Thursday, December 26, 2019
The Storm Of Change Brought From Globalizaion Finance Essay - Free Essay Example
Sample details Pages: 5 Words: 1546 Downloads: 10 Date added: 2017/06/26 Category Finance Essay Type Analytical essay Did you like this example? The era of globalization has brought about a storm of change that has overturned almost every aspect of business and trade. It has affected every industry, every sector, every nation and every economy, giving rise to the concept of the world being a global village, where there are no boundaries. With the advent of globalization, there is a need amongst the investors to expand their horizons beyond their local security markets. Donââ¬â¢t waste time! Our writers will create an original "The Storm Of Change Brought From Globalizaion Finance Essay" essay for you Create order Indian Depository Receipts, or IDRs, are a result of this phenomenon. It is a rupee-denominated, derivative financial instrument that allows foreign firms to raise capital in India. The need for international diversification of an investors portfolio has driven the formation of this financial instrument. The rising economy of India is making India an irresistible investment playfield for investors throughout the world. Although IDR is not very different from other financial instruments, it has its own set of merits and de-merits. It allows firms to broaden and diversify their investor base, thereby promoting a global image for the firm. Although its American counterpart American Depository Receipt (ADR) has been there since the 1920s, IDR is relatively young, being born in 2004, and even then it was widely unpopular due to the rigid conditions RBI had put on the applicant firms. It was only after the changes made in the ruling in 2007 that the concept of IDRs gained momentum , with Standard Chartered becoming the first firm ever to apply for registration of IDR issues in April 2010. A lot remains to be seen about the future of IDRs and the role they play in the Indian Economy. This paper gives the reader a simplified insight into the inner workings of IDRs, what they are; how they are issued, their pros and cons for both individual investors as well as institutional investors; all of this minus the superfluous and baffling technical jargon. Section 2 deals with defining what IDRs are and why they are needed, while section 3 deals with the history of IDRs. Section 4 deals with a brief overview of the whole process of issuing and registering for issuance of IDRs. Section 5 deals with the advantages and disadvantages of IDRs and section 6 deals with a comparison of IDR with its American counterpart. Section 7 provides an insight into the Standard Chartered story: the first ever firm to register for an IDR issue. Lastly section 8 deals with the fut ure prospects of IDRs, what it can do for investors and the Indian Economy. Section 9 and 10 provide the conclusion and references respectively. 2. Indian Depository Receipts As per the definition given in the Companies (Issue of Indian Depository Receipts) Rules, 2004, an Indian Depository Receipt is defined as: A rupee-denominated instrument in the form of a depository receipt created by a Domestic Depository (custodian of securities registered with the Securities and Exchange Board of India) against the underlying equity of issuing company to enable foreign companies to raise funds from the Indian securities Markets. The concept and the need for IDRs can be best understood with an example. Say, Mr A, an Indian investor, wants to invest money in AutoNation, a US company listed on the New York Stock Exchange. The traditional method for investing would be to contact a broker of NYSE and deal with him. But it is not as simple as it sounds. Mr. A will have to face a lot of obstacles such as unstable settlements, fluctuating currency conversions, unfamiliar market regulations, unreliable information channels and perplexing tax conventions and interna l investment policies. All of these are more than enough to put even the most experienced investors off their game, which defeats the whole point of them investing in foreign markets in the first place. What IDRs do, is allow people like you and me (assuming both of us are blind as a bat when it comes to finance) to invest in foreign companies and diversify our portfolio, without the aforementioned hassles. When a foreign company, like AutoNation, wants Indian investors (like Mr. A) to raise money, it will use Indian Depository Receipts (IDR). An IDR will represent underlying shares of AutoNation, but will be denominated in Indian currency. Just like the shareholder of a regular equity, Mr. A will own a part of AutoNation, and will be entitled to dividends, rights issues and other such payouts that AutoNation issues. The basic purpose behind IDRs is to achieve Cross listing. A foreign company will have the primary listing on its domestic exchange (like NYSE or LSE) while it s listing on the NSE or BSE will be secondary. An IDR has to be listed on Indian stock exchanges (like BSE and the NSE), and can be traded like regular equity shares. It allows people to invest in foreign companies without trying to scrutinize every intricacy of the trading laws and practices in that country. Also, since it is rupee-denominated, there are no hassles regarding currency conversions and fluctuating rupee values. 3. The IDR Issue Process The idea of IDRs was conceived by the Ministry of Corporate Affairs as early as 1997, via the Company Bill. But the actual amendments happened in the form of section 605A of Companies Act. In 2002, a draft of IDR rules was declared and changes were made after citing expert opinions. This finally became the Companies (Indian Depository Receipts) Rules, 2004. The regulatory body for IDRs is SEBI (Securities Exchange Board of India), which issues the guidelines for applicant companies and specifies the eligibility requirements. The model listing agreement (this is the agreement the foreign company is supposed to get into with the exchange where the IDRs will be listed) for IDRs can be found on the SEBI website for all interested parties. 3.1 Eligibility Criteria for Foreign Issuers The eligibility criteria for the foreign companies who want to issue IDRs were somewhat stiff earlier, which was the main reason behind IDRs being unpopular. But in July 2007, substantial steps were taken towards encouraging investments in IDR. Making the selection criteria more lenient was the first step towards this. The revised eligibility criteria are defined as: a. The foreign company should have PreÃÆ'à ¢Ã ¢Ã¢â¬Å¡Ã ¬Ãâà issue paidÃÆ'à ¢Ã ¢Ã¢â¬Å¡Ã ¬Ãâà up capital and free reserves of at least US$ 50 million and have a minimum average market capitalization (during the last 3 years) in its parent country of at least US$ 100 million b. It should have a continuous trading record on a stock exchange in its parent country for at least three immediately preceding years c. It should have a track record of distributable profits for at least three out of preceding five years d. The underlying shares shall not exceed 25 percent of the post issue number of equity shares of the company. CONCLUSION The internationalization of stock markets due to globalization has driven a large number of countries (both developed and developing) to unbolt their stock markets to foreign investors and to relax their previously stringent laws restricting their citizens from investing abroad. Indian markets are taking a dynamic role in this transmutation through IDRs. Undoubtedly, India has enough depth in its security markets to attract sizeable investor interest for IDRs. But problems like an unfavourable, stringent regulatory environment, difficulty in accessing markets, fungibility issues, instability of policies, etc., provided substantial hindrances to the growth of IDRs in India. Certain positive steps by SEBI like the amendment of the previous regulations and a decision to reserve almost 30 % issues for retail investors has made IDRs catch attention of global giants. It has started with Standard Chartered Bank getting a green light to Rs 50 billion through an IDR issue in 2010. It will be interesting to see if this will be an indication towards other foreign companies entering the IDR market. FURTHER READINGS Gordon J. Alexander et al., Asset Pricing and Dual Listing on Foreign Capital Markets: A Note Ernst Young Doing Business in India Tax and Business Guide 2005 Agarwal, R. N., 2000, Financial Integration and Capital Markets in Developing Countries: A Study of Growth, Volatility and Efficiency in the Indian Capital Market, mimeo, Institute of Economic Growth, Delhi Garbade, K. D. and Silber, W. L., 1979, Dominant and Satellite Markets: A Study of Dually Traded Securities, Review of Economics and Statistics Grubel, H., 1968, Internationally Diversified Portfolio: Welfare Gains and Capital Flows, American Economic Review Howe, J. S. and Madura, J., 1990, The Impact of International Listings on Risk: The Implications for Capital Market Integration, Journal of Banking and Finance Jayaraman, N ., Shastri, K., and Tandon, K., 1993, The Impact of International Cross Listings on Risk and Return, Journal of Banking and Finance Kumar, M. and Saudagaran, S. M., 2001, The Impact of International Listings on Liquidity: Evidence from the Indian Stock Market, Fifth Capital Markets Conference 2001 Patil, R. H., 1994, Capital Market Developments, The Journal of the Indian Institute of Bankers Shah, A., 1995, The Tale of One Market Inefficiency: Abnormal Returns around GDR Issues by Indian Firms, Centre for Monitoring Indian Economy Hansda, Sanjay K. and Ray, Partha, 2002, BSE and Nasdaq: Globalisation, Information Technology and Stock Prices, Economic and Political Weekly Wall Street Journal, 1996.Special report on global investing. Heston, S L and K G Rowenhorst. 1994. Does Industrial structure explain the benefits of International diversification, Journal of Financial Economics ONLINE REFERENCES www.rbi.org.in www.gdr.in www.standardchartered.co.in https://economictimes.indiatimes.com/ https://www.business-standard.com/ www.thehindubusinessline.com www.bankingupdate.com www.mca.gov.in www.ficci.com https://banking.indlaw.com/
Tuesday, December 17, 2019
Executive Pay The Invasion Of Supersalaries - 2074 Words
In Peter Eavisââ¬â¢ article ââ¬Å"Executive Pay: The Invasion of Supersalariesâ⬠the conflict of CEOs and top executives outrageous pay grade is discussed. Even though the ââ¬Å"compensation machineâ⬠of Corporate America is running smoothly, there are multiple negative and dark undertones. In fact, many people believe that these shocking salaries are the roots of inequality within America. Currently, some CEOs are being compensated millions and millions of dollars as their normal annual salary. Even though the current executive compensation system focuses on performance and can ââ¬Å"theoretically constrain pay,â⬠there is nothing stopping the companies from giving their CEOs more. According to the Equilar 100 C.E.O Pay Study, ââ¬Å"the median compensation of aâ⬠¦show more contentâ⬠¦This focuses on the idea that much of the companyââ¬â¢s growth will reflect towards equity-based salaries. By doing this, it will ââ¬Å"align the interests of corporate management with the companyââ¬â¢s shareholders.â⬠Essentially, if the company does well, then the executive will be compensated higher. This will encourage management to work harder to improve performance thus increase the stockholders wealth, as well as their own when stock prices rise. However, there have been many cases where the CEO and executive officers receive outrageous compensation even when the companies suffer. Overall, there is a wide disconnect between the incentive of the executives and the financial performance of their company, which needs to be fixed. By passing regulations and rules such as the Dodd-Frank Act, there is hope of shedding light on the connection between the companyââ¬â¢s performance and the executives pay. Although it will provide a clear insight, it will not be able to set a strict regulated compensation or define what an executive should earn. Instead regulations will allow for more transparency for the shareholders regarding corporate go vernance issues such as executive pay. Along with that, it will force companies to take accountability for their actions. If they do poorly, then the executives should be paid less, and vice versa. Overall, there should be a direct alignment between executive pay and the companyââ¬â¢s
Monday, December 9, 2019
I Love You. by The Neighbourhood free essay sample
The Neighbourhood (THE NBHD) Music Review Lately a new indie band has been hitting the scene; its pop-esque, dark, and bass-heavy tone has nearly everyone in shock. Right out of California, this band is surely the type that youd imagine coming out of the ââ¬Ëslumsââ¬â¢ of California. They give themselves the name ââ¬ËHoodlumsââ¬â¢ because they tend to create a certain ââ¬Ëyoung, carefree, and emotionlessââ¬â¢ atmosphere with their music. Itââ¬â¢s not just about the sounds; they like to intermingle with visuals in order to display their own personal perspectives on what they create. These particular factors make for an utterly unique band. This fairly new quintuplet band joined up to release an EP called, ââ¬Å"Iââ¬â¢m Sorryâ⬠¦Ã¢â¬ in early 2012. Their mass-media discovery occurred when ââ¬Å"Sweater Weatherâ⬠was released in the very same EP. Since then theyââ¬â¢ve continued to expand their music and further develop their sound. Soon enough, they began touring across the nation and in April of 2013, released ââ¬Å"I Love You. We will write a custom essay sample on I Love You. by The Neighbourhood or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page â⬠which was their first album. ââ¬ËThe NBHDââ¬â¢ tends to create music with minimal lyrics and more melodious components, which evokes a feeling of fear and power all at the same time. Fear of the world, and the power necessary to conquer it. Of course, music affects everyone differently, so why not give them a listen for yourself to decide?
Monday, December 2, 2019
Interpersonal interactions in health and social care Essay Example
Interpersonal interactions in health and social care Essay In wellness and societal attention we use many assorted methods of communicating and interpersonal interaction to pass on efficaciously in assorted environments. These methods can be influenced by many factors which may interfere with how the information we have communicated is transmitted such as linguistic communication demands. self-pride. propinquity and centripetal damage. In my essay I am traveling to explicate how centripetal damage and linguistic communication demands may act upon effectual communicating and interpersonal interactions in wellness and societal attention environments. The term centripetal damage encompasses ocular loss. which besides includes sightlessness and partial sight. hearing loss and multi-sensory damage ( Shaw Trust. 2014 ) . I will now explicate how centripetal damage may act upon the manner we efficaciously communicate and interpersonally interact within wellness and societal attention utilizing Argyleââ¬â¢s communicating rhythm. The communicating rhythm is arranged into 5 phases. Argyle ( 1972 ) believed that pass oning interpersonally was a accomplishment that could be developed. much similar to larning to drive. In the first phase of the communicating rhythm Argyle states that thoughts occur. An illustration of this phase of the rhythm would be a physician remembering the information they wish to pass on to a patient who suffers from multi-sensory damage with complete loss of hearing and sight. The Department of Health defines persons enduring from multi-sensory damage if their combined sight and hearing damage cause troubles with communicating. entree to information and mobility ( Action on Hearing Loss. 2011 ) . During the 2nd phase of the rhythm the message that is being communicated is coded. during this phase a physician would make up ones mind how to pass on their message towards their patient. We will write a custom essay sample on Interpersonal interactions in health and social care specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Interpersonal interactions in health and social care specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Interpersonal interactions in health and social care specifically for you FOR ONLY $16.38 $13.9/page Hire Writer In order to pass on efficaciously the physician must take into consideration which method of communicating tantrums the patients demands such as British mark linguistic communication. ocular mark framing or tactile sign language. In the 3rd phase of the communicating rhythm the message is sent. during this phase the physician has now communicated their message to the patient. nevertheless the physician has communicated his message utilizing British Sign Language alternatively of haptic sign language. In the 4th phase of the rhythm the message is received by the patient. during this phase the patient should hold successfully received the information that the physician has communicated to them nevertheless the patient has non received the message as she has lost a complete loss of sight and hence can non visually see the marks the physician is subscribing. During the fifth and concluding phase the message is decoded. Agyle theory suggests that during this phase the information has now been received and understood and the rhythm will now reiterate. This phase of the rhythm is dependent on if the individual presenting the message has used the correct and appropriate signifier of communicating based on the persons demands and the fortunes. nevertheless this is where the communicating rhythm has been unsuccessful due to the incorrect pick of method of communicating. Another common factor which may act upon the manner we efficaciously communicate and interact with people within wellness and societal attention is the linguistic communication needs of the persons. The linguistic communication needs of an person will be based upon many factors. a common linguistic communication demand may include an person who speaks English as a 2nd linguistic communication traveling to the United Kingdom. the demands of the person such as the usage of an tra nslator will depend on how fluid the person is in talking English. Using Tuckmanââ¬â¢s theory of group formation I will explicate how linguistic communication needs can impact the manner we efficaciously communicate and interpersonally interact in wellness and societal attention environments. Tuckmans theory of group formation is arranged into 4 phases. these phases are known as forming. ramping. norming and acting. During the forming phase. the group of people are merely acquiring to cognize each other. for illustration in relation to wellness and societal attention. this would be the phase where a group of freshly employed pupil nurses run into the squad they will be working with. During the storming phase. Tuckman ( 1965 ) explains how the group of people are ill-defined about each-others functions within the group and the purposes of working together. this is the phase where the freshly formed group of pupil nurses would be seeking to pass on verbally and nonverbally with each other in order to detect their functions. strengths and failings within the group. During this phase. the group of persons would be inquiring inquiries about each other and measuring their functions within the group. Third is the norming phase. during this phase the group of people develop a sha red apprehension of what each-others functions are and portion a common purpose. during this phase one person in the squad approaches the others and state them he is a foreign exchange pupil and has merely been talking English for the past 5 old ages. therefore he is still seeking to understand the different idioms around him. The pupil nurses may get down to inquire and discourse with the person about the extent of his cognition in talking English. During this phase the persons will besides understand and be able to place countries of failing in talking English and be able to accommodate their methods of pass oning with the person in order to run into these demands. Any specific linguistic communication demands of an person should be met instantly when pass oning in order to come on through to the concluding phase of Tuckmanââ¬â¢s theory. the acting phase. During this phase the group of persons are now working together efficaciously as a squad. for illustration during this phase the pupil nurses are now able to run into the linguistic communication needs of the foreign exchange pupil and can go on to work as a progressive squad.
Wednesday, November 27, 2019
Evolution of Australian Biota Assessment Answers Essay Example
Evolution of Australian Biota Assessment Answers Essay Example Evolution of Australian Biota Assessment Answers Essay Evolution of Australian Biota Assessment Answers Essay Discuss current research into the evolutionary relationships between extinct species, including megafauna and extant Australian species. Megafauna simply means large animals, in which most have become extinct within the last 20 000 to 50 000 years. The extinction of megafauna was, debatably, due to climate change and human expansion. Although, Africa still retains some megafauna, such as the elephant or the rhinoceros. Australia has managed to keep many examples of relict species, some from the time of the megafauna.These include the Crocodile, Wollemi Pine and Stromatolites. Megafauna are not direct ancestors of the current animals, rather certain animals both evolved from a common ancestor. An example of this can be seen in the Diprotodon optatum, it does not belong to the same family as the modern wombat, but they are relatives which can be observed in their similar characteristics. Their structural similarities include their skull structure, body covering, structure of limbs, ears and snout. However, the Diprotodon was huge; 3 metres long and 2 metres high, comparable to a hippoptamus.They also had pigeon toed feet, a longer nose, possibly a small trunk, a very dense coat and sharp claws. The Diprotodon flourished in the late Tertiary and declined in the Pleistocene, becoming extinct at the time humans arrived, 50 000 years ago. The Diprotodon is mentioned in some dreamtime stories, supporting the idea that human hunting and Aboriginal fire stick burning (burning vegetation for easier hunting) altering the ecosystem both contributed to the extinction of the Diprotodon. Current research into extinct megafauna and extant Australian species revoles heavily around the finding off fossils.Fossils provide Palentologists with information about the similarities and differences between species, deducing certain evolutionary relationships. Other research includes radiometric dating, providing dates for when fauna died and the possible cause. Ideas about the ecological and environmental conditions of the time can also be found from fossils and other technology today. Fossils of the Diprotodon have been found all over Australia, in places such as the Wellington caves, which have assisted Palentologists in discovering similarties and differences between the Diprotodon optatum and the modern wombat.Other forms of current research include techniques to do with DNA hybridisation, molecular biology techniques and DNA preserved in bones to discover information about evolutionary relationships. b) Identify data sources and analyse information from secondary sources and use available evidence to illustrate the changing ideas of scientists in the last 200 years about individual species such as the platypus as new information and technologies became available. The Platypus is one of Australias most unique animals, of which its origins and classifcation is still debated today.Over the past 200 years, technology has rapidly developed, causing scientists ideas about the Platypus to change and develop. When first discovered in 1798, a Platypus skin was sent to England which scientists thought was a hoax. As the specimen was observed more, it was considered to be a primitive species, but it was in fact a highly evolved form of an ancestor. It is unique from a mammal as it lays eggs, there is an absence of teeth, it also has a bill similar to that of a duck. It also has webbed feet and a short tail.However, it does have fur like other mammals and it secretes milk from special glands. As technology began to improve, scientists were able to understand how the Platypus reproduced. In 1826, it was found that it had mammary glands, and in 1884, scientists captured female eggs. In the 1940s, an Australia scientist invented the Platypussary. This was technology that attempted to stimulate its natural habitat, hoping to breed a pair. In 1943, the first Platypus was bred in captivity, which gave scientists much research into lifestyle and breeding habits; gestation and pre and post natal processes.Another scientific question was that of its body temperature, but with the development of radiotelementary scientists ideas about this changed. Radiotelementary can record body temperature and transmit this information. It has helped scientists in understanding whether the Platypus can maintain its body te mperature when swimming in cold water. Scientists have contiuned to develop their ideas through the research of amino acids, which allowed them to observe trends between the sequences of placentals and marsupials. Fossils have also been an important technological development in understanding the Platypus.As well as cell observation, allowing Scientists to discover the Platypus salt retaining kidneys. Another huge discovery about Platypus was able to come about because of new technology, the question of how the Platypus got its food. Using Electron Microscopy, scientists were able to observe the Platypus bill. The discovery was made that the bill had extremely sensitive touch receptors which helped the Platypus navigate underwater with its eyes closed, and it detected prey. They also discovered Electroreceptors on the bill, which detect tiny electrical signals, creating an image underwater for the Platypus and located the prey.Scientists have contiuned to develop their ideas through the research of amino acids, fossils, fibre optics, radio tracking, genetic fingerprinting and cell observation, which allowed Scientists to discover the Platypus salt retaining kidneys. c) Gather information from secondary sources to describe some Australian fossils, where these fossils were found and use available evidence to explain how they contribute to the development of understanding about the evolution of species in Australia.Fossils are huge scientific development which have altered and explored many scientific theories. The sequences of fossils indicates the progressive chronology of the changes in plants and animals over millions of years, the dating of rocks indicates the time periods of extinction and the type of plant and animal in the fossil depicts the environment in that past area. An example of this is within the fossil tooth from a placental mammal, about 55 million years old. This was found in Murgon.This particular fossil changed the understanding of fossil mamm alian history, as it is Australias oldest placental land mammal. This fossil now supports the theory that both placentals and marsupials lived in Australia around 55 million years ago. Another example of how fossils contribute to the understanding of evolution is in the Glossopteris flora. It is especially significant as it provides the first evidence of continental drift, as the leaf is dominant in America, Australia, Africa and India, supporting the theory that these continents had once been joined.The Glossopteris developed understanding about the Australian evolution of species as the adaptation of its thick skin indicates Australias changing climate throughout evolution. This skin prevented a rapid loss of moisture as Australia became more arid. Some important fossil sites that have developed our understanding about the evolution of species in Australia include Lightning Ridge, Murgon, Riversleigh, Bluff Downs and Wellington Caves.
Saturday, November 23, 2019
Tattoo Ink Carrier Chemistry
Tattoo Ink Carrier Chemistry Tattoo ink consists of pigment and a carrier. The carrier may be a single substance or a mixture. The purpose of the carrier is to keep the pigment evenly distributed in a fluid matrix, to inhibit the growth of pathogens, to prevent clumping of pigment, and to aid in application to the skin. Among the safest and most common ingredients used to make the liquid are: ethyl alcohol (ethanol)purified waterwitch hazelListerinepropylene glycolglycerine (glycerol) However, many other substances have been and may be used, including: denatured alcohols (are toxic and can burn the skin)other alcohols (methyl alcohol or methanol and isopropyl alcohol or rubbing alcohol are commonly used, although they are toxic) ethylene glycol (antifreeze, which is toxic)aldehydes, such as formaldehyde and gluteraldehyde (highly toxic)various surfactants or detergents There are many other substances that could be found in an ink. A tattooist has the choice of mixing his or her own ink (mixing dry dispersed pigment and a carrier solution) or purchasing what are called predispersed pigments. Many predispersed pigments are as safe or safer than inks mixed by the tattooist. However, the ingredient list need not be disclosed, so any chemical could be present in the ink. The best advice is to make sure the ink supplier and the particular ink has a long history of safety. Although I have applied the word toxic to many substances listed on the pigment and carrier list, that is an oversimplification. Some of these chemicals are mutagens, carcinogens, teratogens, toxins, or else theyà participate in other reactions in the body, some of which may not show up for decades.
Thursday, November 21, 2019
Media News Versus You Tube Essay Example | Topics and Well Written Essays - 1750 words
Media News Versus You Tube - Essay Example The images posted on this site by the soldiers have made most Americans believe that the war on Iraq was not worth the loss of US lives. They need a full picture of Iraq to see what the gain is for that loss of life but the restrictions on media coverage do not allow this. The news media has been around for a very long time whereas, YouTube, the popular free video hosting website founded in February 2005, began its humble beginnings in a garage and offered the public a preview of the site in May 2005. And just six months later, YouTube made its official debut. Although this is an extremely large and popular site, it has met with much criticism. Videos filmed by amateur first gained popularity during the terrorist attacks on London subways and buses last summer, when traditional news organizations as well as informal websites utilized the photos and images supplied by witnesses. Now it is estimated that 100 million clips are viewed on YouTube daily and 65,000 videos uploaded every 24 hours. According to Nielsen/Netratings, the site has almost 20 million visitors each month, out of which around 44% are female, 56% male, while the most dominant age group is 12-17. Websites like YouTube, true to its motto, "broadcast yourself" allows people referring to them as "citizen journalists" to upload their own videos on an infinite array of subjects and has enabled anyone with a video camera or cell phone, live action films or written reports on news events. In relation to the Iraq war, the streamline media gives optimism to the viewers and shows the brighter side of the war, while the stories told by American soldiers in their homemade videos uploaded on this website, present a different picture. Beyond the philosophical dimensions of the global television communications, it is a close-up medium which readily involves emotions and is most effective in revealing the plights of the people. But troops who have served in Iraq and Afghanistan are hearing the message that they should carefully consider before they upload any videos on the website. As opposed to controlled media, YouTube has given access to the citizen journalists to provide first hand accounts of major events even though they are less journalism than the raw material generated by amateurs, which a skilled and trained journalist should know how to weigh, analyze, describe and explain. Therefore, one cannot deny the fact that to treat an amateur as equally credible as a professional, would be to erode the line between raw material and finished product. Many people believe that editorial gate keeping is a form of censorship if not mind control, and the explosion of the internet; giving the notion that 'information wants to be free' has made traditional journalism a ready target. To its proponents, citizen journalism represents a democratization of media and a shattering power of the unelected elite as it not only challenges the notion of journalism in journalism, but completely circumvents it. But there are people who are of the view that however wrapped in idealism, citizen journalism forms part of a larger attempt to degrade, even to disenfranchise journalism as practiced by trained professionals. However, there is no question that the soldier behind the
Tuesday, November 19, 2019
Loss Prevention Term Paper Example | Topics and Well Written Essays - 1000 words
Loss Prevention - Term Paper Example It was up approximately 15% from the previous year. This was the worst year and appeared to have been precipitated by the poor economic situation. According to Risk and Jillings (2011) shoplifting is on the increase due to hard times. In New Zeal children were being sent to still while their parents waited outside the store (Risk and Jillings 2011). Consequences of Inventory Shrinkage Inventory shrinkage due to shoplifting not only erodes profit margins but it also results in a loss of sales. This happens because store personnel do not realize quickly enough that shelves are available and that certain goods are not represented on these shelves. When a customer does not see the goods they want on the shelves they end up going to another competitor to purchased the items. Most Popular Item Shoplifted According to Bullock (2010), the UK-based Center for Retail Research indicates that cosmetics were the second most popular items stolen. The most targeted products within this group are ma keup, perfume, hair care, skin creams and tanning product. According to Barnfield of the Center for Retail Research (qtd. in Bullock 2010) these thieves are brand conscious as they focus on top brands like Oil of Olay, CoverGirl and Bumble and Bumble. Bulluck (2010) indicated that a Florida investigation described as Operation Beauty Stop uncovered a ring which sold items stolen from popular retailers such as Wal-Mart, Target and Sweetbay. These items were then offered for sale on EBay. Measures to prevent loss A number of measures can be used to prevent loss. These include the employment and use of security equipment. Although these measures are not foolproof they provide a means of reducing the cost of theft to companies and reduce the corresponding increase in selling price which arises from this type of shrinkage. Loss prevention officers According to McGoey (n.d.), retail loss prevention is a profession that has the responsibility of reducing inventory losses at retail stores. Loss prevention officers are the persons who manage security program in the stores. Their job is to reduce inventory losses that are not only caused by employee theft and shop lifting but due to fraud, vendor theft and accounting errors. They interact with both customers and other store employees whenever any such events occur. They have to exercise a certain level of professionalism when dealing with matters like these and so they have to be properly trained. Loss prevention officers are required to be observant, they should be able to think quickly and use good judgment to solve problems. They should be able to blend into the crowd so that they are not easily identified by would be shoplifters. Sensormatic security tags Sensormatic security tags are widely used in retail stores. They are pinned to merchandise and are not taken off until the customer pays for the merchandise at the cashier. The tags work in conjunction with checkpoint security systems and are further explained belo w. Checkpoint security systems Check point security systems involve the use of sensors called electronic article security (EAS) antennas (Loss Prevention Systems, Inc 2011). These sensors/antennas are placed at the entrance and exits points of the stores. They pick up signals from security tags on clothes, shoes, bags and other store merchandise. Therefore if a shoplifter attempts to leave a store with stolen
Sunday, November 17, 2019
Hit and Run Sports and Lesiure Company Essay Example for Free
Hit and Run Sports and Lesiure Company Essay * The company provides wide range of sports and leisure facilities to members and non-members. The facilities include golf courses, football pitch, basketball court and swimming pool. Members have to book to use facilities and bill is charged to their account. * The leisure clubs shop provide to customers wide range of sports goods such as clothing, golf clubs and tennis racquets. For members there is 10 % discount. * The club provides qualified coaches for different sports that can be booked to give lessons to individuals or groups. The fee is charged for each lesson and the company receives half of the fee. Types of members Type of membership Description Individual They are any one of the ages from 16 to 60, who are not students, under corporate or affiliated team member. Student This membership is available to anyone over 16 and under 25 years of age who is in full time education. Senior For elderly people who are over the age of 60. Corporate For nominated employees from a company who has account with the leisure centre. Family This is available up to 2 adults and 4 children. Children who are under the age of 12 can only join the club as part of a family membership. Affiliated team Available to local sports teams. It allows them for priority bookings and discount rates for regular bookings. Functions of each department within the clubs The club shop The primary function of the shop is to sell sports equipment. However the sales assistants are also responsible for replenishing the stock on display from the stockroom. Also the shop can take bookings for the facilities. They hold all their stock items details and quantities on the database. When a member purchase an item, the item code is typed in and the description and the price is displayed on the screen. Also the members number is entered from their membership card. This allows them to identify the member and available discount is automatically calculated. The shop also allows members to pay through their account, cash, cheque or credit card. If credit card is used, the Sales assistant has to contact the credit card Company, usually by telephone, to check the credit availability. Receipt is issued when the sale is complete and the appropriate stock item quantities are decreased. The Sales manager is responsible for regulating the stock of all equipment. The sales manager has to make sure that the quantities are up to the required levels. If there is a shortage of any equipment, the database automatically produces a report. This operates at the end of each working day. The following day, the Sales manager telephones the appropriate equipment suppliers and orders the equipment required. The confirmed purchase orders are printed and sent by post. The shop also has specially printed carrier bags for customers purchases. The design of the bag changes every year however it always includes the Hit and Run name and logo. Every year the Sales and Marketing Director negotiates a new order for bags for all clubs. Administration The administration manager handles all applications for membership with the help of assistant. The administration assistants are responsible for all office procedures within a club. They produce and post out all correspondence from the club such as letters to members. They also produces invoices for goods and services. One of the administration assistants is responsible for updating the members details on database and also ordering membership cards. The summary of all membership transactions which include new members, bookings and membership renewals, is sent to Head office on a floppy disk. The floppy disk also contains information about financial summaries for shop sales, membership and booking fees and lastly a summary of all purchase orders raised. Administration assistant sends all the invoices received by suppliers on the goods received or service done, to head office. This is done at the end of each week. Head office then deals with the payment. Most important function of Administration department is keeping records of the hours worked by each member of the clubs staff along with any coaching fees received. The information is sent to the Human Resource department in head office. The human resource department deals with the information so that wages due can be calculated and paid. Reception Reception department deals with bookings. When a member books facilities, receptionist take member number on a booking login screen together with expiry date on the card. The members details are displayed on the screen. Receptionist asks for members address and name. When it is confirmed booking screen is displayed. The members number is copied onto the booking screen. Also code for facility, the date and the start time is required. The booking system then checks the availability of the facility and if it is the booking is confirmed. Then a booking card is produced containing the information to the member. Reception also deals with members checking in. The member provides the receptionist with the booking number. The details of the booking are displayed on the computer when the booking number is typed in on a check in screen. The receptionist checks and allocation of the facility is confirmed. Then another card is printed for the member. This confirms that the facility has been booked. Facilities maintenance The facilities manager deals with maintenance of all the buildings and facilities in the club. Outdoor facilities such as pitches and the golf course are maintained b a team of green keepers. A team of maintenance staff maintains the indoor facilities and the structure of the buildings. The facilities manager must schedule regular maintenance. This will reduce the chance of members disruption on using facilities and also to make efficient use of available staff. The manager also contacts contractors from outside the club for tasks such as the servicing or repair of mowers, rowing machines and other equipment. Once a month the manager contacts suppliers for cleaning materials. Coaching Qualified coaches provide lessons for each of sports. They provide this service to groups or individuals. They also supervise the use of club facilities. The head coach is responsible for ordering sports equipment needed such as tennis balls, shuttlecocks, nets or racquets. This is sent off to the suppliers by fax. Suppliers to the club and relationship between these suppliers and the department/individuals within the company * Sports equipment retailers They provide stocks for the shop in the clubs. The sales manager phones the suppliers when there are shortage of equipment. They also provide equipment for the coaching department. * Card Company They provide membership cards for the administration department. The administration assistant sends the details of the membership card. * Cleaning material suppliers They provide cleaning materials to the facilities maintenance department. The facilities manager places the order. * Maintenance equipment service The service is provided for repairing or servicing mowers, rowing machines and other equipment for facilities maintenance department. Facilities manager also places the order. * Carrier bag suppliers They provide carrier bags for the sport shop. The sales manager and marketing manager change the design every year. The supplier provides yearly allocation. * ICT service and suppliers The club uses ICT facilities. There are computer workstations at the main desk, in the sports shop, administration office and the General Mangers office. They need software, which hold data for all sports equipment in sports shop. Also for membership database and booking data. The ICT suppliers along with ICT department in head office supply this.
Thursday, November 14, 2019
My Teaching Philosophy Essay -- Teaching Teachers Education Essays
My Teaching Philosophy My goal as a teacher is to provide instruction for all the students in my classes. I feel that the acquisition of knowledge should not be done through rote memorization but rather through the development of conceptual understanding. I expect to not only impart content knowledge, but also to provide skills that will help students succeed in school and in their daily lives. This I plan to do by teaching my students to become independent, critical thinkers who can solve problems that they encounter. As a teacher, I am similar to a tour guide on an excursion bus, and my students are like the passengers. Just as the tour guide gets the passengersââ¬â¢ attention and points out important structures and sites, I want to get my studentsââ¬â¢ attention and guide their learning experience. It is my ambition to reach every student because every student is capable of learning. I feel I can accomplish this if I first motivate students by getting them interested. Then, I will facilitate their learning by guiding them toward finding the answer or acquiring knowledge. To do so, I must make things relevant for the students. If I am able to relate things to my studentsââ¬â¢ lives then they will be better able to make connections to what they are learning. I plan to show enthusiasm for the subject I am teaching because enthusiasm is contagious. This will be helpful in getting my students to like the subject material, which has a ripple effect on learning. At th...
Tuesday, November 12, 2019
Frito Lay Sun Chips Case Study Essay
1. How would you characterize the snack chip category and Frito-Layââ¬â¢s competitive position in this category? The snack chip category is growing, mainly because of the increased per capita consumption, which rose from about 12 pounds in 1986 to nearly 14 pounds in 1990. The snack chip category consists of three types of competitors: national, regional and private brand firms. The market is very competitive and difficult; as many as 650 new products are introduced every year, but less than 1% of them generate more than $25 million in first-year sales. Frito-Lay is a national brand and a worldwide leader in the manufacturing and marketing of snack chips. Frito-Lay accounts for 13 percent of sales in the US snack food industry. Frito-Layââ¬â¢s market share is 50% of the snack chips category, and and eight of its snack chips are among the top-10 best-selling chip items in US supermarkets. Furthermore, Doritos and Ruffles are the only snack chips with $1 billion in retail sales i n the world. 2. What specific challenges and risks does Frito-Lay face in marketing SunChips and what are the implications of each? The following are many of the specific challenges and risks that Frito-Lay faces in marketing SunChips and the implications of each: * There are a relatively large number of rivals > a lot of competition. * There is a large number of substitute brands/chips > a lot of competition. * Consumers are very price sensitive so brands are competing on price > detrimental. * There are a few barriers to entry, and existing entrants have better access to distribution channels than new ones. * Tried healthy snacks and failed > risky strategy. * New brand name is a departure from known name. * Cannibalization is a concern. * Frito Lay strategy: differentiator, line extensions, new products to address needs. 3. What insights can be drawn from Frito-Layââ¬â¢s prior experience with multigrain snacks? As mentioned before, the snack chip market is incredibly competitive. With as many as 650 new products entering the product every year and less than 1% reaching a sustainable sales mark of $25 million, it is rare to find a successful one. Frito-Lay first toyed with multigrain snack chips in the 1970s, when research indicated a need for a snack in this category. Prontos, released in 1974 and distributed for four years, werenââ¬â¢t incredibly well received. While a lack of success is attributed to a confusing name, poor manufacturing and too narrow a market, Dwight Riskey, VP of Marketing Research and New Business, admits that he is ââ¬Å"not sure there were dramatic things wrong with the product design [â⬠¦]. It may have been invented and introduced before its time.â⬠This sentiment was reflected in the Harvest Project in the early 1980s, when Frito-Lay developed several multigrain products to attempt and have a possible healthy alternative to saltier snack foods for the baby-boomer generation. Lackluster response caused the project to stall into the mid 80s as focus was put on developing new flavors and healthier alternatives in other brands. Development for the product now under the Sun Chips brand picked up in 1988. Consumer testing found a few variations of the Sun Chip that were perceived by test markets as both healthy and as ââ¬Å"everyday snacksâ⬠ââ¬â a factor necessary to the long term success of the snack. Ultimately, they had to wait until the right time to release the product. The market was slowly gaining health consciousness as baby-boomers matured and desired healthier alternatives to their snack foods. Early attempts were just that: too early. 4. What conclusions can be drawn from research on SunChipsââ¬â¢ consumer acceptance and sales potential prior to the Minneapolis-St. Paul test market? The results from the premarket test were not at all what Frito-Layââ¬â¢s executives had initially expected. Consumers preferred the SunChip name,while the most popular flavors were Natural and French Onion. After the trial, Sunchips had the potential to be an ââ¬Å"everyday snack.â⬠The results from the premarket test indicated that the Sun Chips Multigrain Snacks would sell a total sales volume of $113 million during itââ¬â¢s first year on the market. Included in this sales volume is a $22 million advertising and merchandising expenditure. That being said, $113 million far exceeds the $100 million sales performance goal for which Frito-Lay initially planned. There is also less potential for product cannibalism at 42%. The Minneapolis-St Paul, Minnesota metropolitan area was chosen because executives believed it to be a strong social and economic representation of the US as a whole. Generally speaking, this area also represented a standard environment in which consumer acceptance of products and competitive behavior both could be measured accurately. Ultimately, 2.2% of American households that eat these types of chips reside within this metropolitan area. Thus, according to the research on SunChipsââ¬â¢ consumer acceptance and sales potential prior to the test market, it would be highly advised for Frito-Lay to continue exploration with this product, and proceed to more advanced stages of product testing. 5. What is your assessment of the SunChipsââ¬â¢ test market results? Promotion/Advertising: As a result of the Premarket Test, Frito-Lay is allocating a $22 million advertising budget for Sun Chips. 70% of this budgetââ¬â$15.4 millionââ¬âis to be used within the first 6 months of the test market. The advertising message will convey subtle positive messages, including wholesomeness, fun and simplicity. Television commercials emphasizing ââ¬Å"smarter because theyââ¬â¢re multigrainâ⬠will be shown in order to appeal to the health-oriented consumer segment while depicting the product as unique. In-store displays and free-standing inserts in newspapers will support the advertising campaign, while coupons placed in newspaper free-standing inserts will stimulate trial and repeat sales during the test market Price and Sales: Projected annual sales in the snack chip category amount to half of the market share or about $5 billion. Sales are projected to grow at a 4-5% rate annually due to an increase in per capita consumption. Sun Chips carries a selling price to retailers of $0.385 for the 2.25 ounce package, $1.240 for the 7 ounce package, and $1.732 for the 11 ounce package. The weighted-average price amounts to $0.16 per ounce sold, with 15% of purchases in the Test Market going towards the 2.25-ounce package, 47% to the 7-ounce package, and 38% to the 11-ounce package. With this average price-per-ounce of $0.16, first-year sales on a national level as represented by the Test Market will amount to $82,866,894 for Sun Chips. Decisions/Alternatives: 1. Decide not to launch Sun Chips 2. Continue to test the product and risk having a competitor launch a similar product nationally or regionally 3. Expand and launch a national introduction, requiring adequate manufacturing capacity Strategies: 1. Increase advertising and merchandising spending to either test further or launch nationally 2. Introduce a larger package size 3. Build the household repeat and depth of repeat business by introducing a flavor extension (mild cheddar) 6. Given your assessment of the test market results, what actions should Dwight Riskey recommend to Frito-Layââ¬â¢s top executives? We believe that Riskey should implement the flavor extension strategy while continuing to test the product for another 6 months. The extension would increase the ââ¬Å"repeats per repeaterâ⬠to an average of 3.5 times per year instead of 3 times per year due to greater variety for consumers. This will increase expected national sales from $82,866,894 to $90,984,446, or $8,117,552 closer to the companyââ¬â¢s $100 million goal. The introduction of another flavor could increase the cannibalization rate from 30% to 35%. This, however, actually amounts to only 23% cannibalization because 1/3 of this cannibalized volume stems from Doritos which have the same suggested retail price as Sun Chips. Adding another flavor will also increase brand awareness (33%) even further past the successful Oââ¬â¢Gradyââ¬â¢s brand awareness of 28% before the product can be released on a national scale. In taking more time to test the product and by adding another flavor, Frito-Lay can increase first-year sales by building repeat business, as well as increase brand awareness to assure they reach their goal of $100 million in first-year sales.
Sunday, November 10, 2019
Assessing Competency
The information provided in the scenario was actually very detailed; however it did not cover everything. There are a few things I would like to know about the suspect. One of the things discussed were his mental issues he has been suffering for quite some time. What the scenario does not specify is what is determined to be the cause of his illness. The scenario also mentions that he had been taking anti psychosis medicines however it does not say for how long or what kind. As a psychologist it would be crucial for me to find this information out. The reason for this would be that if a patient is taking anti psychosis medicine for a period of time and abruptly stops taking them it could cause the patient to actually go into a psychotic state of mind. The scenario states that the patient was not taking the medicine at the time of the murder. As a psychologist I would want to find out how long he was taking them prior to the murder and when did he stop taking the medicine before the murders occurred. As this persons psychologist in order to completely give them a full review and determine with the best of judgment how competent this person is I would also need to obtain all of the patients mental health records, what type of treatment has been given in the past, rather it was effective or ineffective, what the patients state of mind was at the time of the hospitalization, thus being pre and post functioning of the patient. The most important thing of all when assessing competency in this particular type of case is rather or not the patient understands the full consequences of their actions. In order for a person to be legally declared incompetent to stand trial they must be evaluated and found to not understand the difference between right from wrong. It is morally and legally unethical to prosecute someone who does not understand what they are being prosecuted for. Some people who I would want to contact for collateral information on the patient would be those who have had the closest contact with him. First I would start off with the medical professionals that have had contact with him in the past such as his previous psychologists and doctors. These people would be the best when obtaining the most professional and unbiased opinions about his mental health issues. Next I would interview the patients friends and get their personal opinions on what type of behavior they have experienced with the patient. The true character of the patient would be most accurately revealed here because they are friends not nessicarily people who have negatively affected him. If anything these would be the people who have most likely kept him in control of his feelings because they would be the ones who are his support network. Friends can be someone he could talk to without personal judgment and ridicule. Family members of course would also be crucial in getting information about the patient because they are the ones who interact with him on a daily basis. In the scenario it says that he has been especially violent towards family members for example he had violently attacked his sister in an attempt to seriously hurt or otherwise kill her. Finally I might want to contact previous employers and teachers. These people would be able to give their testimony about his character on a professional level. Past school teachers may be able to shed some light on his social status when it comes to interaction with his peers. For example I would find out things like was he a loner, was he social or anti-social, was he quiet or was he very out spoken, and did he ever show any type of aggressive behavior towards other students or teachers. He may have been teased in school so I would want to find out if that situation has occurred. Those who are ridiculed by their peers will tend to act out in adverse ways. It is very hard to determine rather or not the patient is competent to stand trial or not. There is just too much information missing. I would need to conduct a better evaluation of the patient myself instead of going by the information obtained in the scenario report. For instance I would have to evaluate the patient by reviewing how his mental state is before taking the anti-psychosis medicine; and then conduct a study of how his behavior is when he is taking the anti-psychotics. Then I would have to determine if any of his past behaviors are possibly linked to not taking the medicine or not. In the scenario it says that he was taking anti-psychosis medicine for a period of time however he was not taking them at the time of the murder. I would want to find out what type of medicine he was on, how it was working for him, and when he stopped. If he just abruptly stopped taking the medicine it could have caused his lucid state of mind and caused the actions that had occurred. However if he was on anti-psychotic medicine and still believed stuff like the delusions he was experiencing pertaining to the mayor being part of the CIA and his sister needing to be destroyed then it is highly unlikely that he is even remotely competent to stand trial. In order to assess his competency I would need to ask a series of questions. I would want to ask things like : Can you explain to me the charges that are being pressed against you? Can you tell me some of the consequences that could occur if you are convicted? What happened to your parents that has brought you to this situation? What could some of the verdicts be? What are some of the consequences of those verdicts? Basically just to get an understanding of rather or not the patient thoroughly understands the charges that are brought against them and some of the consequences of those charges. I would also want to determine if the patient understands the entire trial process and the role that each person plays within the trial. If I was called to testify on behalf of my professional opinion of the risk of future violence of the victim I would. However I would make it clear that when the patient is taking his anti-psychosis medicine his symptoms are mild and for the most part controlled. I would also let the judge and jury know that he does suffer from his schizophrenia and that while he may be taking anti-psychosis medicine it is no guarantee that he will not have a future hallucination or outburst that could cause a violent reaction. After all he does suffer from an incurable disease and all he can do is manage it. I could however provide information on the levels of violence that has occurred throughout his treatment starting from beginning to end and see if the violence has increased or lessened over the course of treatment. This type of thorough presentation would help the judge and jury to better understand and determine the risk that the patient may or may not cause to society. I would also provide my professional opinion on the competency level of the patient and rather or not he is fully competent to stand trial for his accused actions.
Thursday, November 7, 2019
Cloning How Far Will it Go1 essays
Cloning How Far Will it Go1 essays Everyday people find themselves at a crossroads that requires a decision as to which path to follow. In the past few years, scientists have gained knowledge about cloning that could impact our lives for centuries to come. As a society we are at a crossroads and we will have to decide how to use this knowledge. Will we choose to increase our power over nature or will we develop a partnership? There are many benefits of cloning, but do they outweigh the possibility of losing genetic diversity, facing genetic discrimination, and the scary consequences portrayed in science fiction books like Brave New World and 1984, and movies like Gattaca and Planet of the Apes. Cloning is the production of a genetically identical duplicate of an organism? (Hawley 1). In a sense, many plants, algae, unicellular organisms, and even humans naturally produce identical offspring. For example, the dandelion reproduces asexually to create a copy of itself. As a species it has reached a plateau and can no longer progress. Within the human species, identical twins are essentially clones. The division of the embryo produces two embryos with the exact same genetic information. The consequence of a species only producing asexually is the loss of genetic diversity, which can have adverse effects on a species. There is a gray area between the benefits and the problems of cloning. Some people may say that anything that improves the lives of humans is a benefit, but I disagree. Human cloning needs to be restricted. If taken to the extreme, human cloning could be disastrous to mankind. First of all, asexual reproduction creates a population with the same genetic information which eliminates genetic diversity. Without diversity, one disease could wipe out the whole population because no person would be able to fight a disease any better than anyone else. In Brave New World, the author writes about 'making ninety-six human beings grow where only ...
Tuesday, November 5, 2019
Prone vs. Supine
Prone vs. Supine Prone vs. Supine Prone vs. Supine By Mark Nichol Itââ¬â¢s easy to confuse the meaning of prone and supine and itââ¬â¢s important to distinguish between them, because theyââ¬â¢re antonyms. (I also discuss here some of the synonyms of each word.) Prone, from the Latin term pronus, means ââ¬Å"inclined to,â⬠and it is commonly used in this figurative sense as well as to mean ââ¬Å"lying face down.â⬠Pronate, used both as a verb and as an adjective, means ââ¬Å"to bend forwardâ⬠or ââ¬Å"bent forward,â⬠respectively. Prostrate, a synonym for prone, means not only ââ¬Å"lying flatâ⬠; it has the additional connotation of ââ¬Å"stretched outâ⬠and often refers to the adoption of that position to indicate submission, as a subject lying prostrate before a monarch. (Prostrate, not prostate; thatââ¬â¢s the name of a gland in male mammals.) Prostrate is also the verb form, and prostration is the noun form. (Prostration is not to be confused with obeisance, which refers to the mere act of bowing.) Procumbent is another synonym; it also describes nonrooting plant stems that trail along the ground. Supine, from the Latin word supinus, means ââ¬Å"thrown or turned backward,â⬠and describes someone who is lying on oneââ¬â¢s back; unlike prone, it has no figurative sense. Supinate is also an adjectival form, and supination is a noun meaning ââ¬Å"the act or state of lying on oneââ¬â¢s back.â⬠Recumbent is a synonym that also suggests the act of leaning back or resting, as on a bed or couch; in addition, it describes such a pose in visual art. Decumbent, meanwhile, also means lying down and in botany denotes a plant that does that but has vertical parts. (Yes, incumbent, meaning ââ¬Å"one who occupies an office or position,â⬠is related to the other -cumbent terms here.) Prone and supine each have rarely used adverbial and noun forms: pronely (or simply prone) and supinely, and proneness and supineness. Pronation and supination are used in anatomical and medical contexts to refer to the position of limbs, especially, in sports medicine, to the placement of the foot while running; supination (or underpronation) can cause injury. Supine also has a meaning as a noun; it refers to an infinitive phrase starting with to or, in Latin, to a specific type of noun. Two terms similar to prone and supine are dorsal and ventral; dorsal refers to the back, and ventral refers to the abdomen. To help you remember which is which, think of how the first syllable of dorsal rhymes with porpoise, distinguished by its dorsal fin. Ventral, meanwhile, though its first syllable is not etymologically related to vent, can be remembered as the side from which you breathe. Mnemonic clues to help you remember which is which include thinking of the pro- in prone (which actually means ââ¬Å"forwardâ⬠) to remind you that when you are prone, your face is toward the floor or ground. Supine, meanwhile, can be related to spine, which when you are supine is in contact with the floor or ground. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Misused Words category, check our popular posts, or choose a related post below:20 Types and Forms of HumorTen Yiddish Expressions You Should Know15 Names and Descriptions of Effects
Sunday, November 3, 2019
World Literature Essay Example | Topics and Well Written Essays - 250 words - 18
World Literature - Essay Example Yet this mutual invincibility is also what makes Gilgamesh and then, Enkidu temple the aggression during the fight. Gilgamesh sees Enkidu as the only alike creature in the world and calls Enkidu ââ¬Å"friendâ⬠and even ââ¬Å"brotherâ⬠before Gilgameshââ¬â¢s mother Ninsun in Tablet 2 (The Epic of Gilgamesh, 2000). Another thing that brings friends together is their ability to meet each other a halfway. Enkidu was created a complete savage coming down from a mountain and feeding and living with animals. Yet when the prostitute tells Enkidu about Gilgamesh and different urban life, Enkidu fallows willing to meet the only creature alike. From the first sight, Gilgamesh doesnââ¬â¢t sacrifice anything to become Enkiduââ¬â¢s friend, but Enkidu changes Gilgamesh. To use own power for good is important for Enkidu, and so it becomes important for Gilgamesh, and friends decide to fight Humbaba. In modern world, good friends are supportive for each other in a way similar to Enkidu and Gilgamesh. They donââ¬â¢t afraid to change own plans for a life if itââ¬â¢s what makes a friend happy. Good friends are always there for each other, but most important that they are equal for each other. Otherwise, thereââ¬â¢s no respect in relationships, and someone necessary feels humiliated, someone
Friday, November 1, 2019
Bhopal Disaster Essay Example | Topics and Well Written Essays - 1250 words
Bhopal Disaster - Essay Example Regardless of the overall loss of life or the nature of the explosion that caused the subsequent release, the pertinent business issue associated with such a horrifying event is seeking to determine culpability for the tragedy. As such, this essay will discuss overall culpability as well as seek to define where ownership begins and culpability ends. Before delving into such a topic and seeking to weigh economic costs and benefits, the author of this piece feels incumbent to reiterate the sheer scale of this disaster so that the reader might not in any way seem to misunderstand that this analysis has not taken into full account the suffering and loss of life that such a careless and poorly managed disaster has effected on countless rural and working poor in Bhopal, India (Bloch 2012). As such, although this analysis will seek to determine the overall level to which a business entity should be held responsible for a tragedy of epic proportions, such an analysis will seek to address bot h moral and ethical issues associated with the Bhopal crisis without merely focusing on the positive and negative business factors that could affect such a decision. Only days after the Bhopal disaster, CEO of Union Carbide was testifying before the United States Congress exalting the ââ¬Å"commitment to safetyâ⬠that Union Carbide has exhibited in the past and plans to exhibit in the future with reference to ensuring such an incident would never occur again. Ultimately, Union Carbide agreed to pay over 300 million USD to the victims of the Bhopal disaster as a means to attempt to evade any further litigation surrounding the matter. However, due to the sheer size and scope of the Bhopal tragedy, such a sidestep was impossible (Kripalanin 2008). Eventually, the legal ramifications of the Bhopal disaster forced Union Carbide to divest itself entirely of its Indian holdings and sell of the remainder of its operations within the subcontinent. As such, many individuals, both within India and within the remainder of the world thought that a likely end to the legal wrangling surrounding the Bhopal incident would likely draw to a close. However, this was not the case. Due to the sheer size en horror of the incident, it remained indelibly seared onto the minds of the populace and government entities within India. As a function of this, when DOW chemical bought some of the components that originally constituted Union Carbide in 2002, many officials within the Indian government as well as human rights activists that had closely monitored the legal back and forth between Union Carbide and its affiliates in the wake of the disaster began to make immediate demands upon DOW chemical to don the mantle of responsibility for the disaster (Ali 2012). Eager to have a recognizable MNC at the helm of the now defunct portions of Union Carbide, many believed that DOW should be responsible for the final remediation and civic responsibility associated with the Bhopal disaster. At the risk of sounded calloused and with a long and storied reputation to uphold, DOW chemical found itself at a severe impasse. Rather than outright denying the claim and risking alienating key shareholders within one of the fastest growing markets in the world, DOW found itself
Wednesday, October 30, 2019
Events Essay Example | Topics and Well Written Essays - 1000 words
Events - Essay Example Often the military or the paramedics would step in and, with the aid of volunteers, deal with the situation on an ad-hoc basis. But the disorganized and unsystematic nature of these efforts would lead to less than satisfactory response to the event. It is only in recent decades that organized and exclusive government agencies were set up to prevent and manage unexpected emergencies. It is with the formation of FEMA (Federal Emergency Management Agency) in 1979 that the nation had a separate government body for tackling emergencies. Prior to that, even in the three decades following the Second World War, the approach to emergency events was piecemeal and loosely coordinated. But, despite empowering FEMA with necessary discretionary powers during crisis situations, as well as providing it with sufficient funds for garnering resources, the agency has not lived up to expectations. In more than three decades of FEMAââ¬â¢s existence, the nation has seen a fair share of natural disasters . But often FEMA has been found wanting in its competence and execution of prediction, prevention and relief operations. Two events in particular stand out as great lessons for the agency - Hurricane Andrew of 1992 and Hurricane Katrina of 2005. These two events exposed the state of emergency management in the United States. They played a significant role in shaping the field of Emergency Management subsequent to the event. Remedial measures were taken to restructure related agencies and personnel teams based on the failures experienced during the two events. Hurricane Andrew hit the South Eastern coast of the United States (in particular the states of Florida and Louisiana) in August of 1992. Powerful gale storms above the speed of 170 miles per hour caused havoc in the region. It uprooted hundreds of trees, threw astray public facilities, disrupted telecommunication, made public transportation unviable and most importantly, displaced tens of thousands of people from their homes. I n the aftermath of the hurricane, a quarter of a million citizens were left homeless. Their houses were either destroyed by the hurricane or left inundated by flooding. FEMA was criticized from all angles for failing to anticipate the intensity of the hurricane as well as being able to evacuate vulnerable communities to safer places in advance. It eventually took the arrival of battalions of soldiers from the National Guard to partially bring the situation under control. The National Academy of Public Administration prepared a detailed report on the event titled ââ¬ËCoping with Catastropheââ¬â¢. This report outlined various shortcomings of FEMA and the manner in which it went about its designated work. One of the outcomes of this inquiry is the creation of the Emergency Preparedness and Response Directorate. Yet, these adjustments would prove to be inadequate, as the disasters surrounding Hurricane Katrina of 2005 would show. Hurricane Katrina hit the Gulf Coast region of the United States in August 2005. FEMAââ¬â¢s anticipation of the onset of the hurricane was fairly accurate, and it positioned response personnel in the vulnerable regions ahead of time. But where FEMA erred is in not empowering the personnel with resources and direct access to the affected population. The inadequacy of the response personnel was proven by the fact that within three days of the onset of the Hurricane, the National Guard troops were once again pressed into service. New Orleans
Sunday, October 27, 2019
Analysing Post Apartheid Gender Inequality In South Africa Politics Essay
Analysing Post Apartheid Gender Inequality In South Africa Politics Essay Despite the South African constitutions commitment to equal rights for women, the demand for gender equality is incompatible with the preservation of traditional authority in the post-apartheid era. Discuss. Women in South Africa have the most clearly spelt out legal rights in the whole of Africa and when looking at the newly formed constitution the situation for women in South Africa seems to have made a dramatic move in the right direction. After all the constitution prohibits any form of discrimination on the basis of not only gender but sexual orientation. And although it validates both gender equality and the institutions of traditional authority, if they come into direct conflict it is gender equality that will prevail. The national parliament has also moved from being 141st in the world, in regards to the percentage of women members, pre-1994 to 7th post-1994.à [i]à This signals a new era in South Africa, and is mainly down to the ANCs undoubted dedication to gender equality and the introduction of its quota in national elections. However despite the leaps forward in gender equality the fight for womens rights is far from over and it is in the rural areas that the discrimination is most severely felt by women. The South African constitution may be one of the most gender sensitive in the world but this did not come about uncontested by the traditional authorities,à [ii]à who believed the introduction of gender equality would lead to the end of some African traditions, such as, Lobola,à [1]à and in the long term their very institutions. Traditional authorities are seen to be the biggest obstacle facing the women in rural South Africa. This essay will discuss the history of traditional authorities and how the colonial and apartheid eras have influenced and shaped them, the affect they have had of on the development of womens rights and their relevance to understanding the rural womens position. Also the broader tension felt between the principle of elected representation and the continuation of non-electe d chiefs that has implications for the position of women and the country as a whole. And finally a brief look at the question; why did the ANC make concessions to the chiefs at the time of transition. But ultimately that the ANC-led governments belief that they can recognise the institution of traditional leaders while at same time upholding the constitutions principles of gender equality and representative democracy is completely contradictory. Today in post-1994 South Africa the term traditional authorities is an all-encompassing term in which it refers to chiefs of all different ranks and that have jurisdiction over rural people.à [iii]à But this concept of traditional authority has, over the years, has been reshaped and moulded to not only benefit the white ruling governments that have dominated South Africas history but also the patriarchal systems. The two main institutions that were reconstructed were chieftainship and customary law. In the colonial era they were used as a cheap form of administration, later to ensure the successful use of the migrant labour system. In the apartheid era they were used in the states attempt to divide the African population into their ethnic groups so that they would be easier to control. Customary law may be seen by some as a long African tradition but others, as illustrated by Cherryl Walker, believe that customary law is not only sexually discriminatory in the extreme but also a construct of the past hundred years.à [iv]à The chief was also reinvented to become dependent on approval from the centre, for any chiefs that were perceived to be disloyal to the dominant white state, were removed and replaced by more compliant individuals. During this time the most valuable power the chief possessed was the power to allocate land, and it remains so today. This power was beneficial to the apartheid state but has caused massive complications for the reconstruction of rural areas under the new ANC-led government,à [v]à and has been hugely detrimental to the population of rural women and gender equality. The issue of land allocation was one of the largest issues to be resolved facing the new post-apartheid government, and remains so to this day. For the first ten years the new ANC-led government has been very vague on the issue of traditional authorities and land allocation. Traditional authorities took advantage of this indecisiveness and used to their benefit. Things were further complicated by the fact that the constitution recognised the institution of traditional leaders but failed to specify the roles, functions and powers of said authorities. This resulted in massive confusion for the people on the ground and when elected councillors were introduced in 1995/96, the lack of a clear definition led to tension between the newly elected councillors and the traditional authorities, as neither were clear as to what role they would play and considered the other institution to illegitimate. When the ANC came to power and the new democratic constitution was enforced many South Africans believed that the newly elected councillors would take over the function of land allocation, the government indicated that it would become the responsibility of the Traditional rural councils (TRC) however the old apartheid laws were effectively still in place, government officials still used, with a few adjustments, the apartheid procedure and did not recognise the elected councillors as having power to allocate land, as a result by 2000, (the end of the transition period) the rural people had become dissatisfied with the rural councillors.à [vi]à It wasnt until the combination of the Traditional Leadership and Framework Actà [2]à (framework act) in 2003 and the Communal Land Rights Actà [3]à 2004, that the government finally clarified the role of traditional authorities. The combination of these two acts drew criticism from a huge range of civil society organisations, ranging from gender activists to land activists, such as, the programme for Land and Agrarian Studies (PLAAS) and the National Land Committee (NLC) they considered these new traditional councils to be, as Ntsebeza illustrates, a retreat from democracy and the Communal Land Rights Act was an attempt to revive a defunct apartheid institution which was above all extremely discriminatory of women.à [vii]à The reason that the traditional authorities being in control of land allocation is such bad news for women is because of their continuing use of customary law.à [4]à Despite the fact that gender equality should, according to the constitution, prevai l over institutions of traditional authorities, in practice customary law and practice tend to win in matters marriage, divorce and property ownership (with most chiefs still unwilling to allocate land to women) resulting in deeply patriarchal decisions that lessen womens rights to those of their husbands, fathers or even sons.à [viii]à The principle of customary law has even been upheld in the Supreme Court rulings (2000) despite what is clearly stated in the constitution.à [ix]à This elevation of hereditary chieftainship to a privileged and protected position within local government seriously compromises rural womens access to and influence on local governments.à [x]à The framework act has created councils that are dominated by traditional authorities whilst the Communal Land Rights Act has given these structures extraordinary powers, combined they have effectively given the traditional authorities back the powers that they had enjoyed in the apartheid era under the Ba ntu Authorities Act.à [xi]à Through these acts the national government has majorly failed the women in rural areas in relation to land and womens right over its allocation and use, in effect the government has failed to uphold the very principles in the constitution of equality all they have done is further entrench the concept of male-domination in both peoples minds and the institutions in rural South Africa. One of the major reasons behind the increase in dominance in the traditional authorities in rural areas is due to the lack of a significant civil society movement in particular a powerful Womens movement post-1994 to push for equality. Before the first democratic elections in South Africa, the general womens movement was much stronger. Successfully contesting the traditional authorities proposals to have customary law exempt from the gender equality clauseà [xii]à and later defeating their bid to have customary law entrenched itself. The womens organisations also managed to successfully mobilise itself after being sidelined in the constitutional negotiation process to form the Womens National Coalition in 1992, with the aim to draft a charter for womens rights, that would be included or at least consulted when the constitution was drawn up. However this coalition didnt last long after the charter was formalised, the ANC womens league become suspicious and believed that other part ies would use the coalition to better themselves and not women as a whole, and as a result dropped out. This left the womens movement in tatters.à [xiii]à There was a further blow to the movement when the ANC was elected to government as many women that were at the forefront of the womens movements became members of parliament on ANC tickets. Leaving the majority of the womens organisations without key players and leaders. The situation was worse in rural areas for these organisations due to the fact they were predominantly urban based and were nowhere near as organised as the traditional authorities. As a result it was far more difficult for rural women to come together against the repressive nature of the Traditional Authorities as they had no organisation or figurehead to unite under. The traditional nature of rural South Africa is also felt within the rural local councils, where the number of women is actually lower than that of the national parliament. This goes against the western norm that women usually do better at the local level.à [xiv]à Gotez and Hassim illustrate two main reasons for this, firstly that traditional patriarchies can be more intense and immediate in their repressive effect on womens engagement at local level compared to the national and secondly that womens movements capacity to support women in local politics and help develop gender equality policy platforms can be fragmented by decentralisation.à [xv]à The lack of an effective womens movement post-1994, has had a negative effect on the development of gender equality. Another problem women face in rural councils is that they are set up to accommodate a male councillors way of life and not a womans who still have to uphold their traditional responsibilities for the home and family, C onnell argues that this holds dangerous potential for fostering exclusivity in political leadership.à [xvi]à Many believe that there are too many meetings that run late and seem to discuss the same issues over and over, which is just not practical for women councillors who have a family and a home to look after alongside their job as councillors. Unfortunately due to the smaller number of women in local councils than in the national parliament they are unable to ensure that matters such as hours of sitting and childcare are addressed, instead their concerns are ridiculed as womens problems by the male-dominated councils.à [xvii]à These issues enforce the perceptions that women are not capable of serving as councillors and damage the potential contribution of women councillors. Problems like this show just how deeply entrenched male-domination still is in South Africa,à [xviii]à and not just in rural areas but on the national scale. The male domination on real power is st ill very evident. The ANCs history towards Traditional Authorities is very important in understanding why the act the way they do towards them. The ANC was formed in 1912 and many of its founding members were traditional authorities who opposed to the Union of South Africa. However as time when on the ANC became a more radical movement and combined with pressure from its youth League and its communist allies the ANC split in two when it came to what to do with Traditional authorities today; the first being pro traditional authorities providing that they were critical of government policy. The second, who were clearly influenced by their communist allies, argued that the institution of traditional authorities belong to a previous feudal era and should be replaced by a more democratic institution.à [xix]à One of the main questions to be looked at is why the ANC has made so many concessions to the traditional authorities at the time of transition at the expense of gender equality, in spite of their obvious commitment to equality, in particular gender equality, both in the constitution and their own party politics (i.e. the election quota). The ANC has always been split and extremely ambiguous in its views and policy towards the institution of traditional authority. It is also widely accepted that tampering with the power of chiefs threatens to create a mass amount of political problems.à [xx]à Because of this most politicians feel the issue is best left alone. There are a number of possible reasons this. The first being that the ANC is fundamentally urban based and has always been considered to be very weak in rural areas, alongside that it has never had a coherent programme to build alternative democratic structures in the rural areas to try and combat this problem.à [xxi]à And as a result the ANC has been and remains depended on traditional authorities to be their main representation in rural areas. This originated when the party was in exile but has continued to the present day, which makes it difficult for the ANC to alienate them. The ANC has to also remember that it has to take peoples commitment to custom, culture and tradition seriously if it wants keep its support in rural areas and if any program of rural construction is to succeed.à [xxii]à The ANC cannot just rush in and dismantle peoples beliefs and way of life as a large number of people still believe in and support traditional authorities and what they stand for, it will be long and slow process that will have to be carried out with the upmost care, Ismail [1999] illustrates this point well that traditional leaders cannot be abolished overnight without causing some political disequilibrium among the indigenous people especially in rural areas.à [xxiii]à The ANC has also faced direct pressure from the traditional authorities themselves, both through the Inkatha freedom Party (IFP), the Congress of Traditional Leaders in South Africaà [5]à (CONTRALESA) and the right-wing Zulu nationalist chief Buthelezi, who is recruiting chiefs who opposed the ANC during the anti-apartheid era.à [xxiv]à The ANC feels it must maintain a good relationship with CONTRALESA so that it wont lose the support of the traditional authorities who are members and their followers, who the ANC consider to be important voter blocks. Ultimately the ANC had a choice to make; to take the Traditional Authorities head on in order for womens rights to not only be written in the constitution but actually be put into practice and be experienced by women throughout south African society, or to appease the Traditional Authorities and allow for gender inequality to continue despite this going against the very constitution they wish to uphold. Unfortunately (for womens rights) the ANC has seemed to favour the latter option. But the very fact that the ANC has need to make a choice between the two is evidence of the incompatibility of Traditional Authorities and the concept of gender equality. One thing that the womens movement must remember is that getting women into parliament is not a guarantee that she will help promote gender equality as not all women have feminist interests and will most likely represent their parties interests not that of women,à [xxv]à this can be partly due to the party-list system used in South Africa, which means if you want to stay high on the list and remain in parliament you have to tow the party line. There is also the problem that women just dont feel comfortable enough to raise the question of the prolonged gender inequality within South African society, this is generally down to the traditional view upheld by many South Africans. Friedman actually argues that by putting women on committees when they are not comfortable with being in a position of authority may actually be counterproductive for and long-term strategy for empowering women.à [xxvi]à This can be down to the inexperience and uncertainty of women councillors which may l ead to them being unable to effectively articulate their opinions and concerns, leading to the reinforcement of not only the opinion that women are not cut out to be involved in politics but also the very concept of inequality. This is shown very clearly by Goetz and Hassim with their study in Temba in 2000, in which women councillors had made no concrete suggestions except to second motions.à [xxvii]à According to the women in Temba this is because they feel intimidated by the men who still hold the traditional values of women being inferior. men in the council laugh and interrupt our contributions.à [xxviii]à This is a problem that is widely known about to the majority of ANC members but still little is being done to address the issue. It is clear that if gender equality is to be a success then it is not just the traditional institutions that need to change, it is the peoples views about gender as well. Men need to accept women as their equals and women need to be empowere d so that they can be confident enough so that they can stand up for their opinions, concerns and rights. Traditional authorities in their current state are most definitely incompatible with the demand for gender equality. However as customs and traditions are never set in stone but a product of a complex and dynamic history of contestation, co-optation, reconstruction and invention,à [xxix]à traditional authorities could, if they learn to incorporate gender equality and accept the legitimate role of the democratically elected local bodies, in theory be a legitimate part of the South African democracy. However if they continue to push of their unelected body to have increased power and refuse to recognise the legitimacy of rural elected bodies and that women have equal status then they should not have a place in a democratic South Africa, as the very nature of traditional authorities is undemocratic. It is up to the government to follow through with their promise of equality, and particularly for this case gender equality by either removing them completely (which will inevitably be u npopular with a large proportion of the population especial in rural areas) or alternatively force them to become more democratic. In the current state it is unlikely that the government will do so as it could very well play into the hands of their opposition. Therefore there is a desperate need for a strong womens movement to not only put pressure on the government but to also mobilise the women of South Africa to stand up for their constitutional right of equality.
Friday, October 25, 2019
Energy Deregulation :: essays research papers
As we have witnessed the rolling blackouts and emergency alerts throughout many parts of our state of California within the past 12 months, there is a question waiting to be answered. Why do we have an energy crisis when there are other states that are doing just fine? Before we come to any hasty conclusion, let us ask ourselves what happened to the energy policy during the mid 90s? During that period the electric utilities went from being highly regulated to being deregulated following the trend in successful deregulation of many industries such as airline and telecommunication industries. The concept that deregulation will bring more competitive prices and better services to the public, undermined the negative potentials of the free market system. Deregulation bill must be abolished because it brings higher electricity prices, lower reliabilities of electricity, and also it threatens to drag down our economy along with it. First, we have seen a nation-wide increase in both wholesale and retail electricity prices. In California as an example, the wholesale prices increased seven times last year compared to 1999 (Kahn and Lynch 13). The average residential electric bill almost doubled from $40 to $80 in San Diego when the SDG & Eââ¬â¢s retail price freeze ended in June 2000.1 According to Washington Governor Gray Locke, ââ¬Å"the whole energy prices have gone up from ten to twenty times the prices of a year ago (1). In New York, more specifically in New York City and parts of Westchester County which are one of the first areas in the country to deregulate retail prices entirely, the retail rates have increased almost 30% (Eisenberg 47). This is bad when you consider that ones that are going to be most hurt from these unreasonably high electricity prices will be the individuals and families that are in the low-income bracket. Second, the reliability of electricity was compromised throughout many parts of our state, affecting both residential and business sectors. On June 14, 2000, about 100,000 customers were blacked out in San Francisco Bay Area (Kahn and Lynch 9-10). According to Lorenco Goncalves, the CEO of California steel industries, ââ¬Å"We were interrupted 14 times this month [January] compared to not once from 1987 to 1998. So many other industries depend on what we send themâ⬠¦If they canââ¬â¢t depend on my products, they will [buy them] elsewhereâ⬠(Wood and Sherer). These uncertain interruptions are causing a lot of damage in our economy.
Thursday, October 24, 2019
Mary Ainsworth Attachment Theory
Ahmad Stevens Charlene Holm General Phycology 1 November 2012 Mary Ainsworth Attachment Theory Mary Ainsworth the psychologists who provide the most detailed analyst research on an individual attachment offering explanations. Like for instants we has adults teenagers know enough how we feel when the person leaves or apart from us and we are able to explain in it words. That does not go so well for young babies such has infants.In doing so Mary Ainsworth devised an experiment to discover and identify attachment styles. She called the technique used called Strange Situation Classification she also stated that results may vary from between children. The result from the experiment Strange Situation Classification identified security attachment. In order to determine the attachment behavior in children 1 to 2 years of age and also attachment styles.So Ainsworth Four categories of behaviors are measured and observed: (1) separation anxiety: the unease the infant shows when left by the care giver, (2) the infantââ¬â¢s willingness to explore, (3) stranger anxiety: the infantââ¬â¢s response to the presence of a stranger, and (4) reunion behavior: the way the caregiver was greeted on return. The observer notes down the behavior displayed and scores the behavior for intensity on a scale 1 to 7. McLeod, S. A. (2008). Mary Ainsworth | Attachment Styles. Retrieved from http://www. simplypsychoAinswPatterns of Attachment: A Psychological Study of the Strange Situation. Hillsdale, NJ: Erlbaum. ogy. org/mary-ainsworth. html Her set of observational studies using the ââ¬ËStrange Situationââ¬â¢ paradigm (see above) revealed three distinct forms of attachment (ââ¬Ëattachment stylesââ¬â¢). One secure attachment style and two types of insecure attachments. Ainsworth (1970) identified three main attachment styles, secure, avoidant and resistant/ambivalent. She concluded that these attachment styles were the result of early interactions with the mother. A forth attach ment style known as disorganized was later identified (Main, & Solomon, 1990). | Secure Attachment| Resistant Attachment| Avoidant Attachment| SeparationAnxiety| Distressed when mother leaves. | Infant shows signs of intense distress when mother leaves. | Infant shows no sign of distress when mother leaves. | Stranger Anxiety| Avoidant of stranger when alone but friendly when mother present. | Infant avoids the stranger ââ¬â shows fear of stranger. | Infant is okay with the stranger and plays normally when stranger is present. | Reunion behavior| Positive and happy when mother returns. | Child approaches mother but resists contact, may even push her away. | Infant shows little interest when mother returns. | Other| Will use the mother as a safe base to explore their environment. Infant cries more and explores less than the other 2 types. | Mother and stranger are able to comfort infant equally well. | % of infants| 70| 15| 15| Ainsworth, M. D. S. , Blehar, M. C. , Waters, E. , & Wall, S. (1978). Patterns of Attachment: A Psychological Study of the Strange Situation. Hillsdale, NJ: Erlbaum. Ainsworth & Bell suggested that behavior in the strange situation classification was determined by the behavior of the primary carer in this case the mother. She identified many attachment behaviors which gives us a detailed report on attachment theory .Insecure Resistant attached infants are associated with inconsistent primary care. Insecure Avoidant infants are associated with unresponsive primary care. Avoidant children think themselves unworthy and unacceptable, caused by a rejecting primary caregiver(Larose & Bernier, 2001). Resistant children have negative self image and exaggerate their emotional responses as a way to gain attention (Kobak et al. , 1993). Reference Ainsworth, M. D. S. , Blehar, M. C. , Waters, E. , & Wall, S. (1978). Patterns of Attachment: A Psychological Study of the Strange Situation. Hillsdale, NJ: Erlbaum.Ainsworth, M. D. S. , Blehar, M. C. , Waters, E. , & Wall, S. (1978). Patterns of attachment: A psychological study of the strange situation. Hillsdale, NJ: Erlbaum. Kobak, R. R. , Cole, H. E. , Ferenz-Gillies, R. , Flemming, W. S. , & Gamble, W. (1993). Attachment and emotional regulation during mother-teen problem-solving. A control theory analysis. Child Development, 64, 231-245. Larose, S. , & Bernier, A. (2001). Social support processes: Mediators of attachment state of mind and adjustment in later late adolescence. Attachment and Human Development, 3, 96-120.
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