The Bush Doctrine instigated an ocean of censure, praises and its own set of disputes, deliberating on its legitimacy and strength as the appropriate strategy for America in the twenty first century.President Bush’s administration chose to take a position toward a NSS of Primacy, utilize preemptive military action to take care of national vital interests, and use a â€Å"coalition of the willing† when UN support was less than expected (Bush, 2002). So much disagreements and deliberations surface at home an d abroad after the release of the September 2002 NSS. The idea of United States dominance push people to be on two extreme sides – advocates strongly believe that the US is a principled and a respectable â€Å"knight in shining armor† and a genuine defender against anarchy and wickedness.Those who intensely oppose refer her as â€Å"the all powerful root of evil† (Foreign Policy, 2002). Very specifically, Bush Doctrine detractors see the use of â€Å"primacy† as an unwarranted speechifying and an unlawful rationalization to employ pre-emptive military strikes when the US conveniently opts for it (Ney, 2004, p. 10). It simply means that the doctrine’s antagonists view it as egotistical, over-belligerent and menacingly intimidating (Kagan, 2004, 65-72). â€Å"By the time the war actually began in March 2003, the Iraq crisis was no longer just the result of transatlantic differences, but a significant cause of them† (Gordon & Shapiro, 2004).â⠂¬Å"Critics point out that the practice of preemption is not new, however turning it into doctrine weakens international norms and encourages other countries to engage in risky actions. Similarly, they argue, American primacy is a fact, but there is no need for rhetoric that rubs other peoples’ faces in it† (Ney, 2004, p. 9). Criticisms Those who have been very cynical of the Bush Doctrine articulate that it is not a principle of pre-emptive war but preventive war. A pre-emptive war is one against an enemy preparing to strike right away. A preventive war is one against an enemy that will pose a danger in the future.Likewise, they consider it a huge problem if American preventive wars might motivate other countries to validate attacks on their enemies as â€Å"preemptive wars. † Apparently, the National Security Strategy warns other nations not to â€Å"use pre-emption as a pretext for aggression† and explains that the â€Å"reasons for [American] actions will be clear, the force measured, and the cause just. † However, critics argue that with this policy, it will be difficult for America to be successful in stopping other countries from using pre-emption to wage war.Another argument from detractors further insist that the doctrine implies that America will do what it chooses without respect and consideration for international organization agreements. This principle, according to them, emasculates the authority of the initiatives of these international groups to confront many global predicaments like slavery, drug-running and terrorism, concerns that are also important to the United States. In like manner, these opponents of the doctrine are fearsome that a willingness to use preemptive military force may turn this â€Å"last resort† scheme into a â€Å"first resort† instrument.By going it alone in the world, American power loses its authority and authenticity and the United States is seen as a tough tormentor and persecutor. Finally, say it isn’t realistic. These critics stressed the fact that it took democracy hundreds of years to set in, develop and become established in Western countries. Societies like Iraq, which have no democratic tradition, cannot be expected to right away form liberal institutions. It is also thought that the costs of nation-building will be outrageously overwhelming.And on the personal level, these opponents of the doctrine think that it is definitely shameful for the US to impose her way of life, most especially the capitalistic system, on other cultures. When is a First Strike Acceptable? For the sake of argument, one accepts to be true that some right of pre-emptive self-defense exist under international law, the next query is how far it can go. Experts on the subject claimed that even if there was a right of striking first, it could only exist when the country affected had no time to take the issue to the United Nations.Based on Article 51, it has been a rgued that â€Å"you have the right of self-defense until such time as the Security Council takes action. And therefore it’s implied that if you have the time to deliberate and to go to the Council before you take pre-emptive action, then you have to go to the Council. † In short, the Bush doctrine was and is obviously illegal. If one considers it closely, there was never an indication or suggestion that Iraq is going to launch an assault at the United States or that any of the countries that potentially fall within the scope of military action validated by the Bush doctrine are immediate threats.Clearly, the policy was aimed at â€Å"effectively closing down dangerous regimes before they become imminent threats† an act which represented a usurpation of the Security Council’s role in global affairs. In the specific case of the United States and Iraq, however, experts did not consider Iraqi actions to pose a grave threat to the United States to justify a p re-emptive attack. As an indication of what might indicate a sufficient threat, there should be evidence that the Iraqi leadership is in possession of some sort of weapon, plus a means to get it to the United States, plus actually intending imminently to do that but otherwise not.The Dangers of Unilateralism It has been asserted that it was intrinsically undesirable for the United States or any other country to take pre-emptive action unilaterally. The difficulty posited by anticipatory self-defense as that of finding a reasonable middle ground between the reductio ad absurdum of two extremes have been depicted, â€Å"If you insisted that a small country wait for a neighbor to attack it with nuclear weapons before responding†¦ everybody would just say the law is an ass.On the other hand, if you have a law which says that any country that feels threatened is free to attack any country from which it feels the threat is emanating, then you don’t have a law at all. † In the case of the United States and Iraq, it has been sketched out what a reasonable interpretation of the law would demand — that the US show other states (starting with the Security Council and NATO) evidence to suggest that Iraq is supporting the use of force by terrorist organizations against a member (or several members) of the United Nations.Without such evidence, â€Å"you probably shouldn’t do it, because everybody is going to assume that you’re acting for other motives. † That would destabilize the international system, because other countries would see the Bush doctrine as a potential threat to themselves. Extending this point to a general principle, analysts say that when there is a rule in international law that had to be interpreted reasonably, as with the right of self-defense, the process by which it was interpreted became more important than the substance of the rule itself.It could not simply be interpreted by a single country, with no a ttempt to persuade other countries of the necessity of its actions. If the process [of interpreting the rule] is an entirely unilateral one, in which the strong do as they will, and the weak have to accept it, then the world is back to the Peloponnesian wars, and certainly most countries would resist that. International Law and the Bush DoctrineAt home and abroad, the doctrine triggered so much alarm because it evidently ignores even the minor respect to international law and collaboration that exemplified Post-Second World War foreign policy until the Clinton administration. From now on, the U. S. might make use of the cover provided by UN resolutions and international coalitions for the sake of expediency, but Bush and his team were openly declaring that the world’s only superpower would do as it wanted without being bound in any serious way by the international community.Between September 11 and the public declaration of the Bush Doctrine, there were many manifestations of the administration’s sweeping condescension for international law. The bombing of civilian areas and the use of cluster bombs in Afghanistan were all in direct violation of the 1949 Geneva Conventions for the Protection of War Victims. Likewise, a blatant infringement of other Geneva Convention provisions is the imprisonment at Guantanamo Bay Naval Base, Cuba, of aliens detained in the war on terrorism.More than six hundred detainees from more than forty nations are at present being held at Guantanamo. These foreigners are declared by the Bush administration to be â€Å"unlawful combatants† and not â€Å"prisoners of war† whose rights are suppose to be protected under the Geneva Conventions but as it is, these detainees have been prohibited from seeing family members or having access to lawyers. The list of incidents where the Bush administration has written off or repudiated support to various agreements with other powers is huge and far-reaching.One good way to recapitulate the approach the Bush administration is taking and its current line of thinking is to say that the U. S. is now organized, equipped and geared up to hold everyone in the world answerable under international law–except itself. Nowhere has this stance been more prominent than in the administration’s policy towards the International Criminal Court (ICC). The ICC has been a major subject of international discussion and negotiation for years and was scheduled to come into existence on July 1, 2002.It will be made up of judges and a prosecutor chosen by the 66 nations that have ratified the 1998 Rome Statute of the ICC and will claim to have jurisdiction over the most heinous abuses resulting from international conflicts (Keach, 2003). Right or Wrong Strategy? Evidently, the Bush Doctrine is an exceedingly audacious plan. However, it is hideously inconsistent and faulty. Some of the flaws are: †¢ International support almost zero. These guidelines will b e confronted with a high degree of opposition from the global community which implies that it will also be the end of open cooperation to stop terrorists and all forms of terrorism.It cannot be denied that global unity and collaboration is a great necessity in order to effectively hunt terrorist leaders and bring them to justice. With the kind of opposition the US is getting and the type of psychological and emotional level the global community is in, that ability to obtain cooperation is in danger. †¢ There is too much to loose economically. Or a poetical way of saying it is – the war may have been won but along the way, peace is lost. Obviously, economics was behind the the West’s great triumph during the Cold War.The US’s consecutive principles of containment permitted wealth and success in the face of peril. It is common knowledge that the US’s high technology and affluence facilitated her to obtain increasing levels of superiority over the USSR. With the Bush Doctrine, the threat of ‘hot’ wars with small nations of insignificant power over a long period of time has and will persist to gravely damage the United States and global economies. Economic catastrophe can and will create problems in states the US formerly had no reason to be afraid of.†¢ US military cannot fight and win clean victories against these opponents. As the Russians found out in Grozny, urban warfare is not even remotely similar to the clean open air victory we fought in the first gulf war. Further, the other foes we may fight are much more difficult, particularly N. Korea. The collateral damage in that situation would likely be massive. Conclusion The Bush administration's language of preemptive strikes, regime change, and anticipatory self-defense, simply present euphemisms for raw military aggression and belligerence.Critics claimed the new â€Å"strike first, ask questions later policy,† and hostile unilateralism are hazardous legitimating of preemptive strikes. Israel, Pakistan, Russia, China, and smaller powers had already made use of the so-called Bush doctrine and â€Å"war against terrorism† to legitimize assaults on domestic and external enemies and there were big possibilities that it could escalate into bigger conflicts that will definitely make the world an extremely volatile and vicious place to live in.â€Å"A global strategy based on the new Bush doctrine of preemption means the end of the system of international institutions, laws and norms that we have worked to build for more than half a century. What is at stake is nothing less than a fundamental shift in America's place in the world. Rather than continuing to serve as first among equals in the postwar international system, the United States would act as a law unto itself, creating new rules of international engagement without the consent of other nations. In my judgment, this new stance would ill serve the long-term interests of the United States† (Galston, 2002).In the book Rogue Nation: American Unilateralism and the Future of Good Intentions, Clyde Prestowitz (2003) asserts that Bush’s doctrine of preemptive strikes and military supremacy emasculates three primary towers of strength as far as international order and stability are concerned – 1) the 1648 Treaty of Westphalia which recognized and established a principle of respect for national SV and noninterference in the affairs of other countries; 2) the UN Charter that disallows the threat or use of military force except in self-defense or under the authority of a UN Security Council mandates; and the 3) Nuremberg Trails which considered preemptive strikes a war crime. In addition, this doctrine of preemptive strikes could give free rein to a sequence of terrible wars that could thrust this planet into a dreadful and nightmarish militarism and totalitarianism vividly depicted in George Orwell’s 1984. The Bush principle is an extremely barbaric policy, bringing the international community to a social Darwinist battleground where years and years of international law and military discretion were set aside in possibly the most perilous foreign policy doctrine that had ever surfaced in American history.It foretells a militarist future and a period of eternal war in which a new militarism could create a succession of interminable bloodshed and reprisals, such as the case in the Palestine-Israel conflict (Vidal & Gore, 2002 / 2003). References/Readings Bush, G. W. The National Security Strategy of the United States of America Washington, D. C. : The White House, 17 September 2002 Zelikow, P. 2003. â€Å"The Transformation of National Security. † The National Interest. Vol. 71 p. 19. Dueck, C. 2004. â€Å"Ideas and Alternative in American Grand Strategy, 2000-2004,† Review of International Studies. vol. 30, pp. 511, 523-532. . Ney, J. S. 2004. â€Å"US Primacy Is Fact-So, Now, Work on Soft Power of Persuasion. † Christian Science Monitor. p. 10. Speed, R. & May, M. 2005. Bulletin of Atomic Scientists. Vol. 61, no. 2, pp. 38-49 Kagan, R. 2004.â€Å"America’s Crisis of Legitimacy. † Foreign Affairs, vol. 83, II, pp. 65-72. Gordon, P. & Shapiro, J. 2004. Allies at War America Europe and the Crisis Over Iraq. New York: McGraw-Hill Smith, J. W. 2003. World wars: Battles over who decides the rules of unequal trade, economic democracy: The political struggle for the 21st Century. 3rd Edition Whittaker, D. 2003. The terrorism reader. London; New York: Routledge Bush, G. W. 2002. â€Å"Graduation Speech at West Point†, the White House, 1 June, http://www. whitehouse. gov/news/releases/2002/06/20020601-3. html Keach, B. 2003. â€Å"International Law: Illusion and Reality. † International Socialist Review, vol. 27

Tuesday, July 30, 2019

Habeas Corpus and the War on Terror Essay

In this paper I will be diving in to the history of Habeas Corpus and how it has evolved over the years. I will briefly explain the origination of the habeas corpus, the role it plays in U. S. A and what current action is being taken about it. I will be also looking in to the Bush administration and the way they dealt with habeas corpus. The original purpose of habeas corpus â€Å"was to bring people into court rather than out of imprisonment† and by the year 1230, the writ’s utility for that purpose was a well-known aspect of English common law. Known as â€Å"the Great Writ,† its codification into English law came by way of Parliament in the Habeas Corpus Act of 1641, created in response to the King of England’s actions during what is now referred to as Darnell’s Case. In Darnell, five English noblemen were thrown â€Å"into the castle’s dungeon deep† for failure to support their country’s dual wars against France and Spain. The men filed suit, requesting the King provide an explanation as to their imprisonment. King Charles refused, on review; the court upheld the monarchy’s steadfast silence, stating that the law did not require the King to provide any justification for their detention. The public outcry against this decision was deafening, prompting Parliamentary action the following year. Parliament expanded habeas rights several years later with the Habeas Corpus Act of 1679, additionally requiring â€Å"charges to be brought within a specific time period for anyone detained for criminal acts. † By 1765, habeas corpus was firmly imbedded within the foundation of English law, as noted by William Blackstone, who described the Great Writ as â€Å"a second magna carta, a stable bulwark of our liberties. This fundamental English right successfully traversed the Atlantic Ocean when our founders incorporated the doctrine of habeas corpus into the U. S. Constitution. As stated, â€Å"The privilege of the Writ of Habeas Corpus shall not be suspended, unless when in Cases of Rebellion or Invasion the public Safety may require it. Known as the â€Å"Suspension Clause,† this provision specifically places the ability to suspend habeas corpus in the hands of Congress only during times of rebellion or invasion. Despite the clarity of the clause, the American debate on habeas corpus only begins at this point. The ‘Great Writ’ of habeas corpus has long had an iconic status as the ‘writ of liberty’ which ensured that no person could be detained in prison without being put to trial by a jury of his peers. According to the traditional version, popularized by Whiggish constitutional writers from the late seventeenth century onwards, the English constitution as embodied in the common law had, since time immemorial, striven to protect the fundamental rights of Englishmen and women, which included the right to personal liberty obban, M. & Halliday, P. D. (2011). Habeas Corpus is an ancient common law prerogative writ – a legal procedure to which you have an undeniable right. It is an extraordinary remedy at law. Upon proper application, or even on naked knowledge alone, a court is empowered, and is duty bound, to issue the Extraordinary Writ of Habeas Corpus commanding one who is restraining liberty to forthwith produce before the court the person who is in custody and to show because why the liberty of that person is being restrained. Absent a sufficient showing for a proper restraint of liberty, the court is duty bound to order the restraint eliminated and the person discharged. Habeas Corpus is fundamental to American and all other English common law derivative systems of jurisprudence. It is the ultimate lawful and peaceable remedy for adjudicating the providence of liberty’s restraint. Robertson. J, (2002). After the attacks of 11 September 2001, came the war in Afghanistan followed by the war in Iraq: a two-pronged engagement collectively known as the Global War on Terror As U. S. rmed forces captured enemy combatants by the M35 truckload, the Bush administration pondered how to systematically detain such persons in a manner that would provide adequate detention while maintaining intelligence-gathering capabilities vital to the war efforts. The answer was found on the island of Cuba: Guantanamo Bay. U. S. naval forces have occupied this site since 1903, and it seemed to provide the perfect solution. Relying on the Court’s previous precedent in Johnson v. Eisentrager, govemment officials believed that keeping enemy combatants outside the realm of U.  S. territory would preclude such individual’s filing, among other things, claims for habeas corpus review. The govemment’s legal position was tested almost as quickly as the detainees arrived. Beginning in 2002, the United States transported captured enemy combatants to the area of Guantanamo Bay known as â€Å"Camp X-Ray. Applications for writs of habeas corpus by Guantanamo detainees were made as early as February 2002. In Coalition of Clergy v. Bush, the U. S. District Court for the Central District of California first approached this issue in line with govemment expectations. Relying on Johnson v. Eisentrager, the court held that several U. S. citizens under the â€Å"Coalition of Clergy, Lawyers, and Professors† who had filed â€Å"show cause† petitions on behalf of enemy combatants held at Guantanamo Bay lacked â€Å"standing to assert claims on behalf of the detainees. † The court further concluded that, â€Å"even if petitioners did have standing, this court lacked jurisdiction to entertain those claims. Moreover, the court found that no federal court would have jurisdiction over petitioners’ claims, so there is no basis to transfer this matter to another federal district court. Because Guantanamo Bay remained outside U. S. sovereignty, the case closely mirrored that of Eisentrager As a result, the United States failed to maintain jurisdiction and the court dismissed the petition. In response to the terrorist attacks of September 11, 2001, Congress passed the Authorization for Use of Military Force which grants the President power â€Å"‘to use all necessary and appropriate force'† against all who either participated in any way in those attacks or gave refuge to those who participated. Under this authority, the Department of Defense ordered several â€Å"enemy combatants† to be transferred to Guantanamo Bay for detention. In Hamdi v. Rumsfeld, a plurality of the Court recognized that the ability to detain individuals engaged in armed conflict against the United States was â€Å"so fundamental and accepted an incident to war as to be an exercise of the ‘necessary and appropriate force’ Congress has authorized the President to use. Notwithstanding this explicit sanction of detention, the Court held that the â€Å"citizen-detainee seeking to challenge his classification as an enemy combatant must receive notice of the factual basis for his classification, and a fair opportunity to rebut the Government’s factual assertions before a neutral decision maker. † The Court suggested that this could be done â€Å"by an appropriately authorized and properly constituted military tribunal. † Pond, B. C. (2009). The rationale for the U. S. detention policy derives from the Bush administration’s comprehensive military order issued on November 13, 001, which is intended to govern the â€Å"Detention, Treatment, and Trial of Certain Non-Citizens in the War against Terrorism. † Purportedly modeled after a proclamation and military order issued by President Franklin Delano Roosevelt during World War II, President Bush’s military order limits the use of military commissions to any non-citizen for whom the president determines: is or was a member of al Qaeda, has committed, aided or abetted, or conspired to commit terrorist acts, or has knowingly harbored one or more of these individuals. Several months after the issuance of this military order, the administration began using the term â€Å"enemy combatant† to describe those subject to detention and trial by military commission. The administration’s definition of enemy combatant, however, has varied over time. The administration sometimes uses the â€Å"enemy combatant† label as a term of art to describe a new and unique category of combatant in the post 9/11 world. On other occasions, the administration uses the term generically to describe what traditionally has been called lawful and unlawful combatants, while at other times the term is used synonymously with unlawful combatants. According to this definition, the term â€Å"enemy combatant† is not limited to war combatants alone, but includes anyone who has aided terrorist organizations fighting against the United States, including those who may have unwittingly given financial support to al Qaeda. The Joint Chiefs of Staff issued a slightly different definition of â€Å"enemy combatant† on March 23, 2005. According to Joint Publication 3-63, entitled â€Å"Joint Doctrine for Detainee Operations,† the term enemy combatant describes â€Å"a new category of detainee† and â€Å"includes, but is not necessarily limited to, a member or agent of Al Qaeda, Taliban, or another international terrorist organization against which [the] United States is engaged in an armed conflict. † Staab, J. B. (2008). Conclusion The premise behind habeas corpus as stated is to bring people into court rather than out of imprisonment. However in my opinion, during the Bush administration, they found a way around this law so as to not have to give a trial. While I want justice like the next person, I would not like to be in a situation where I am being held under the pretence that I a criminal without evidence or a trial. I am not saying that the people held were/are innocent, but I can’t help but to think we cannot be sure. I think that capturing these people were also done out of revenge and thus not urging anyone to think of their right. The 9/11 attack was gut ranching and frankly something I never want to experience again, so I do understand the need to talk less and carry a big stick. From an honest stand point, after 9/11 I was scared to do anything, while I am of no Middle Eastern decent, I look like an Indian person from India, that meant no one ask you where you are from when they look at you suspiciously. Even with all the rights I have in the U. S. A if I was suspected of being suspicious and someone higher and more powerful said that I had dealing with terrorists activities, no one will honestly believe me because of the way I look. Bring me to my point that without a trial we cannot tell for sure of the people being held in Cuba was innocent or guilty without a trail.

Monday, July 29, 2019

Market Analysis and Manufacturing Plan Essay Example | Topics and Well Written Essays - 1000 words

Market Analysis and Manufacturing Plan - Essay Example 50% of the respondents were of the view that they consider it most important if they have the ability to track their cargos around the world. Similarly, 50% of the respondents also believe that they must also have the ability to know if their cargo has been taken off course during transit. Further, 15 respondents also showed their willingness to pay as much as $600 if a hardware unit is provided to them which can interface with their cargos to provide them real time location and other information (which has been sought in questionnaire). Further questions were asked as to what other services are required if hardware is provided and what cost. Most of the respondents agreed to avail a bundled package which offers hardware as well as other allied services to avail such facilities. Our analysis, based on the survey responses, suggest that at least 50% of the market is willing to have such a technological backing to help them to track their cargos during the different phases of its transit. Thus there is a great market need for at least the basic facility of providing hardware support to different potential buyers in the market who are willing to use better control over their cargo during its transit in order to minimize the losses. It has also been observed that a base price of $600 will be an acceptable proposition for our product for sale in the market. The price figure has been decided after respondents our survey showed their willingness to pay that much amount for basic services. The base price of $600 is also fair in nature because of the fact that it is just below the average price which industry buyers are willing to pay. Since our firm will be potentially engaged into B2B marketing therefore considering the higher bargaining power of customers, our market analysis suggest that a base price of $50 per month would be a fair quote for monthly subscription. This price is also below the mean therefore we consider it a fair price to charge. It is also important to note that we have accounted for the inherent risk in the survey method of conducting primary research therefore a +/- 5% or 95% confidence level is assumed while analyzing the data from questionnaire. Overall, we believe that there is enough demand for this type of product and considering the various uses of ATM, this market can offer better diversification opportunities also in order to control and minimize the overall external risk. Manufacturing Plan Our market need analysis suggest that there is an strong demand for ATM systems and market is willing to bet $ 600 for each unit to be sold to them therefore based on this healthy and positive assessment, following section will present the manufacturing plan for the product. It is however important to note

Sunday, July 28, 2019

Right to life, Liberty and Pursuit of Happiness Essay

Right to life, Liberty and Pursuit of Happiness - Essay Example 1. Introduction. This paper highlights the various groups whose rights to life, pursuit of happiness, and liberty are breached. It describes these groups and provides a solution on how to ensure their rights are not breached. Theses Statement: In United States of America who still do not enjoy the right to liberty, life and pursuit to happiness, and they are gays and lesbians, death row convicts, and immigrants (Hispanics/ Latinos/ and African Americans). 11. Gay and Lesbians. Gays and Lesbians are discriminated upon in terms of their right to liberty and pursuit of happiness. This section looks at the defense marriage act of 1996, and how it affected the rights of the gay people. This section also looks at the efforts of the civil rights groups in protecting the interests of this vulnerable group. 111. Death Row Convicts. Death Row conflicts are denied the right to live. This section looks at the case laws that established the penalty, and the constitutional requirements. It depicts the ways of ensuring that this sentence is abolished in the member states of the Federation. IV. Hispanics/ Latinos/ African Americans These groups of people are discriminated upon in terms of employment and access to social facilities such as decent housing and education. This denies them the right to pursue happiness. It identifies the various ways of solving their problems, and ensuring that they are accepted within the society. V. Opposing View Points. It identifies the viewpoints of other researchers in relation to the groups of people whose rights to life, pursuit of happiness and liberty are breached. It identifies and explains the roles of the civil rights act of 1968, and the fair housing act in protecting the rights of these vulnerable people. VI. Counter Arguments. This section highlights my opinion concerning the observations of this group of people. VII. Conclusion. This part contains a summary of the main points addressed in the essay. Introduction The declaration of independence gives out the reasons as to why the people of North America sought independence from the British. The document was written by Thomas Jefferson, and it denotes that there are certain human rights which are not negotiable, and they include the right to liberty, pursuit of happiness, and the right to life (Jefferson and Sam, 31). The document further states that it is the duty of government to protect these rights, and failure to do so, people must overthrow the same government. In defending this assertion, the thirteen states of North America formed a constitution in 1787 that guaranteed these rights to its citizens. Despite advances in this area, there are other people in United States of America who still do not enjoy the right to liberty, life and pursuit to happiness, and they are gays and lesbians, death row convicts, and immigrants (Hispanics/ Latinos/ and African Americans). Gay and Lesbians Same sex marriages has experienced a lot of debate in United States of Ame rica, with some States enacting laws in recognition to the marriage, while others do not recognize such kind of a marriage. The American constitution under article IV, section 1, denotes that the Federal government has to respect the judicial proceedings and laws of the member states of the federation. Because of this clause, the United States Federal government recognizes various marriage practices conducted by the State governments, however in 1996, the United States Congress passed the defense of marriage act (Jefferson and Sam, 35). It gave the Federal government authority not to recognize same sex marriages, even if the marriage occurred in a State whose laws permit it. On this basis therefore, this law prevents people from enjoying their rights to liberty and pursuit to

Saturday, July 27, 2019

Field of project management and how it relates to the Project Research Paper

Field of project management and how it relates to the Project Management Maturity Model - Research Paper Example Typically, as it has always been the norm, project management works efficiently when the direction and the scope of the project is well depicted and understood. Additionally, the process of project management works effectively when all the stakeholders reach a mutual consensus on aspects of objectivity and expectations. Equally important in project management is the need for a thorough understanding and assessment of the risks involved. All these benchmarking features in project management become achievable when the probability of success is assumed to be equally high. However, different companies no longer align themselves towards the above stated guidelines in the process of project management. Nowadays, different companies are undertaking different approaches towards the project management. Many reasons can be attributed to the shift from traditional project management approaches. One of the reasons in this paradigm shift is that more and more projects are becoming highly complex and hence require technical capabilities in order to achieve success. ... The rising costs, global economic disparities and competition within the market players continue to drive many companies to take more risks. Changes in project management have undergone significant milestones with regard to the entire practices as more industries embrace the art. However, a notable observation is that these companies share similar accomplishments with other companies during the benchmarking activities. One of interesting areas in project management is the project management maturity model, which is a vital component in strategic planning (Kerzner 45). Project management maturity model abbreviated as PMMM, can be elucidated as the foundation in achieving excellence in project management. Project management maturity model is a fundamental component of strategic planning that is significant in achieving distinction in any organization. By incorporating strategic planning in the project management maturity model, organizations are in a position to shorten the time frames of the entire project management. Strategic planning in project management is quite dissimilar from other variants of strategic planning. This is because it is an activity that is performed at the middle-level of management as opposed to the executive management. The executive management only comes into play in a supportive role and also in the provision of funds. The executive management ensures that all the recommendations made by middle level management do no result in unnecessary changes to the corporate culture (Kerzner 928). Many organizations are inclined in performing strategic planning on new services and products by laying out a well thought plan before execution. In project management, strategic

Accounting for the success of 'Pinot Grigio', 'Prosecco' and 'Brunello Essay

Accounting for the success of 'Pinot Grigio', 'Prosecco' and 'Brunello di Montalcino' - Essay Example Pinot Grigio, Prosecco, and Brunello di Montalcino are Italian wines that are enjoying the success of their sales across the globe (Robinson 2006). This paper will account for the success of these wines, and how they sustain growth in the region they originate and outside world. Wine lovers always consider the vintage and type of wine they need to purchase. These are some of the reasons that some of the new wine does not get the success they so wilfully wish for, when it comes down to sales. The exportation of wine may be a number one revenue earner for some of the European countries. In France, for example, the number of cases of wine exported to countries like the USA and Russia in a year may amount to a high number of its revenue. This is why the importation of USA wine back in the day saw the destruction of property and the burning of shops. This was to ensure that the only sold wine in the area came from France. Pinot Grigio is a grape that is accredited with the success of the white wine. It is readily available in Italian restaurants, and is often considered light and easy. Young wine enthusiasts find it easier to connect with the white wine as it is the go-to wine for everyone who fancies a drink with their meals. In the USA, Pinot Grigio is considered to be the second best wine. It only plays second fiddle to Chardonnay, and is the most imported wine in the region. It is considered a symbol of the evolution or the beginning of the United States as a wine drinking capital (Maroni 2012). The sale of the wine has increased over the years as people are now changing from the occasional one-drink for special occasions, to the everyday dinner drink. It is this change that attributes the success of the wine commercially. An increase in consumer base, for any product, means that there must be an increase in sales. Manufacturers, therefore, have to be up to the task of trying to

Friday, July 26, 2019

Building Social Business Essay Example | Topics and Well Written Essays - 750 words

Building Social Business - Essay Example "Social business" develops self-sustaining g and practical perspectives to business units with the capacity of improving the economic growth by combining the profit-making concept of business with the provision of goods and services which satisfy the needs of their target markets. Muhammad Yunus demonstrates how the concept of "Social business" has moved from just a theory to practical application in top corporations, business empires, and entrepreneurs. Professor Yunus illustrates how social business holds the potential to transform the enterprises and achieve free-market enterprise. The book has its strengths. Professor Yunus presents the book in a very easy to read mode. Even though he is a professor, he does not write in the technical language which allows people to read and comprehend the book with ease. Although the concept of social business has been considered by other people before him, he presents the concept very vividly by illustrations examples and demonstrations. He also devotes more pages in narrowing down the definition of the concept of social business by presenting new forms which are different from the definition it had acquired earlier. His new definition takes into consideration economic organization which connects commercial and financial objectives of the business with the ethical, social and environmental objectives. I found much strength in this book, especially where he presents the strategies of how business starting up can develop and progress in prosperity. His style of writing is motivating to read. The information presented in brought to the reader’s direct environment by presenting concrete examples which are directly linked to the reader’s environment. He uses such examples to present his ideas and insights while tactfully tackling the illustration of areas of application of social business in the real business world. He tactfully stresses the need for speed, planning, reevaluation measures and proper recognition of one’s target market.  Ã‚  

Thursday, July 25, 2019

United States Court System Research Paper Example | Topics and Well Written Essays - 1500 words

United States Court System - Research Paper Example In spite of the belief that the adversarial system is a contest between two rivals, in reality a complex system of collaboration between judges, prosecutors, and defense lawyers is usually present. In the U.S. court system, members of the courtroom work team create guidelines about how specific kinds of cases must be dealt with and what type of petitions is legitimate for particular kinds of offenses (May et al., 2007, 159). At present, the United States implements a dual system of state and federal courts that often work autonomously, even though state cases are often petitioned to the federal courts. The dual court system developed from the belief of the founding fathers that every state has to have substantial judicial sovereignty and legislative power (Cole, Smith, & DeJong, 2012, 105). The federal court system emerged after the nation gained its independence from England. The existing federal court system emerged as a concession between the founding fathers who preferred a powerful federal government and those who supported the rights of the states with a restricted federal government. At present, there are several independent court systems in the United States. Even though some American Indian communities and the military have their own court systems, the general U.S. court systems are the state court systems and the federal court systems (May et al., 2007, 161-162). Figure 1. Structure of the federal court system (May et al., 2007, 162) Even though state court systems emerged with almost no interaction with other states’ court systems, the state court systems that ult imately progressed noticeably resemble one another in structure and organization. Almost all court systems at present are structured in a hierarchical way (Cole et al., 2012, 363). The first major characteristic to remember when looking at state court systems is the difference between courts with appellate jurisdiction and courts with original jurisdiction. Because cases come from them, trial courts are usually called ‘courts of limited jurisdiction’. These courts handle cases of misconduct or less serious offenses, cases of small claims, family disputes, and traffic disobedience. These courts seldom conduct jury trials and rely greatly on the judge for the final resolution (Neubauer & Fradella, 2010, 95). Courts of general jurisdiction handle both felonies and misconduct cases and function as a round-table for major civil actions. Courts of general jurisdiction, in numerous states, facilitate the first appellate level and give the accused who came from a court of limit ed jurisdictions the opportunity to open up another trial. These courts employ prosecutors, defense attorneys, witnesses, juries, and all the other players usually connected to American courtrooms (Walston-Dunham, 2008, 147). These courts are more formal than courts of limited jurisdiction. They operate under the adversarial framework. The intermediate appellate court level—court of appeals-- is the subsequent level in state court systems. The main task of these courts is to evaluate petitions that came from resolutions given in the courts of general jurisdiction. The topmost court level in every state system is the court of last resort—the Supreme Court (Cole et al., 2012, 364-365). A petition can progress no further after the Supreme Court gives

Wednesday, July 24, 2019

BUS 401 CA MOD 2 Essay Example | Topics and Well Written Essays - 500 words

BUS 401 CA MOD 2 - Essay Example Starbucks, being an international firm might consider factors like geographical variances, cultural differences, regulations of host countries, and market conditions as they intend to export the business to foreign regions. According to Pahl (6), selection of business area, scope of business place, ways to attract customers, and speed and accuracy of business moves etc, are the inevitable factors that an international company should take into consideration while planning to expand its business to new regions. As Starbucks had increased its business areas by launching a number of subsidiaries globally it faced the risk of exposure. Eventually, the company reduced its subsidiaries in USA and exported the business to China. The decision was appropriate that made Starbucks coffee one of the most popular coffee brands among the Chinese people (Fowler). Moreover, Starbucks’ downsizing in the USA and the new Chinese focused business brought remarkable changes in their financial reports. â€Å"The company’s net profit for fiscal year 2008 plunge 53 percent from 2007 to 315.5 million US dollars† (China Daily). More than 70% of the Starbucks’ business is spread in China; and subsequently, the lion’s part of its revenue is derived from the same market. Starbucks had its own unique strategy to enter the Chinese market. For instance, they undertook social responsibility programs as one of their entry level tactic including many charitable works favoring Chinese soci ety. Therefore the Chinese government affectionately welcomed Starbucks’ project home. However, the advent of Starbucks caused the peril of several traditional Chinese industries that prompted the government to initiate certain regulations to control Starbuck’s business operation in China. Therefore, Starbucks declared a $5 million educational program for the well being of the new generation. The Starbucks constituted a committee consisting of Starbucks executives and Chinese

Tuesday, July 23, 2019

Electronic commerce and application Assignment Example | Topics and Well Written Essays - 1750 words

Electronic commerce and application - Assignment Example This paper explores the existing debate between first-mover and follower firms to study the impact of each of them. The synthesis of the existing literature points out that the first-mover advantage in e-commerce comes from both the customer and the producer side. It has been documented that the first-mover firms have an opportunity to obtain greater knowledge about customers and securing their trust. Works of researchers like Reichheld and Schefter (2000) had comprehensively pointed out the advantages that accrue to the producers on account of FMA. Another recurrent factor in the academic discussions is the higher market share that results from the FMA. They suggested affiliate relationships, establishing partnership with major portals and increasing access to financial resources as the major advantages (Barney, 1991). One of the major examples of firms using e-commerce for growth is Netflix which has introduced features like personalization tools and recommendations systems as a useful mechanism to differentiate between customers in the rental business. Similarly, e-bay had also banked on the e -tailing technology to rapidly expand its set of buyers and sellers. Despite the advantages that can be earned from the FMA, several researchers have also shown that follower firms can also gain a number of advantages by replicating the efforts of the leading firms (Suarez and Utterback, 2007). For instance, the research of Golder and Tellis (1993) had shown that late movers can easily become free riders on the first-movers allowing them to obtain similar knowledge regarding buyer education and enhanced security in transactions. Other researchers like Suarez and Utterback (2007) have shown that late movers can have additional advantages as the market uncertainties and technological drawbacks are removed by the time they enter. Finally, factors like customer satisfaction and customer needs can only be comprehended after a certain time span has elapsed proving

Monday, July 22, 2019

Psychological Perspectives of Understanding Essay Example for Free

Psychological Perspectives of Understanding Essay Introduction This booklet will introduce you to the main psychological perspectives to the understanding of a child’s behaviour development. Each perspective will be described in as much detail as possible, and the theorist that are linked to them. The main perspectives are; * Psychodynamic * Freud * Behaviourist * Skinner * Cognitive * Piget * Humanist * Rogers, Maslow, Cooley and mead * Social learning The psychodynamic perspective This perspective is very much based on the early work of Sigmund Freud. It is believed that behaviour is made from a child’s subconscious feelings, which all come from life experiences. It is viewed as a child’s problem as an outward and visible symptom of invisible conflicts. All the conflicts may come from trauma, loss, or from a strained/troubled relationship with parents or carers. Children do not have any inner resources that help them understand their feelings completely so they may be shown in inappropriate and difficult behaviour. Sigmund Freud said that â€Å"when a child’s too painful or too difficult feelings are left untalked about, they leak out in difficult and challenging behaviour or in neurotic symptoms.† The source of a painful feeling is buried under a defensive mechanism that is very hard to find in a child; because of this most children do not understand why they are behaving this way. A psychodynamic assessments are always carried out by psychiatrist as they use techniques that are designed to provide an insight into their past. To do this they use the response of the child to make inferences about sub-conscious motives for behaviour. Once they have understood the child’s behaviour the psychologists will start an intervention which will help the child express their feelings instead of it coming through their behaviour. These can be done through the following;  * Build a supportive relationship with a significant adult * Help the child to talk about what they are feeling in an secure environment * Express painful feeling through drama, storytelling, play or cartoons The behaviourist perspective This perspective is based from the work Skinner. It was said â€Å"Law of Effect† is the behaviour that leads to strengthened behaviour which is ignored or unsatisfying which is all weakened. Behaviourists claim that all behaviour of children are learned and can be changed by systems, such as rewards or punishment. There are two types of rewards behaviourists use, these are informal and formal. * Informal – acknowledgement or praise * Formal – clear targets for example stickers, tokens or points which all then lead to bigger rewards. The behaviourists also claimed that the behaviour requires a scientific approach which is completely based on objectivity and experimentation. The methods they were use were considered to be unscientific, so instead it was all placed on observations on their behaviour rather than a searches for the cause of the behaviour through the child’s past. Behavioural assessments in schools involve observation and recording of a child’s behaviour. When they are observing it is all taken down on an observation checklist, which includes the following titles; * Antecedent * Behaviour * Consequences All this is then used to form a baseline for a post-intervention can be assessed. The Cognitive perspective This perspective shows how a child’s develops understanding what is around them. This refers to different mental activities such as; * Listening * Speaking * Learning * Understanding All the theories of cognitive development concentrate on developments of  their intellectual skills. All the skills that we have are the ones that have been learnt through cognitive development. If none of the children have cognitive skills then they wouldn’t be able to put past experiences or plan future events, cognitive development is very much concerned with how the mental processes work and develop. There were two psychologists who studied cognitive development, there name was Jean Piaget and Lev Vygotsky. Jean Piaget was a psychologist who looked at a child’s developing their reasoning skills. Piaget carried out detailed observations of them and as his work started taking shape on how our understanding a child’s intellectual skills and as a result of this he has made changes in education. Piaget understood that cognitive developments occurred in stages, his research concentrated on how children learn and start to gain an understanding of their stage of development to be able to learn new concepts. He identified a four-stage process of cognitive development all the way through childhood. He stated that every child would go through each stage but not at the same time, but he also said that some children would sometimes never reach the later stages. The four stages are; * Sensorimotor stage (0-2 years) * Children at very young ages start to learn by their own activity and movement. Everything babies touch or see they put into their mouths or hold them tight and they examine them closely. A child develops an understanding through something called schema. Schema is a mental construction which contains all the information a child has about a particular aspect of the world. * Pre-operational stage (2-7 years) * At this stage children start to show evidence of thinking but it’s not logical thinking, they are not able to perform mental operations. Children will start to use symbolic behaviour such as pretend play, language and drawings. * Concrete operations stage (7-11 years) * At this stage children are able to understand any ideas in a much more logical way but they sometimes still find it hard to understand concepts. * Formal operational stage (age 12 to adult) * At this stage children are able to think in a way which is more abstract and logical way, they can use reasoning skills; they are applying a general principle to a particular situation. Children are more flexible in the way they think. There are two people who have been highly interested in cognitive styles of therapy. Aaron Beck and Albert Ellis, Aaron Beck has used methods of cognitive behavioural therapy to treat many people who have or are suicidal, depressed or may have personality disorders. Whereas Albert Ellis looked at the different ways to change their behaviour my using methods of Rational Emotive Behavioural Therapy, he used this to show his patients that their feelings were results of different habits by conditioning rather than being realistic. Therapists that use this approach use training and role-play techniques to modify their behaviour. The humanist perspective This perspective makes positive aspects of development and growth, this emphasises a person’s unique experiences to a personal thoughts. There are four psychologists that are specialised in this perspective, these four are; * Carl Rogers * Rogers developed the concept on self-esteem. According to him everyone has an idea of what someone’s ideal self should be. He believed that if your image of your self is the same as your ideal self then you have good self-esteem. Rogers said that the development of self-esteem all depends on positive regard from others, the effect of a child’s self-esteem will come from their parents’ unconditional love and affection. Children will start to cope with different situations as they get older, for example a sense of achievement or failure in either sports or their educational skills. Rogers also considered cultural factors, gender and physical attributes to come to his conclusion. * Abraham Maslow * Maslow’s theory is based on individuals that are being motivated through seeking to develop through five levels of need. The most basic needs are physiological which are survival instinct, which is then followed by safety needs, belonging and loving needs, self-esteem needs and at the very top is personals achievements and growth. * Cooley * Cooley proposed â€Å"looking glass† theory, which means that the behaviour from children to others acts like a looking glass which gives us a reflection of ourselves. It raises people’s self-esteem. * Mead * Mead had the view that everyone has two aspects â€Å"I† and â€Å"me†. This means that â€Å"I† is the social responses of individual and â€Å"me† being the responses and attitudes of others. It was important of the communication with others for the development of self-esteem. The Social learning perspective Social psychology looks at aspects of development such as behaviour such as being in a group, leadership, non-verbal behaviour and aggression. The social perspective looks at the environment, interactions with others that have influenced the child’s behaviour and attitudes. Bandura theory emphasises on the environment and the social steps of learning. His view is that it would be part of a child’s self development, is what they have observed and imitated from people around them.

Faust and Job Essay Example for Free

Faust and Job Essay While he was yet speaking , there came also another, and said, The fire of God is fallen from heaven, and hath burned up the sheep, and the servants, and consumed them; and I only am escaped alone to tell thee† (Bridge Builder’s Bible, Job. 1.12-16). Job loses his possessions, his children,and he suffers health wise. He becomes very ill, but no matter what life brought him he still remained faithful to God. Job could have easily given in as Faust did. In this life we have choices to make whether they be good or evil. We must suffer the consequences for every wrong deed we choose. It takes a strong will power to be determined to do right like Job. Faust believes there is a narrow limitation on the world in which he have been living until he interacts with Mephistopheles. Faust feels he knows enough about philosophy and heros of old legends. He now recalls for a divine law that proves that this action is the ruling force of the universe. This pact deal that was made was set up to fail Faust. Faust did not believe in a heaven or hell, which means he is betting his life rather than selling his soul. In Faust’s mind he is not sure if a eternal life even exists. If he gave up the world that he was living in he really felt that he would be just giving up something that dissatisfied him any way. Faust’s desires is not so much an evil one, but the idea that he has made this pact deal with the devil brings on many concerns about this decision he has made. The devil is unsure of his own ability to fulfill all the request that Faust made to him. However, the devil accepts these challenges and make sure the pact deal is signed in blood. Faust is very eager at this point to taste all the aspects of life that he thinks he have neglected. Although at first Faust rejects the offers made by Mephistopheles, he still ends up given in to this temptation. Faust should have kept his belief when saying, â€Å"the world’s pleasures cannot end his doubts or satisfy his needs† (Cliffnotes:Faust study iii). Faust is being taking advantaged of because Mephistopheles knows Faust’s weaknesses. He knows that Faust is striving to understand the universe and his place in it, while Mephistopheles has something totally different in mind from Faust. Faust just happened to be at the crossroads in his life. He was a very well-esteemed man and an intelligent scholar who was highly looked on. The book of Faust came out during the eighteenth centuries, so attitudes then may have had an impact on how people, in particular Goethe may have viewed life. During that time attitudes were focused more toward earthly life and beyond. Looking at Faust attitude compared to Job’s, I see that Job was strong while Faust was weak. I find them to be different from each other just by viewing who gave in to this trick. It is plain to see that Faust gave in and Job stood his ground. It means a whole lot when someone can stand their grounds and not be moved by nothing in this world. Job’s world was in turmoil, but this did not interfere with his faith nor the confidence he had. Satan was concerned with getting souls that he can keep for eternity. He used any tactics he could to seduce Faust. The Devil offered earthly things to blindfold Faust. The Lord did let Mephistopheles know that when he grants him permission to engage in Faust’s life, Faust will be fully aware of the righteous path, whether he chooses it or not. I believe at this point Faust is beginning to see Mephistopheles for who he really is. I had came to this conclusion personally when I read these lines: â€Å"Your real being no less than your fame Is often shown, sirs, by your name, Which is not hard to analyze When one calls you the Liar, Destroyer, God of Flies. Enough, who are you then? Part of that force which would Do evil evermore, and yet creates the good. What is it that this puzzle indicates? I am the spirit that negates. And rightly so, for all that comes to be Deserves to perish wretchedly;’Twere better nothing would begin. Thus everything that your terms, sin, Destruction, evil represent- That is my proper element. You call yourself a part, yet whole make your debut† (Goethe 705)? Mephistopheles was a smooth talking and slick which reminds me of Satan himself. Job at some point in his life wished he had never been born. How can anyone fault Job for feeling the way he did after going through these horrible storms in his life. He had to face these mountains and conquer his fears. I do understand Job was human, so he had a right to feel saddened or possibly even lonely. Faust longs to find something absolutely enduring so that he can end his alienation. He rather ignore reality just to have pleasures fulfilled for a few years rather than having something that will please him forever. Faust understands life, but he wants to dig deeper into the truth about supernatural things. In return for his search on this he turns to magic which leads him to making this pact deal with the devil in the first place. Satan plan he had for Job did not work as God said. Mephistopheles tries to criticize God by saying he made an imperfect world. However, he did help God carry out his will through using this pact deal with Faust. Satan main goal and purpose is to defeat God by taking over every soul. It is evidently true just reading: â€Å"And in return, what do you hope to take? There’s so much time so who insist? No, no! The Devil is an egoist And would not just for heaven’s sake Turn into a philanthropist. Make your conditions very clear; Where such a servant lives, danger is near† (Goethe 711). It is obvious that Mephistopheles is not on Faust side. Once he get him right where he wants him he is going to surely take his life. What good can come from someone when they encourage another human being to take their life. No friend would want to see you die. I consider that to be for someone who hates you and they must be cold-hearted. One comes to know good by knowing evil. A person can not come to know God without knowing this knowledge. True knowledge is gotten only from experience. Just like the Devil Mephistopheles often speaks the truth to get what he wants. Faust wanted much and he was never satisfied so greed began to take over his life. Job was satisfied with what God had given him and that is how he was able to stand on the word of God. He return for Job’s pain God restored to him everything that he had lost. He gave him back more than what he had before. Faust struggle with self worth causes him to have an inability to have faith in God. However, God does not give up on Faust. Believe it or not God gives us many chances in this world today because he has not given up on us either. God knew Faust struggled, but he allowed him to reach his low point in order to draw him back. Mephistopheles duty was to lead Faust down a dark road. If Satan could have done the same thing to Job he would have, but Job was too strong for him. Therfore, Satan fault a loosing battle with Job. In the process Faust is responsible for three deaths in this story, although he was influenced by Mephistopheles. God has given us the spirit of unlimited belief.The battle really begins in our mind. It is our will and emotions that control what we do or think. We must stop limiting God by the level of our faith or belief. He is and will always be the God of the impossible. People must demand that Satan leave them alone and not just ask this. It is good to know that by the power of the holy spirit we have authority over Satan to tell him what to do. Satan must be put in his place. Satan is a great pretender, so don’t be deceived by his fierce growl. I am encouraged knowing this scriptures, â€Å"and put on the whole armor of God so that ye shall be able to quench all the fiery darts of the wicked† (Bridge Builder’s Bible, Ephesians6.11-18). After being tested it feels good to know t hat someone passed their test and did not fail. I must be strong myself and not get caught up in the crossroads of my own life. People must have faith in order to make it in this world. Nothing can compare to what God has to offer us in heaven. God is amazing and he is the almighty whom we must answer to. It is great to have Job like attitude and not Faust attitude towards life. I encourage people to be strong in the Lord, having much faith. Works Cited Johann Wolfgang von Goethe. Faust. New York:W.W Norton Company, 1984. Lawall, Sarah, ed. The Norton Anthology of world literature .London: Castle House, 1909. Rod Parsley. Bridge Builder’s Bible. Deerfield: International Christian Publishers, 1997. Cliffs Notes -The Fastest Way to Learn. Wiley Publishing, Inc. 2000-2010 Faust, Parts 1 and 2. 11 November 2010 .

Sunday, July 21, 2019

Impact of Foreign Bank Entry on Host Country

Impact of Foreign Bank Entry on Host Country Literature Review In many countries, the entry of foreign banks has been increased on a high scale during the 1990s especially in the countries which are less developed. Due to financial linearization policies, the entry of foreign banks operations increased during the early 1990s which in turn allowed foreign banks to set up their branches in host country and performing their operations (Claessens, et al. 2001).This rapid growth has led to many questions that are being raised for their presence in the domestic banking markets. The three major consequences which led to their tremendous growth are competition which will be affected by their presence, the efficiency of domestic banks and the less proof that we have about this consequences (Liebscher, et al. 2006). The only broad study was based on Claessens, et al. (2001) analysis which focused on the efficiency and competition effects of foreign banks entry. This study had various variables which measured income, profits and costs of domestic banks ref lecting changes in both competition and efficiency of domestic banking markets. It was a turn-around i.e. a negative relationship between the presence of foreign banks and factors like profitability, non-interest income and extra curricular income of the domestic banking markets. The size of the banks in terms of market share was supported by Claessens, et al. (2001) study due to only presence of foreign banks due to three factors. First, it led more demands for domestic banks to give up their profits and huge income. Secondly, it forces domestic banks to prove them to be more efficient which in turn will reduce costs. And finally, domestic banks will try to portrait few of the banking techniques and practices which will reduce costs. Though many emerging countries fear about letting foreign banks enter their host country, the liberalization of banking policies have made it clear that in an open market, they can face challenges about the entrants of foreign banks in the host country and their efficient working styles (Liebscher, et al. 2006). The entry of foreign banks will lead to two major effects. One, the domestic banks will be in the bad loans section due to attractive power of foreign banks and good practices which they follow. Two, the local banks can benefit from their better technologies that they use for learning. Though there will be competition possessed by both the domestic and foreign banks, one thing is for sure that domestic financial market will gain by lowering the interest rates for taking a loan (Mathieson, Schinasi and International Monetary Fund 2000). The authors Caprio and Honohan (2002) has discussed in more details about the factors which led to increase role of foreign banks in emerging markets. They said that the increase in ownership of foreign banks in emerging markets is one of the faces of the ongoing consolidation of banking system in both developed and emerging markets. The globalization of financial services industry, banks are facing more competition from non-bankers for credit and financial services, particularly security markets, which has put immense pressures on the interests rate margins and profits, which in turn has led to a change in the franchise value of banks (Folkerts-Landau and Chadha 1999). In the recent decades, banking has become information, communication and computation intensive industry. There is a decline seen in both domestic and across border to handle these activities (Mathieson, Schinasi and International Monetary Fund 2000). In many less developed countries, there is an inefficiency which is seen in domestic banks and there is a lack of competition among lenders in high borrowing costs and there is a limited financial access for many firms. The entry of foreign banks may increase the supply of credit and improve efficiency, by increasing the competition. However many banking theories have found an asymmetric relationship which demonstrates reducing access to credit for some firms by greater competition (Petersen and Rajan 1995). There is a huge amount of money involved in finding information about local firms which may limit foreign banks to cream-skimming, where they lend only to that firms who are more profitable and which adversely affect both domestic banks and firms that rely on them (Gormley 2007). The general liberalization of banking policy, many emerging markets have been reducing barriers to trade in the financial service since the early 1990s. There have been many significant changes in the re strictions of entry of foreign banks which have been motivated for improving the level of competition and efficiency in the banking sector. Mainly they have been triggered just to reduce the cost of restructuring and recapitalization which in turn is building an institutional structure in the banking sector which is healthier to future domestic and external shocks (Mathieson, Schinasi and International Monetary Fund 2000). Effects of foreign bank entry There are many effects which have given a sharp rise in the level pf participation of foreign banks entering a host country. The hosts country in which the foreign banks enter have a clear evidence that by entering into emerging markets, there will be an overall positive effect in the banking system in terms of its efficiency and stability of the system. Allowing foreign banks to enter is typically viewed as having the most beneficial effects when such entry occurs in the context of a more general liberalization of trade and production of financial services. It has been argued that general liberalization of trade in financial services induces countries to produce and exchange financial services. This in turn allows the domestic banks to inherit few of its services that are helpful in nature. This would be especially true for foreign branches of international banks since they are supervised on a consolidated basis. For example, the local subsidiary of international banks is an entity on its own Caprio and Honohan (2002). Failure of that will be in turn monitored by the parent bank. The new products and services provided by the foreign banks will give an idea for the domestic banks to follow the same to be more efficient by upgrading the quality and size of its staff. The branches and subsidiaries of major international banks have good practice of disclosure, accounting and reporting requirements that are closely aligned with international best practices. To inculcate this into the domestic bank market, the overall quality of the information about the state of the banking system will be improved on a high scale. Also, when crisis arise, foreign banks help the domestic residents to do their capital flight at home, thus, adding stability to the system. On the other hand, many argue that the entry of foreign banks in host country can worsen the banking system. If the domestic banks have weak capital and are inefficient in nature, for example, they may respond opposi te to increase foreign entry by undertaking high risks activities in an attempt to earn good returns. It has been seen during the early period of liberalization that foreign banks tend to attract or take less risky customers i.e. cherry-pick the most creditworthy domestic markets and customers, leaving behind more risky customers for the domestic market to serve. This happened during the liberalization period which hold loans with fixed interest rates and had to compete with other financial firms that were lending it on higher rates and offer high deposit interests rates. During this period, many disadvantaged institutions got worse; few of them undertook high returns with high risk activities (Mathieson, Schinasi and International Monetary Fund 2000). Apart from the impact of foreign bank entry upon the stability of domestic banks, there have been also concerns about the behavior of foreign banks. During the crisis period, it was noted that foreign banks were involved in lending mo ney to cross border financial firms than to lend it to domestic firms who were badly affected. In this way, the behavior turned out to be opposite thus violating the international practice that was followed. Finally, the issue concerning the supervision of foreign banks is of great concern. The entry of foreign banks is a means of importing supervision for at least a portion of the banking system, simultaneously improving the quality of staff and practices of domestic supervising. They site the examples of Banks of Credit and Commerce International which has fallen between the cracks that complex cross-border financial transaction undertaken by international banks may be difficult to supervise by either the host or home country supervisors (Mathieson, Schinasi and International Monetary Fund 2000). Despite worries that foreign firms could destabilize domestic finance, some countries have remained low on admitting the fact that foreign owned financial firms could destabilize the local financial system, thus, putting them out of business. It was seen that the prosperity of foreign banks in the host country tends to be correlated with that of the countries in which it operates; it would rather show a long-term commitment to the host countries. There is very little evidence to support these fears, despite the growing presence of foreign owned financial intermediaries, by improving the overall operating efficiency, thus, gaining improvements in both official and private elements on the financial infrastructure and long term growth (Levine, Loayza and Beck 2000). Foreign banks become more than niche player in financial sectors. In high income and upper middle income countries, they represent more that one in five of the banks which usually account for much less than 10 percent of local banking assets. Thus, they become niche player in catering international trade business and foreign companies. Even before the expansion takes place in the host country, foreign owned financial firms have a huge share in poorer countries. Even if they have high operating costs, foreign owned banks are more profitable than local banks which imitate their investment in good quality services. They also have high interest margins and high tax payments. The smaller the country the more likely is to reply on foreign owned banks. But few big countries like India and Indonesia have good amount of share of these foreign owned banks Caprio and Honohan (2002).

Saturday, July 20, 2019

Shakespearean Theater :: William Shakespeare

Shakespeare was fortunate to begin his career in the late 1500s, when English theater was going through major changes. Professional actors had been performing in England for centuries. Called "Players," they traveled from town to town, setting up makeshift stages in public halls, marketplaces, and the courtyards of inns. Often they met hostility from local authorities, who believed that crowds of playgoers were a magnet for crime and also contributed to the spread of disease. Actor James Burbage built England?s first permanent playhouse in 1576. Other open-air theaters sprang up during the next few decades. These playhouses were all located in the suburbs rather than in London, which had strict laws governing entertainment. In 1599 Shakespeare's built their own playhouse, the Globe. This roughly circular building had three levels of covered galleries. A platform stage about forty feet wide projected out into the open courtyard, where people who paid the lowest admission price could stand and watch the play. Admission to the gallery benches cost about twice as much. Wealthy people paid sixpence (what a skilled laborer earned in a day) to sit in the "lords' room," the part of the gallery directly over the stage. In all, Shakespeare's Globe could accommodate about 3,000 spectators. Toward the end of his career, his company acquired a fully enclosed theater in London for the winter season. The stage at the Globe had trapdoors for the entrance and exit of actors playing ghosts or other supernatural characters. At the back of the main stage was a small, curtained inner stage used for indoor scenes. Above this stood a two tiered gallery. The first tier was used to stage balcony and bedroom scenes, the second to house musicians. Sound effects, such as the booming of thunder, were produced in a hut on top of the stage roof. All performances took place in the afternoon because there was no artificial lighting. The stage was mostly bare. There were few props and no movable scenery. Instead of relying on scenery, Shakespeare used descriptive language to help audiences visualize the settings of his plays. For example, his long descriptions of the moon are more than just beautiful writing---they reminded Elizabethan audiences that the characters were meeting at night. What the Elizabethan stage lacked in scenery, it made up for in costumes. Shakespeare?s audiences considered clothing an important indication of social rank, so they demanded extravagant?if not always historically accurate---costuming. Along with its playbooks, an elaborate wardrobe was an Elizabethan theater company? Shakespearean Theater :: William Shakespeare Shakespeare was fortunate to begin his career in the late 1500s, when English theater was going through major changes. Professional actors had been performing in England for centuries. Called "Players," they traveled from town to town, setting up makeshift stages in public halls, marketplaces, and the courtyards of inns. Often they met hostility from local authorities, who believed that crowds of playgoers were a magnet for crime and also contributed to the spread of disease. Actor James Burbage built England?s first permanent playhouse in 1576. Other open-air theaters sprang up during the next few decades. These playhouses were all located in the suburbs rather than in London, which had strict laws governing entertainment. In 1599 Shakespeare's built their own playhouse, the Globe. This roughly circular building had three levels of covered galleries. A platform stage about forty feet wide projected out into the open courtyard, where people who paid the lowest admission price could stand and watch the play. Admission to the gallery benches cost about twice as much. Wealthy people paid sixpence (what a skilled laborer earned in a day) to sit in the "lords' room," the part of the gallery directly over the stage. In all, Shakespeare's Globe could accommodate about 3,000 spectators. Toward the end of his career, his company acquired a fully enclosed theater in London for the winter season. The stage at the Globe had trapdoors for the entrance and exit of actors playing ghosts or other supernatural characters. At the back of the main stage was a small, curtained inner stage used for indoor scenes. Above this stood a two tiered gallery. The first tier was used to stage balcony and bedroom scenes, the second to house musicians. Sound effects, such as the booming of thunder, were produced in a hut on top of the stage roof. All performances took place in the afternoon because there was no artificial lighting. The stage was mostly bare. There were few props and no movable scenery. Instead of relying on scenery, Shakespeare used descriptive language to help audiences visualize the settings of his plays. For example, his long descriptions of the moon are more than just beautiful writing---they reminded Elizabethan audiences that the characters were meeting at night. What the Elizabethan stage lacked in scenery, it made up for in costumes. Shakespeare?s audiences considered clothing an important indication of social rank, so they demanded extravagant?if not always historically accurate---costuming. Along with its playbooks, an elaborate wardrobe was an Elizabethan theater company?

Friday, July 19, 2019

Osteoarthritis :: Health, Diseases

Osteoarthritis (OA) of the knee is a common problem throughout the world. As estimated by the World Health Organization, it is one of the major causes of impaired function that reduces quality of life worldwide and estimated to be the fourth leading cause of disability by the year 2020 (Kraus et al., 2006 and Wluka, 2006). Knee osteoarthritis (OA) is a leading cause of chronic disability worldwide including Malaysia (Zakaria et al., 2009). As defined by Jette et al., 2002 disability is the impaired performance of expected socially defined life tasks, in a typical sociocultural and physical environment. Physical function limitation, or difficulty with physical tasks and activities, is fundamental to the development of disability in OA. Pain is likely to be a central factor in the physical function limitation of knee OA, both due to its direct effects on function and as a route through which other factors operate. However, measuring only the pain is not enough. Physiotherapy must know exactly what functional limitation experienced by the patient and help them to handle those instead of treating just the pain. In the study by Izal et al., 2010 they discovered that there was discrepancy between levels of disability and quality of life (QOL) of Spanish elderly people with OA knee. They found this disparity possible due to active coping strategies practiced by the patient such as positive self-statements, re-interpreting pain sensations, distraction, ignoring sensations, prayer and joint protection strategies. Knee Osteoarthritis prevalence is expected to rise significantly in the upcoming decades due to increasing life expectancy and decreasing physical activity, leading to a constant increase in body weight. Facing this situation, the WHO and the United Nations have declared the years 2000 to 2010 to be the "Bone and Joint Decade" (Rosemann et al., 2007). The exact prevalence of OA is difficult to determine because of the lack of use of standardized criteria. In epidemiological studies OA is often described by radiological criteria, however radiological disease especially when mild has poor correlation with the presence of pain. Studies found that in all populations, so far the prevalence of knee OA is higher than that of hip OA but this is more marked in Asian populations. In Malaysia, knee becomes the most common site for OA (Zakaria et al, 2009). Regarding prevalence, it is a frequently replicated result that women have a higher probability for developing OA, especially OA of the knee (Felson et al.

Contradictions In The Puritan Religion :: essays research papers

Contradictions In The Puritan Religion   Ã‚  Ã‚  Ã‚  Ã‚  Life is full of many contradictions, and the basis of the Puritan religion is no exception. The Puritans believed that they were God's chosen people, as mentioned in the Bible. They saw themselves on a level above the average man, but in reality, their religion was full of inconsistencies. The Puritans believed in something known as the ‘Doctrine of Elect,' hinted at in Romans 8:28-30, 9:6-24, and later at the Synod of Dort.. The doctrine contradicted the more widely held belief of Pelagianism, the belief that man could redeem himself through acts of charity, piety, and by living an unselfish life. It came to be one of the greatest theological discrepancies of all time. Evidently, the Puritan beliefs were almost entirely contradictory.   Ã‚  Ã‚  Ã‚  Ã‚  Some of the Puritan beliefs were both simple and believable. Others would seem outrageous today. Puritanism was founded on the principles and beliefs of John Calvin, and one of the major ideals they focused on was the doctrine of predestination. Calvin believed that the grace of God was the ticket into Heaven and that his grace could not be earned. God's grace was bestowed upon a select few regardless of what they did to earn it. This ‘ doctrine' stated that God determines a mans' destiny, whether it be redemption or condemnation, regardless of any worth or merit on the person's part. It could be compared to the failures of Communism in that no matter how hard a person worked, how devout a person was, how often a person went to church, there was no way to get into Heaven unless they were chosen. Aside from the doctrine of elect, the Puritans had other outrageous beliefs including the degradation of one's self, the utter and total dependence on divine grace for salvation, and the wrath of an angry God.   Ã‚  Ã‚  Ã‚  Ã‚  The God worshipped by the Puritans was not a forgiving God, and definitely not a happy God. The Puritans fear him and tried zealously to make themselves worthy in his eyes. They insisted that they, as God's special elect, had the duty to conduct affairs carrying out his will according to the Bible. Though many of their beliefs seemed outrageous, the most heinous of all was the aforementioned ‘Doctrine of Elect.'   Ã‚  Ã‚  Ã‚  Ã‚  If this ‘Doctrine of Elect' guaranteed the chosen a spot in heaven, then there was no reason for them to behave as pious, God-fearing Puritans. There was no reward after death for those who had been good and were not ‘chosen.' The standard was the same for the special few who made their way onto God's

Thursday, July 18, 2019

Ethical Dilemma Essay

The situation at hand involves an ethical decision between two possible courses of action relating to the promotion of tobacco as a product in the market. R. J. Reynolds Tobacco Co. is a corporation that earns huge amounts of money in selling tobacco and is concerned about keeping its profits despite the negative image now associated with tobacco. Therefore, R. J. Reynolds Tobacco Co. hired Acme Global Advertising to again promote the product in the market. Being recommended by the company’s Director for Global Accounts as the new head of the R.  J. Reynolds Tobacco Co. account, I am constrained to decide whether to accept the position or not. There is no doubt that this is a once in a lifetime career opportunity, as the last manager to handle the R. J. Reynolds Tobacco Co. account had already retired after receiving a huge sum of money after his successful campaign. Indeed, a successful promotional campaign would result in huge profit for both R. J. Reynolds Tobacco Co. and Acme Global Advertising, which would translate into big earnings for me. On the other hand, a simple refusal on my part would mean another eager person would immediately be taking my place and my big opportunity. The problem is not as simple as it looks, however. This is because the World Health Organization already declared tobacco as the second major cause of death in the world. Therefore, any effort on my side in promoting the consumption of tobacco would mean that I am personally exerting effort in favor of a product that causes death to millions of people arounf the world. It is clear, therefore, that the present situation presents an ethical dilemma that needs serious consideration. I have to make a decision between personal success and the health of innumerable people. In order to solve this dilemma, I turn to the philosophical writings of Aristotle in his work entitled Nicomachean Ethics, as well as utilitarian ethical philosophy as explained by well-known ethical philosophers John Stuart Mill and Jeremy Bentham. Based on these ethical principles, I shall explain why it would be ethical for me to accept the challenge and exert my best effort in promoting the sales of tobacco products of R. J. Reynolds Tobacco Co. this paper shall discuss the relevant principles characteristic of each theory, and then apply such principles to the facts of this particular scenario. In Aristotle’s Nicomachean Ethics, he expounded on the notion called virtue, which to him is that which determines the character or nature of anything, be it a person or a specific thing (Ross). Virtue is that thing which makes a knife a good knife, and it is also that which makes a man a good person (Ross). Aristotle makes a distinction between two kinds of virtue, namely natural virtue and moral virtue (Kilcullen). For him, the former relates to characteristics that humans possess from birth, such as a particular temperament (Kilcullen). On the other hand, the latter kind of virtue refers to the act of submitting one’s acts to reason (Kilcullen). It is in the latter kind of virtue that habit, an essential part of Aristotle’s ethical philosophy, enters the scene (Kilcullen). Aristotle posits that moral virtue is developed through habituation, whereby the exercise of reason results in a specific course of action (Kilcullen). Applying Aristotle’s ethical philosophy based on virtue and habit, I conclude that accepting the challenge would determine my character as a person in general, and as a leader in an advertising firm in particular. Accepting a project such as the one in the case would help me develop habits that would hone my leadership and creative skills, which would increase my competence as a leader. The other ethical philosophy that supports my decision is utilitarianism, which is a notion that belongs to the normative ethics tradition. Since the late 18th- and 19th-century, utilitarianism had been in existence to attempt to answer the question, â€Å"What ought a man to do? (West). † Utilitarian philosophers Jeremy Bentham and John Stuart Mill were the foremost believers in the school of thought, and their main thesis was that an action would only be considered morally right if it tends to promote happiness for the greatest number of people. This has been popularly known as the â€Å"Greatest Happiness Principle. † John Stuart Mill explained said ethical principle in 1863, when his published work entitled Utilitarianism came out. He explained, thus: The creed which accepts as the foundation of morals, Utility, or the Greatest Happiness Principle, holds that actions are right in proportion as they tend to promote happiness, wrong as they tend to produce the reverse of happiness. By happiness is intended pleasure, and the absence of pain; by unhappiness, pain, and the privation of pleasure (Mill). It appears therefore, that utilitarianism attaches moral value, not on the motive behind man’s actions, but on the effect that such action makes on people. Bentham and Mill assumed that pleasure and pain are the basic motivations of man, such that he avoids pain and seeks pleasure (West). Applying this principle to my ethical dilemma, I deduce that accepting the project would promote the happiness of many people, namely, myself and the executives of the two corporations that would derive monetary benefits from the success of the project. The people who could be consuming tobacco would likewise find happiness in the availability of a product that they enjoy having, albeit this happiness comes with the danger of disease or even death. Nevertheless, I leave such choice to the holders of the lives concerned, namely, the consumers. It is, after all, ultimately their choice whether to remain healthy or otherwise. In sum, two ethical principles, namely Aristotelian and utilitarian ethics, support the decision to accept the position as head of the project and promote tobacco products.

Wednesday, July 17, 2019

The Basics Behind Qualitative Research

y fundamental principle of soft Research Jamye D. Jeter Cameron Submitted to Dr. Curtis Maybee University of Phoenix rudiments of soft Research When a searcher sets tabu to begin a analyse, he or she moldiness begin by inquire oral sexs of him or herself. These questions lead to the closing of the guinea pig of explore essay the interrogationer is issue to conduct. The m using up may be establish on qualitative enquiry, quantitative investigate, or both. But, in order to go over the check order and design choice, the research worker ineluctably to see what is fueling his or her research question.Research questions base on quantitative research focuses on obtaining entropy that can be measured, usually in some mastermind or numerical/statistical bearing (Leedy & deoxyadenosine monophosphate Ormrod, 2010). soft research is ground much on wherefore true phenomenon take tooshie and what can be done to better transform why the phenomenon took place at al l (Leedy & Ormrod, 2010). This paper entrust serve as a brief overview of the fundamentals of qualitative research.Through this paper, the reader should be commensurate to get word a basic understanding of the characteristics of a qualitative chore record and mapping argumentation formulation of qualitative research questions and qualitative data collection and abstract procedures. Characteristics of a Qualitative Problem rumor agree to Leedy & Ormrod (2010), qualitative research workers a lot formulate general research troubles, and require still general questions closely the phenomenon they ar studying (p. 136).By taking this approach, the puzzle bidding in a qualitative study may come across passably vague. The problem line of reasoning will flack to be as direct as attainable, and will hopefully detail why the research worker accepted qualitative over quantitative research. However, the fascinating thing ab off qualitative studies is in that re spect is always room to explicate and further develop the study based on the selective training and data undisturbed (Rubin, 2007, Leedy & Ormrod, 2010). The problem statement transports the investigators interest from the demonstrate of admiration to the stage of being a item statement.The problem statement will also explain why the tec feels their special topic is important and what has already been researched in this particular area (Rubin, 2007). Characteristics of a Qualitative Purpose Statement The intention statement of a qualitative research study, a good deal like that of quantitative studies, gives an account of the habit or intention of the study (Jenkins, 2009). The usance statement is specific and addresses some breeding gaps that may exist in what is currently known from previous studies (Merriam, 2002).Researchers may much time take on a study of a phenomenon merely because this is non an abundance of research material about the phenomenon (Merri am, 2002). This can lead to the researcher having the great power to build his or her hypothesis or theory as certifyation is gathered. However, the finding statement will need to detect the data collection methods chosen, and reveal the possible research questions that will be explored. locution of Qualitative Research Questions When trying to determine the research questions that will need to be asked, the researcher must understand what or whom, he or she is trying to research.A meat to make this determination, the researcher can select a sample from which he or she believes to be the most informative and safe to the research (Leedy & Ormrod, 2010). This process is called a purposive or patternful sample. When reservation a sample selection, the researcher must also make a determination of what the criteria of the sample will be for moral male or female indisputable ages, ethnicity or heights certain occupations and so forth Once the sample size and criteria is fit (p), the researcher will indeed be able to develop questions that can be constitute to the sample group to get the knowledge needed for the study.Data Collection and Analysis The areas of data collection and analysis go croak and hand. In order to hit the books the data, the researcher must first collect the data. According to Leedy & Ormrod, 2010, there are 3 major sources of data for qualitative studies interviews, observations, and documents (p. 23). If is up to the researcher to determine what process of research is best for the study he or she is conducting. There are times when only one method is used, but then there are times when more than one method is used. However, the researcher may identify his or her primary method (Rubin, 2007).It is also possible to utilize the earnings and worldwide web to collect information for the study also. After the data is collected, the researcher must be able to analyze the data. The truth is the data analysis is usually simultan eous with the data collection stage (Rubin, 2007). From the time the first interview takes place or observation begins, the researcher should already be analyzing what he or she has learned. By doing so, the researcher can eliminate the contingency of being overwhelmed with information at the closing curtain of the data collection process.While analyzing, the information collected, the researcher can break up what he or she learns into categories (Leedy & Ormrod, 2010). The use of these categories will help identify any patterns of sort or occurrence that may exist. References Jenkins, L. (2009). Fundamentals of quantitative research Considerations in research methodo synthetic analysis. Retrieved from the website www. academicwriting. suite101. com on July 18, 2010. Leedy, P. and Ormrod, E. (2010). Practical research be after and design, 9ed. Merrill. Pearson Education. Merriam, S. B. (2002).Introduction to qualitative research. San Francisco Jossey-Bass. Rubin, A. (2007). P ractitioners guide to using research for evidence-based practice. New York Wiley Fundamentals of Qualitative Research Part 2 Based upon Prospectus II * How does the problem statement align with the approach communicated in the purpose section? The problem statement aligned with the outlined approach. The problem was determined to be that qualified teachers are turn of events down jobs at low do schools. The approach was to take surveys and interviews to find out why this is occurring. How does the purpose of the study inform the way in which the research questions are written? The purpose statement tells that the researcher will use in-depth open-ended interviews and questionnaires granted to 100 current teachers, who have at least turned down trade at one low acting school.Do the research questions adequately address the problem as detailed by the researcher? wherefore or why non? In my opinion, the research question shown, bandage pertinent to the outcome, seems a little v ague. Perhaps, if there was one than one research question posed, there may have been a little more clarity. Does the wording of the purpose statement and research question evoke the methodology used in the study? How? Yes, the wording in the purpose statement and research question suggest the methodology used in the study. In the purpose statement, it begins with in this qualitative study That is say the reader, this is definitely going to be a qualitative research study. In the research question, there is a lot of signification as to what and why. Typically, who, what, why and how are signs that the study is going to be centered on qualitative research methodology.Does the methodology active adequately address all aspects of the problem detailed by the researcher? wherefore or Why not? The use of interviews and questionnaires seemingly will produce the results the researcher is looking for. * Do all elements of the insures design work unitedly in a cohesive and logical mann er? Why or Why not? Yes, the components presented for this project, did work together in a cohesive and logical manner. The information flowed well, and was very easy to read and understand what the project was focusing on, and how the researcher aforethought(ip) to get to that point.