Wednesday, October 30, 2019

Gazprom Assignment Example | Topics and Well Written Essays - 2000 words

Gazprom - Assignment Example By 2002, the government held about 38.37% of share of Gazprom. In the global extent, the organisation represents about 20% of international gas production. In Russia, the organisation regulates about 60% of gas services and generates about 50% of power in the nation. Gazprom is liable for a supporting considerable portion of Gross Domestic Product (GDP) in Russia and delivers about 20% of its revenue to the national budget (Thomas, 2006). However, presently the dominance of Gazprom is under stake and the organisation is also facing challenges in order to stay sustainable in business. 1.1 Terms of Reference Focusing on this aspect, the report is based on the analysis of Gazprom. The objective of the report is to discuss the socio-political issue which is faced by Gazprom in the oil and gas industry. In line with the issues faced by Gazprom, the report also undertakes a SWOT analysis of the organisation. ... In the year 2006, a disagreement emerged between Russia and Ukraine which resulted in cessation of deliveries of natural gas from Russia to Ukraine. Since most of Russia’s gas for Western Europe transports through Ukraine, the disagreement between these two nations resulted in significant reductions in sales of Gazprom to the Western Europe, particularly during the period of high demand for example during cold weather. During similar period, other socio-political problems resulted in reduction of supply of natural gas to America, Georgia and Moldova, bringing about serious issues to fulfil the demand of customers as well as to enhance the profitability (Perovic & et. al., 2006). Gazprom is a unique organisation, because it was basically a department which has become a corporation. Furthermore, it is also highly contentious to understand the level to which Gazprom represents the government and business interests. Gazprom’s mainstream business is export of natural gas whi ch has reduced due to over pricing activities. The subsidiaries of the organisation are being lopped off and sold at increased prices to more active competitors. The dramatic decline of the organisation’s sales is sparked by rapid improvement of American gas supply companies, failure of Gazprom to invest in research and development activities and ignorance of transformation in oil and gas industry. The problems of Gazprom most probably accelerate the difficulty of long run sustainability, where the government has failed to react to the prevailing market situations (Englund & Lally, 2012). 3.2 European Gas Market The gas market of Europe has stagnated because of high prices. Thus, natural gas provided by

Monday, October 28, 2019

Rhetorical Analysis on An Elementary School in Slum Essay Example for Free

Rhetorical Analysis on An Elementary School in Slum Essay The poem â€Å"An Elementary School Classroom in a Slum† by Stephen Spender, begins with a stanza depicting the worrying condition of the students in elementary school. As the poem extends further, Spender points out the corruptions in the Government and accuses it for paying little attention to children’s education and health conditions. He argues that the children should break through the confinement of slum, and embrace the beauty of nature. In the slum, Children do not have pleasant moments; they are far away from the â€Å"gusty waves†, and far away from the fields and playgrounds that supposed to accompany them along their childhood memories. They also do not have healthy bodies. A simile compares their hair to â€Å"rootles weed†, which shows that the children are severely malnourished, and are not taken care of. The boy is â€Å"paper-seeming†, and â€Å"of twisted bones†. The â€Å"tall girl with her weighed-down head† implies the fact that she might be looked down by others, and she is physiologically and psychologically fatigue. However, there is â€Å"one unnoted, sweet and young† kid, at the back of the classroom, whose â€Å"eyes live in a dream, of squirrel’s game. † We can see a glimmer of hope from this sweet kid, however, we are not sure if he is simply lost in the â€Å"squirrel’s game†. The school is poorly equipped with donations such as Shakespeare’s portrait that decorates on the â€Å"sour cream walls. † The picture of â€Å"cloudless at dawn, civilized dome riding all cities† is in sharp contrast to the dusty sky and shabby building of elementary school in reality. The kids’ future is painted with a fog under a â€Å"lead sky. † The depiction of turbid sky created an atmosphere of despair and hopelessness. Not only the children’s future is foggy and blurred, but also their lives are monotonous and insipid, â€Å"far far from rivers, capes, and the stars of words. The children are confined to the school in slum as well as their imagination. William Shakespeare, the greatest playwright and poet in English language, is â€Å"wicked† to them, because they cannot appreciate the splendidness of language. And â€Å"the map is a bad example, with ships and sun and love tempting them to steal. † The map gives chil dren the taste of charming nature; however, instead of igniting the light of hope, it falsely tempts the children to acquire their goals even at the cost of stealing. They live in â€Å"cramped holes†, a limited and narrow space, with â€Å"slag heap† all around them. Their study environment and living conditions are horrible, that they cannot maintain healthy body, let alone receiving appropriate education. Their future is like â€Å"mended glass,† foggy and blurred, full of despair. The school only operates when â€Å"governor, teacher, inspector, visitor† come to observe, so it does not provide serious teaching. Consequently, â€Å"this map becomes their window and these windows that shut upon their lives like catacombs. † The slum limits the students’ horizon, like catacombs, and the maps are the only way for them to see the world outside. They live in a dream that can never come true as long as they are still in the slum. At last, the poet envisions the students break through the confinement of slum, and finally they can embrace the beautiful nature, that was once on the map but far away from them. Spender harshly criticizes the government’s nonchalance towards the poverty-stricken children, and he appeals to all the people to pay more attention to the children and help ameliorate their education and health conditions. So that they can â€Å"show the children green fields and make their world run azure on gold sands, and let their tongues run naked into books. †

Saturday, October 26, 2019

The Sins of Cloning Essay -- Argumentative Persuasive Topics

The Sins of Cloning   Ã‚  Ã‚   "See you in two years with your cloned child," says the doctor to his patient. Such a statement sounds so bizarre and futuristic, but scientists believe cloning "is no longer the realm of science fiction" (Virginia, Sirs). Its "just a matter of time before the first cloned [humans]" (Virginia, Sirs). Although this practice does not seem dangerous, cloning should be banned because it takes away the individual importance of human beings, is too risky, and also morally wrong.    The process of cloning scientifically means to genetically copy an organism and create a 'replica' that has the same DNA, whose cells time have been turned back, yet the two are not exactly the same; not a 'xerox' (Virginia, Sirs). The process of cloning was first tried in 1938 by a German embryologist, Han Spemann, yet it failed. It was not until 1970 when cloning became possible. The first animals to be cloned were frogs. Over the few decades, cows, pigs, a sheep (only Dolly), and monkeys have successfully been cloned. The major reason why humans and other animals have not been cloned yet, aside from the acceptance of society, is because every organism's egg is different: its size, shape, and the stages of its 'life'. This has been proved over and over and therefore, there is no certain procedure or 'ingredients' for a clone (Virginia, Sirs).    Admittedly, "to say that human cloning is forbidden won't stop the science [for some]" (Virginia, Sirs). If cloning is successful, it will help homosexuals and infertile couples for biological offspring. This will help lesbians, or women in particular, more than men since only females are capable of birth. In order for men to have a clone, he must buy an egg and 'buy/re... ...just not meant to play as God, for it is too much of a responsibility. We are sinful people, and the ability of cloning places too much power in our sinful hands, so therefore it is not meant to be for us; Only for God.    Works Cited Gribbin, August. "Human Cloning Draws Nearer as Ethics Seek to Draw Rules." Washington Times, 9 November 1998. Newsbank: Cloning February 10 (1999). Hurbert, Wray. "The World after Cloning." New and World Report, 10 March 1997. Newsbank: Cloning February 10 (1999). "Is Cloning Mastermind playing God?" The Atlanta Journal Constitution, 11 January 1998. Newsbank: Cloning February 26 (1999). Morell, Virginia. "A Clone if one's own." Discover, May 1998. Sirs: Cloning February 12 (1999). Robertson, John A. "The Question of Human Cloning." Discover, March/April 1994. Newsbank: Cloning February 10 (1999).  

Thursday, October 24, 2019

Application of Nanotechnology in Diagnosis and Treatment of Diseases: Cancer

RESEARCH PROPOSAL APPLICATION OF NANOTECHNOLOGY IN DIAGNOSIS AND TREATMENT OF DISEASES – CANCER. BY OLOWOKERE JOHN 1. 0 Introduction Nanotechnology is the study, design, creation, synthesis, manipulation, and application of materials, devices, and systems at the nanometer scale (One meter consists of 1 billion nanometers). It is becoming increasingly important in fields like engineering, agriculture, construction, microelectronics and health care to mention a few. The application of nanotechnology in the field of health care has come under great attention in recent times.There are many treatments today that take a lot of time and are also very expensive. Using nanotechnology, quicker and much cheaper treatments can be developed. By performing further research on this technology, cures can be found for diseases that have no cure today. We could make surgical instruments of such precision and deftness that they could operate on the cells and even molecules from which we are made – something well beyond today's medical technology. Therefore nanotechnology can help save the lives of many people. Mohd & Jeffery, 2007). The specific purpose of this report is to explain the application of nanotechnology to the diagnosis and treatment of diseases such as cancer in the field of medicine. Applications such as drug delivery system, tissue reconstruction and disease diagnosis and treatment shall be discussed. This report will be of particular interest and help to researchers in the genetic engineering and biotechnology department of the federal university of technology Minna, and other research institutions. 1. 1 Problem StatementThe specific purpose of this report is to delve into the application of nanotechnology to diagnose and treat diseases in the field of medicine using our own indigenous technology. Applications such as drug delivery system, tissue reconstruction and disease diagnosis and treatment shall be discussed as it relates to cancer. 1. 2. Just ification of the Study With the raging scourge of cancer in the world today, nanotechnology provides the field of medicine with promising hope for assistance in its diagnosis and treatment as well as improving the general quality of life.Humans have the potential to live healthier lives in the near future due to the innovations of nanotechnology. Some of these innovations include: Disease diagnosis, prevention and treatment of disease, better drug delivery system with minimal side effects and tissue reconstruction. 1. 3. Objective of the Study This research work is designed to achieve the following objectives: ? Design and production of nano-tech devices and equipment for the diagnosis of diseases such as cancer. ?To develop a model that predicts the method involve in the diagnosis, prevention and treatment of diseases such as cancer. Design of nanoparticles for nano-tech applications such as tissue reconstruction. ?To determine the method that will best optimize the drug delivery s ystem with minimal side effects. 1. 4. Scope and Limitation of the Study The scope of this research work shall be limited to the application of nanotechnology in the diagnosis, prevention and treatment of cancer as highlighted in the problem statement of this research work. 2. 0 LITERATURE REVIEW The word â€Å"nano† is derived from the Greek â€Å"nanos†, directly translating to English as â€Å"dwarf†.From the very literal meaning of the word, therefore, it is inferred that the science is operated on a miniature scale. When working at a nanoscale, the prefix â€Å"nano† is used as an SI unit to denote any value multiplied by 10-9, meaning that a nanosecond is roughly a billionth of a second and a nanometre equates to a billionth of a metre. Ten hydrogen atoms lined up side by side would equate to a length of 1nm; in fact, most atoms are a miniscule 0. 1-0. 2nm wide. Due to the fact that work on a cellular level is done primarily at a nanoscale, it is th erefore unsurprising that nanotechnology has paved the way for a vast quantity of iological development, and a great majority of the findings encountered have led to cutting edge breakthroughs in this area (Harry, 2005). Nanotechnology offers various exciting prospects to every aspect of life. From dietary supplements to clothing, nanotechnology is evolving rapidly all around us. It offers numerous possibilities, especially in the medical sector of nanoscience (nanomedicine). Nanomedicine can be defined as â€Å"the design and manipulation of nanoparticles, particularly as applied to the medical diagnosis and treatment of disease. Examples of recent nanomedical developments include; the use of nanoparticles with antibacterial properties in hospital equipment and the development of magnetic nanoparticles being used to target disease, reducing the necessity of surgery and the associated risks. A further innovation in nanomedicine has been manufacturing drugs as nanoparticles as they are thought to be absorbed more easily into the body because of their size. It could offer easier methods of locating and targeting specific cells on a „nano? size level, on an atomic scale, and delivering drugs to these cells.This is good because often very powerful drugs are needed to kill mutated cells such as tumour cells, and these drugs would be hazardous if they came into contact with normal functioning cells (Mohd & Jeffery, 2007). 2. 1 Nanotechnology preventive approach In general, the best way to eliminate a problem is to eliminate the cause. In cancer, the problem can be perceived differently at various stages of the disease. Most apparently, if genetic mutations are the underlying cause, then we must counteract the causes of the mutations.Unfortunately, genetic mutations are caused by artificial or natural carcinogens only some of the time. At other times, they may occur spontaneously during DNA replication and cell division. With present science and technology the re is very little we can do to prevent this from happening. However, in all other cases, eliminating the carcinogens is indeed a highly effective way of cancer prevention. But most patients do not recognise the problem until it has actually occurred, which makes preventive medicine a rarely utilised, although a highly effective form of cancer prevention.Even so, is there a way to eliminate cancer through nanotechnology before it starts? Although there is little current research on preventive treatments using nanotechnology, they are indeed possible. After a careful review of the most advanced disease-time nanoscale treatment methods, one can easily see why the proposed nanotechnology alternatives to current preventive treatments have so strongly attracted the attention of the scientific and medical communities in recent years. In fact, nanotechnology-based treatments are no more challenging to devise than the currently used disease-time treatment methods.Nonetheless, it requires tim e and monetary investments to develop such treatment methods in short time. (Greider and Blackburn, 1996). 2. 2 Method of Disease Diagnosis using nanotechnology 1. Diagnosis and Imaging: Nanobiotech scientists have successfully produced microchips that are coated with human molecules. The chip is designed to emit an electrical impulse signal when the molecules detect signs of a disease. Special sensor nanobots can be inserted into the blood under the skin where they check blood contents and warn of any possible diseases.They can also be used to monitor the sugar level in the blood. Advantages of using such nanobots are that they are very cheap to produce and easily portable. (Harry, 2005) 2. Quantum dots: Quantum dots are nanomaterials that glow very brightly when illuminated by ultraviolet light. They can be coated with a material that makes the dots attach specifically to the molecule they want to track. Quantum dots bind themselves to proteins unique to cancer cells, literally br inging tumors to light. (Weiss, 2005). 2. 3 Application of Nanotech in Drug Delivery SystemNanobots are robots that carry out a very specific function and are just several nanometers wide. They can be used very effectively for drug delivery. Normally, drugs work through the entire body before they reach the disease-affected area. Using nanotechnology, the drug can be targeted to a precise location which would make the drug much more effective and reduce the chances of possible side-effects (Perkel, 2004). The drug carriers have walls that are just 5-10 atoms thick and the inner drug-filled cell is usually 50-100 nanometers wide. When they detect signs of the disease, thin ires in their walls emit an electrical pulse which causes the walls to dissolve and the drug to be released. Aston Vicki, manager of BioSante Pharmaceuticals, says â€Å"Putting drugs into nanostructures increases the solubility quite substantially†. (Harry, 2005) 2. 4 Nanotechnology approaches for cancerous cell destruction Preventive treatments are not much good to those who have already developed the disease. And since these are the people who require the most immediate medical help, it is no wonder that a majority of innovative treatments are focused here.Again, there are several ways to view the problem. The traditional approach is to simply eliminate the causing agents, or the cells that make up the tumour and end their pararcine signalling effect. This method actually dates back to the mid-17th century, when John Hunter, a Scottish surgeon first suggested the surgical removal of the tumour (Denmeade and Isaacs, 2002). Of course, we have made great progress in the last 350 years, but the idea remains the same. If we see the cancerous cells of the tumour as the causing agents of the disease, then the obvious strategy is to remove or to destroy them.The most significant recent breakthroughs have been made in this area. A relatively long-standing strategy dating back to the 1950s is to flood the body with substances that are especially toxic to tumour cells. Unfortunately, tumour cells are not dissimilar enough from healthy cells to distinguish one from the other using such large-scale techniques. A drug that is especially toxic to tumour cells is usually also toxic to healthy cells, and simply flooding the entire body with it causes system-wide damage and serious side effects.Almost everyone has heard of or seen chemotherapy patients who have lost their hair, lost significant weight, or developed other serious disorders (Silva, 2004). 2. 5 Physics and Engineering Concepts in Cancer Treatment Aside from destroying cells directly, we can take a more elegant approach to tumour elimination. Massand energy balance are well understood and are widely used in all types of science and engineering. Furthermore, these concepts are quite general, and can be applied to other fields as well, such as medicine.The general principles of mass balance, energy conservation and e ntropy production are applicable to bio systems as well as industrial processes. Thus, we can define the malignant tumour as our bio system and proceed to investigate the mass, energy and entropy inputs, outputs and accumulations. (Mansoori et al. , 2007). Since our ultimate goal is to destroy the tumour, we realise that this can be achieved by limiting or eliminating the inputs of the needed nutrients and the useful energy that are vital to its growth and survival.Likewise, we can limit the outputs, which are necessary for the tumour cells to get rid of toxic waste products that are left over from the multitude of biochemical reactions continuously taking place. Furthermore, basic anatomy and biology tell us that cells within the human body get a vast majority of their nutrients and energy from the bloodstream, and likewise use the bloodstream to eliminate the toxins. Cells that are cut off from circulation quickly undergo necrosis and are effectively eliminated. Therefore, our goa l is to separate the tumour from the circulation in order to kill it.Numerous studies have explored the possibility of isolating cancer tumours from the bloodstream. (Reynolds et al. , 2003). 2. 6 Tissue Reconstruction Nanoparticles can be designed with a structure very similar to the bone structure. An ultrasound is performed on existing bone structures and then bone-like nanoparticles are created using the results of the ultrasound, the bone-like nanoparticles are inserted into the body in a paste form. When they arrive at the fractured bone, they assemble themselves to form an ordered structure which later becomes part of the bone (Adhikari, 2005). 3. 0 MethodologyThis research work shall use the following methods or approaches to achieve its aim and objectives: †¢Top – down technique: The top – down technique begins with taking a macroscopic material (the finished product) and then incorporating smaller scale details into them. The molecules are rearranged to get the desired property. This approach is still under immense research as many of the devices used to operate at nanolevel are still being developed. †¢Bottom – up approach: The bottom – up approach begins by designing and synthesizing custom made molecules that have the ability to self- replicate.These molecules are then organized into higher macro-scale structures. The molecules self replicate upon the change in specific physical or chemical property that triggers the self replication. This can be a change in temperature, pressure, application of electricity or a chemical. The self replication of molecule has to be carefully controlled so it does not go out of hand. 4. 0 Expected Contribution of the Work to Knowledge Though, nanotechnology is still in its early stage, but it is of worthy note to know that it has began to gain application as it is already helping patients all over the world today.As further research continues in this field, more treatments will be discovered. Many diseases that do not have cures today may be cured by nanotechnology in the future. As part of contribution to knowledge, the result that shall be established in this research work may be useful in the development of indigenous methods and model on the diagnosis, prevention and treatment of cancer. 5. 0 Conclusion Prevention, diagnosis and treatment of cancer have always been a formidable medical challenge. In fact, cancer has long been considered an incurable disease and it is grouped with Hepatitis C and AIDS.Throughout the bulk of human history, cancer tended to be fatal in those who were unfortunate to develop it. Cancer will continue to be a big problem since it is a disease related mostly to age. As our population average age increases due to medical advances, cancer will be a major disease of the aging. At the end of this research work, we may have been able to develop and design a model that will effectively be used to diagnose the disease of cacer, proff er measures and techniques on how it can be prevented and treated.Also, the principle surrounding the mechanism of how a better drug delivery system with minimal side effects concerning the cure of cancer must have been fully explored. All these will be tried and tested using our own indigenous nanotechnology in the area of genetic engineering which promises a brighter future in the field of medicine leading to the actualization of the objective of this research work. REFERENCES Greider, C. W. and Blackburn, E. H. (1996). ‘Telomeres, telomerase and cancer’, Scientific American, Vol. 274, pp. 80–85. Mohd A. K and Jeffery J. (2007). Nanotechnology: Application in medicine and possible side effects.Denmeade, S. R. and Isaacs, J. T. (2002). ‘A history of prostate cancer treatment’, Nature Rev. Cancer, Vol. 2, pp. 389–396. Reynolds, A. R. , Moghimi, S. M. and Hodivala-Dilke, K. (2003) ‘Nanoparticle-mediated gene delivery to tumor neovasculatu re’, Trends in Molecular Medicine, Vol. 9, No. 11, pp. 2–4. Mansoori, G. A; Pirooz, M; Percival, M; Siavash, J. (2007). Nanotechnology in Cancer Prevention, Detection and Treatment: World Review of Science, Technology and Sustainable Development, Vol 4. Adhikari, R. (2005). â€Å"Nanobiotechnology: Will It Deliver? † Healthcare Purchasing News. pg 1-3.

Wednesday, October 23, 2019

“Cat Bill” Analysis Essay

In his statement of veto of the â€Å"Cat Bill,† Governor Stevenson manifests sarcastic diction to appeal to common sense and knowledge, and uses examples of personification and dramatization to craft his effective argument ridiculing the bill. Governor Stevenson organizes his veto using common knowledge so that anyone of any background can comprehend his reasoning. He implies the impracticality of the bill by juxtaposing the basic effects it would have on both owners and the cats themselves. He uses subtle mockery by portraying cats as innocent and attributing their roaming behavior as a part of their nature. He depicts the cats to be naturally unbounded and indicates the absurdity of an owner trying to domestic them to the degree of escorting them on a leash. He predicts what possible conflicts passing this bill create, and the specific effects the bill would have on different areas, such as farms, villages, and cities. Stevenson even alludes to the writers of the bill to simply dislike cats, sarcastically calling the entire roaming cats situation as a â€Å"worthy cause to which its proponents give such unselfish effort.† Through his arguments relevant and understandable to anyone, Governor Stevenson is able to re veal the absurdity of the proposal, and allows his point to be clearly stated. Stevenson’s use of comparison and personification are additives to the overall effective of his veto. He plays on cats’ natural rights, creating a sense of justice versus injustice. He creates an almost eerie setting by measuring the liberty of cats to humans. By using words such as â€Å"capture† and â€Å"imprison,† the reader receives emotions of sympathy towards cats, unable to agree with the injustice they receive. Stevenson uses words of contempt, such as â€Å"hunt† and â€Å"traps,† to stir readers’ emotions to believe how evil and pagan-like these â€Å"zealous citizens† are behaving. He creates a picture of an implausible situation, such as a â€Å"cat on a leash,† allowing the reader to see how inconceivable it is. Stevenson uses examples of impossibility like these to serve his purpose – to show his reasoning behind his disapproval of the bill. Governor Stevenson created a veto that contained sufficient reasoning behind his disapproval, using techniques of organization and personification. Through his argument, he is able to obtain the reader’s sympathy towards cats. His writing is perceivable and effective in gaining the audience’s understanding.

Tuesday, October 22, 2019

British Poor Law Reform in the Industrial Revolution

British Poor Law Reform in the Industrial Revolution One of the most infamous British laws of the modern age was the Poor Law Amendment Act of 1834. It was designed to deal with the rising costs of poor relief, and reform a system from the Elizabethan era unable to cope with the urbanization and industrialization of the Industrial Revolution (more on coal, iron, steam) by sending all able-bodied people in need of poor relief into workhouses where conditions were deliberately harsh. The State of Poverty Relief Before the Nineteenth Century The treatment of the poor in Britain before the major nineteenth-century laws depended on a large element of charity. The middle class paid a Parish poor rate and often saw the increasing poverty of the era merely as a financial worry. They often wanted the cheapest, or most cost-effective, way of treating the poor. There was little engagement with the causes of poverty, which ranged from illness, poor education, disease, disability, underemployment, and poor transport preventing movement to regions with more jobs, to economic changes which removed domestic industry and agricultural changes which left many without jobs. Poor harvests caused grain prices to rise, and high housing prices led to greater debt. Instead, Britain largely viewed the poor as one of two types. The ‘deserving’ poor, those who were old, handicapped, infirm or too young to work, were considered blameless as they obviously couldn’t work, and their numbers stayed more or less even across the eighteenth century. On the other hand, the able-bodied who were without work were considered ‘undeserving’ poor, thought of as lazy drunkards who could have got a job if they needed one. People simply didn’t realize at this point how the changing economy could affect workers. Poverty was also feared. Some worried about deprivation, those in charge worried about the increase in expenditure needed to deal with them, as well as a widely perceived threat of revolution and anarchy. Legal Developments Before the Nineteenth Century The great Elizabethan Poor Law Act was passed at the start of the seventeenth century. This was designed to fit the needs of the static, rural English society of the time, not that of the industrializing centuries afterward. A poor rate was levied to pay for the poor, and the parish was the unit of administration. Unpaid, local Justices of the Peace administered the relief, which was supplemented by local charity. The act was motivated by the need to secure public order. Outdoor relief – giving money or supplies to people on the street – was coupled with indoor relief, where people had to enter a ‘Workhouse’ or similar ‘correctional’ facility, where everything they did was tightly controlled. The 1662 Act of Settlement acted to cover up a loophole in the system, under which parishes were shipping sick and destitute people into other areas. Now you could only receive relief in your area of birth, marriage or long-term living. A certificate was produced, and the poor had to present this if they moved, to say where they came from, impinging on freedom of labor movement. A 1722 act made it easier to set up workhouses into which to funnel your poor, and provided an early ‘test’ to see if people should be forced in. Sixty years later more laws made it cheaper to create a workhouse, allowing parishes to team up to create one. Although the workhouses were meant for the able-bodied, at this point it was mainly the infirm that were sent to them. However, the Act of 1796 removed the 1722 workhouse act when it became clear a period of mass unemployment would fill the workhouses. The Old Poor Law The result was the absence of a real system. As everything was based on the parish, there was a huge amount of regional diversity. Some areas used mainly outdoor relief, some provided work for the poor, others used workhouses. Substantial power over the poor was given to local people, who ranged from honest and interested to dishonest and bigoted. The whole poor law system was unaccountable and unprofessional. Forms of relief could include each rate payer agreeing to support a certain number of workers – depending on their poor rate assessment - or just paying wages. The ‘rounds’ system saw laborers sent round the parish until they found work. An allowance system, where food or money was given out to people on a sliding scale according to family size, was used in some areas, but this was believed to encourage idleness and poor fiscal policy among the (potentially) poor. The Speenhamland System was created in 1795 in Berkshire. A stop-gap system to stave off mass destitution, it was created by the magistrates of Speen and quickly adopted around England. Their motivation was a set of crises which occurred in the 1790s: rising population, enclosure, wartime prices, bad harvests, and fear of a British French Revolution. The results of these systems were that farmers kept wages down as the parish would make up the shortfall, effectively giving employers relief as well as the poor. While many were saved from starvation, others were degraded by doing their work but still needing poor relief to make their earnings economically viable. The Push to Reform Poverty was far from a new problem when steps were taken to reform the poor law in the nineteenth century, but the industrial revolution had changed the way poverty was viewed, and the impact it had. The rapid growth of dense urban areas with their problems of public health, housing, crime, and poverty was clearly not suited to the old system. One pressure to reform the poor relief system came from the rising cost of the poor rate which rapidly increased. Poor-rate payers began to see poor relief as a financial problem, not fully understanding the effects of war, and poor relief grew to 2% of the Gross National Income. This difficulty was not spread evenly over England, and the depressed south, near London, was hit hardest. In addition, influential people were beginning to see the poor law as out of date, wasteful, and a threat to both the economy and the free movement of labor, as well as encouraging large families, idleness, and drinking. The Swing Riots of 1830 further encouraged demands for new, harsher, measures on the poor. The Poor Law Report of 1834 Parliamentary commissions in 1817 and 1824 had criticized the old system  but offered no alternatives. In 1834 this changed with the creation of the Royal Commission of Edwin Chadwick and Nassau Senior, men who wanted to reform the poor law on a utilitarian basis. Critical of amateur organization and desirous for greater uniformity, they aimed for the ‘greatest happiness for the greatest number.’ The resulting Poor Law Report of 1834 had is widely regarded as a classic text in social history. The commission sent out questionnaires to over 15,000 parishes and only heard back from around 10%. Then they send assistant commissioners to roughly a third of all poor law authorities. They were not seeking to end the causes of poverty – it was considered inevitable, and necessary for cheap labor – but to change how the poor was treated. The result was an attack on the old poor law, saying it was costly, badly run, out of date, too regionalized and encouraged indolence and vice. The suggested alternative was the strict implementation of Bentham’s pain-pleasure principle: the destitute would have to balance the pain of the workhouse against getting a job. Relief would be given for the able-bodied only in the workhouse, and abolished outside it, while the state of the workhouse should be lower than that of the poorest, but still employed, laborer. This was ‘less eligibility’. The 1834 Poor Law Amendment Act A direct response to the 1834 report, the PLAA created a new central body to oversee poor law, with Chadwick as secretary. They sent out assistant commissioners to oversee the creation of workhouses and the implementation of the act. Parishes were grouped into unions for better administration – 13,427 parishes into 573 unions – and each had a board of guardians elected by ratepayers. Less eligibility was accepted as a key idea, but outdoor relief for the able-bodied wasn’t abolished after political opposition. New workhouses were built for them, at the expense of the parishes, and a paid matron and master would be in charge of the difficult balance of keeping workhouse life lower than paid labor, but still humane. As the able-bodied could often get outdoor relief, the workhouses filled with the sick and old. It took until 1868 for the entire country to be unionized, but the boards worked hard to provide efficient and occasionally humane services, despite sometimes difficult agglomerations of parishes. Salaried officials replaced volunteers, providing a major development in local government services and the collection of other information for policy changes (e.g. Chadwick’s use of the poor law health officers to reform public health legislation). Education of poor children was begun inside. There was opposition, such as the politician who referred to it as the â€Å"starvation and infanticide act†, and several locations saw violence. However, opposition gradually declined as the economy improved, and after the system became more flexible when Chadwick was removed from power in 1841. Workhouses tended to swing from nearly empty to full depending on the bouts of periodic unemployment, and the conditions depended on the generosity of the staff working there. The events in Andover, which caused a scandal for the poor treatment, were unusual rather than typical, but a select committee was created in 1846 which created a new Poor Law Board with a president who sat in parliament. Criticism of the Act The evidence of the commissioners has been called into question. The poor rate was not necessarily higher in areas making large-scale use of the Speenhamland system and their judgments on what caused poverty were wrong. The idea that high birth rates were connected to allowance systems is now also largely rejected. Poor rate expenditure was already falling by 1818, and the Speenhamland system was able to mostly disappear by 1834, but this was ignored. The nature of unemployment in industrial areas, created by the cyclical employment cycle, was also misidentified. There was criticism at the time, from campaigners who highlighted the inhumanity of the workhouses, to Justices of the Peace upset they had lost power, to radicals concerned with civil liberties. But the act was the first national, monitored central government program for poor relief. Outcome The basic demands of the act weren’t being properly implemented by the 1840s, and in the 1860s the unemployment caused by the American Civil War and the collapse of cotton supplies led to outdoor relief returning. People began to look at the causes of poverty, rather than simply reacting to ideas of unemployment and allowance systems. Ultimately, while the costs of poor relief initially fell, much of this was due to the return of peace in Europe, and the rate rose again as the population rose.

Monday, October 21, 2019

a civil acton essays

a civil acton essays The movie A Civil Action brings up an interesting idea that many people in the public don't see or hear about very often. The idea that the big corporations often don't take into account the safety of the people that work for them or the people that live around the factories. These big corporations are run entirely by money and the idea of what things will cost and how much money they can possibly make. Too many times money is more important than the lives of human beings and the people that run these places only see in dollars and cents. The moral issues that this dilemma brings up are immense. This has been happening for centuries since the industrial revolution. Workers were subjected too harsh conditions and unsafe factories so that more goods could be produced. They had children as young as seven and eight years old working 15 hour days. In our modern times, toxic waste now plays a big part in the safety of people. The waste that these companies produce and dump under o ur noses don't seem to bother them in the least. The way microeconomics effects this must be fully explored to realize the way the corporate world thinks and acts. The goal of any corporation is to make the maximum profit that they can providing a good or service to the community while doing it as inexpensively as possible to them. Too many times producing these goods, toxic by-products are also produced. Nuclear power plants create plutonium, factories let poisonous gasses into the atmosphere, and chemicals are dumped into the drains and washed into our water everyday while being unknown to the people around them. The issue then becomes what to do with these "poisons" at the cheapest cost to retain the most revenue. In A Civil Action the W.R. Grace company decided that the best place to dump the T.C.E. was in the river behind the plant. It's too bad that all the people who lived down stream were also effected by the care ...

Sunday, October 20, 2019

Geography, Climate and Species of Earths Arctic Region

Geography, Climate and Species of Earth's Arctic Region The Arctic is the Earth region that lies between 66.5Â °N and the North Pole. In addition to being defined as 66.5Â °N of the equator, the specific border of the Arctic region is defined as the area in which average July temperatures follow the 50Â °F (10Â °C) isotherm (map). Geographically, the Arctic spans the Arctic Ocean and covers land areas in parts of Canada, Finland, Greenland, Iceland, Norway, Russia, Sweden and the United States (Alaska). Geography and Climate of the Arctic The majority of the Arctic is composed of the Arctic Ocean which was formed when the Eurasian Plate moved toward the Pacific Plate thousands of years ago. Although this ocean makes up the majority of the Arctic region, it is the worlds smallest ocean. It reaches depths of 3,200 feet (969 m) and is connected to the Atlantic and the Pacific via several straits and seasonal waterways such as the Northwest Passage (between the U.S. and Canada) and the Northern Sea Route (between Norway and Russia). Since the majority of the Arctic is the Arctic Ocean along with straits and bays, much of the Arctic region is composed of a drifting ice pack which can be up to nine feet (three meters) thick during winter. In the summer, this ice pack is replaced mainly by open water that is often dotted with icebergs that formed when ice broke from land glaciers and/or chunks of ice that have broken away from the ice pack. The Arctic regions climate is very cold and harsh for most of the year due to the Earths axial tilt. Because of this, the region never receives direct sunlight, but instead gets rays indirectly and thus gets less solar radiation. In the winter, the Arctic region has 24 hours of darkness because the high latitudes such as the Arctic are turned away from the sun at this time of year. By contrast in the summer, the region receives 24 hours of sunlight because the Earth is tilted toward the sun. However because the suns rays are not direct, summers are also mild to cool in most parts of the Arctic. Because the Arctic is covered with snow and ice for much of the year, it also has high albedo or reflectivity and thus reflects solar radiation back into space. Temperatures are also milder in the Arctic than in Antarctica because the presence of the Arctic Ocean helps moderate them. Some of the lowest recorded temperatures in the Arctic were recorded in Siberia around -58Â °F (-50Â °C). The average Arctic temperature in the summer is 50Â °F (10Â °C) although in some places, temperatures can reach 86Â °F (30Â °C) for short periods. Plants and Animals of the Arctic Since the Arctic has such a harsh climate and permafrost is prevalent in the Arctic region, it mainly consists of treeless tundra with plant species such as lichen and mosses. In the spring and summer, low-growing plants are also common. Low growing plants, lichen and moss are most common because they have shallow roots which are not blocked by the frozen ground and since they do not grow into the air, they are less prone to damage by high winds. The animal species present in the Arctic varies based on the season. In the summer, there are many different whale, seal and fish species in the Arctic Ocean and the waterways surrounding it and on land there are species such as wolves, bears, caribou, reindeer and many different types of birds. In the winter however, many of these species migrate south to warmer climates. Humans in the Arctic Humans have lived in the Arctic for thousands of years. These were mainly groups of indigenous peoples such as the Inuit in Canada, the Saami in Scandinavia and the Nanets and Yakuts in Russia. In terms of modern inhabitation, many of these groups are still present as are territorial claims by the aforementioned nations with lands in the Arctic region. In addition, the nations with territories bordering the Arctic Ocean also have maritime exclusive economic zone rights. Because the Arctic is not conducive to agriculture due to its harsh climate and permafrost, the historic indigenous inhabitants survived by hunting and gathering their food. In many locations, this is still the case for the surviving groups today. For example, Canadas Inuit survive by hunting animals such as seals on the coast during the winter and caribou inland during the summer. Despite its sparse population and harsh climate, the Arctic region is important to the world today because it has significant amounts of natural resources. Thus, this is why many nations are concerned with having territorial claims in the region and in the Arctic Ocean. Some the major natural resources in the Arctic include petroleum, minerals and fishing. Tourism is also beginning to grow in the region and scientific exploration is a growing field both on land in the Arctic and in the Arctic Ocean. Climate Change and the Arctic In recent years, it has become known that the Arctic region is extremely susceptible to climate change and global warming. Many scientific climate models also predict larger amounts of climate warming in the Arctic than on the rest of the Earth, which has raised concerns about shrinking ice packs and melting glaciers in places like Alaska and Greenland. It is believed that the Arctic is susceptible mainly because of feedback loops- high albedo reflects solar radiation, but as sea ice and glaciers melt, the darker ocean water begins to absorb, instead of reflect, solar radiation, which further increases temperatures. Most climate models show near to complete loss of sea ice in the Arctic in September (the warmest time of year) by 2040. Problems related to global warming and climate change in the Arctic include loss of habitat critical habitat for many species, rising sea levels for the world if sea ice and glaciers melt and a release of methane stored in permafrost, which could exacerbate climate change. References National Oceanic and Atmospheric Administration. (n.d.) NOAA Arctic Theme Page: A Comprehensive Resrouce. Retrieved from: arctic.noaa.gov/ Wikipedia. (2010, April 22). Arctic - Wikipedia, the Free Encyclopedia. Retrieved from: http://en.wikipedia.org/wiki/Arctic

Saturday, October 19, 2019

The Ethical Views of Socrates found in the Euthyphro and in The Crito Personal Statement

The Ethical Views of Socrates found in the Euthyphro and in The Crito - Personal Statement Example This is a section of philosophy involving systematic defending, and concepts of recommending of the wrong and right behaviour. A reasonable, ethical foundation needs a standard value in which all actions and goals could be compared. In this regard, these standards include an individual’s own life and happiness that makes them able to live (Melchert 5). This is an individual’s ultimate value of standard, the key goal for which an ethical man should always aim. These goals are arrived at through the examination of the nature of man and identifying man's needs that are always peculiar. In most cases, the ethical system consists of emergency situations and daily choices. In this regard, it includes an individual’s relation to other individuals and recognizes their necessity especially into ones physical survival, happiness and wellbeing (Melchert 6). It also identifies that life is an end in itself and that in many situations sacrifice may be destructive despite bein g necessary. According to the theory of wrong and right, evil and good, it is certain that human beings are more than just believers. Human beings are always known to be doers. The main question comes up concerning the extent of wisdom that may explain how people can live their lives best. Do the ideas that pleasure obtained from something makes it be right to be done? Should an individual think of how his or her actions influence the others? If so, then the question is - in what manner? Is there certainly bad or good or does having such thinking makes it to main so? Do individuals have duties? If so where does an individual come from? What is vice and virtue? What is meant by the word justice? Can the justice administered be considered to be vital? These include some among the different philosophical questions that one may ask himself. Each and every culture tries to give out answers to this question despite the fact that some cultures have not yet developed the most known philosop hy. Some of the answers that were given to these questions may universally take the form of some stories especially those involving gods. In this respect, gods were referred to as the gigantic nature of power, which takes part in massive creation feat that struggle frequently with other gods thus intervening in the human life evil or good (Melchert, 6). These are mostly referred to as myth stories. They are normally told and repeated, embroidered and elaborated. They are also told to children as facts that are straightforward and obtain some authority due to their age, aspect of repetition, and by the true fact that people in the society accepts them. In this respect, these stories have an effect of shaping traditions, which in turn shapes the lives of individuals. The philosophy that is referred to as the love to wisdom started when some individuals began to ask questions. For example, the questions like why an individual should believe stories of this kind, how can an individual g et to know that these stories are true, and whenever they try to give out answers that may look to be more going compared to plausibility, and antiquity coming from acceptance that is common. Different philosophers have tried to provide the people in the society with some impressive reasons to believe in one thing concerning this matter. These philosophers tend to provide good reasons that can make an individual think that he or she cannot answer questions of this type

Friday, October 18, 2019

Adult Development and Family Essay Example | Topics and Well Written Essays - 1250 words

Adult Development and Family - Essay Example After learning that her husband died a long time ago, I immediately comforted her with my words and gave her a sense of reassurance. Her husband was a general. He had served in the People’s liberation Army for a long time. She was happy to share her memories of her husband with me and cited how they went to so many places when they were young. Before China’s liberation, she cited how her husband was extremely busy, though they did not have a child at that time. She now has two children, a son and a daughter. After China was liberated, she had the chance of applying for retirement benefits. After her husband’s death due to a heart disease, which is genetic in her family, her daughter now takes care of her, even though the son is the older sibling. In China, it is a tradition for daughters to take care of babies or older adults in the family. I asked if she suffered from any illnesses herself and she was quick to tell me that she had diabetes, a genetic disease in the family, osteoporosis and high blood pressure. While interviewing Laolao, I had to identify the most comfortable way and topic that would interest her. She seemed happy to talk about how to promote healthy aging and wellness in old age. It was quite difficult for her to identify a few strategies that she used to promote healthy aging and wellness. My conversation with her in the beginning was predominantly focused on her feelings of failure when it came to promoting her own wellness. I started by asking her this question: â€Å"Are there specific strategies that you have used to promote healthy aging over the years?† Her response was that she was not â€Å"the best example.† She believed that she could have done more to promote her health. One key theme that relates to gerontology as we learnt in class that emerged during the interview was the issue of nutritional changes that

Business plan of online business Research Paper

Business plan of online business - Research Paper Example Party Safaris seeks to be a leading global business in the field of event management and organization, specializing in two types of products. The first service provided and undertaken by Party Safaris Event Management Company is actual event management from the start to the end of the event. These events range in wide varieties from weddings, to funerals, to birthdays, as well as corporate and cocktail parties. This service will also incorporate provision of party kits for the participants in the event, and the company will undertake the sole task of planning and executing the entire event from start to finish. The second service provided by the company will be the sale of party kits through an online platform. The company will produce and stock several types of party kits then sell them to customers who are planning or organizing parties, or to those who come to us to organize their parties. These party kits will range from party kits for adults’ birthdays, to party kits for kids birthdays. The company will also provide original party kits for other parties that might not fall necessary under the two categories of parties mentioned above. From the onset of the business, the operations and management of the business will be the sole prerogative of the four founders of the company. These four directors came up with an idea of setting up an events management company in Monaco. Therefore, they will have to put their best efforts into the operations of the company in order to save on costs of operations before the business picks up and expands. However, the directors plan to hire more staff depending on the needs and demands of the business. The first most likely member of staff for the team of four to hire will be an Information and Technology (IT) manager who will be in charge of operating the online operations of the company. From the start, the basis for remuneration for the IT manager will be on an hourly basis

Thursday, October 17, 2019

HCCH Essay Example | Topics and Well Written Essays - 750 words

HCCH - Essay Example ne an opportunity to fulfill the mandatory responsibilities of classroom obligations regarding the learning process, but also helps one grow in their depth of character as a person. As a student pharmacist, I am required to complete a five-hour program of voluntary public service. For this portion of my education, I chose the Hancock Christian Clearing House (HCCH) in Findlay, Ohio. This organization’s purpose is to help those individuals and families, who for one reason or another, fall through the cracks of the usual government assistance programs. For example, some are homeless and cannot get aid without an address. The First Presbyterian Church took the initiative to establish HCCH in 1981 as an independent religious enterprise, which makes it a tax-exempt, not-for-profit organization. Today HCCH is a cooperative effort that involves forty-two churches in Hancock County. Their combined mission is to help those, who under ordinary circumstances, may not qualify for the assistance from regular charitable and other social organizations. For the most part, HCCH is an association run solely by volunteers, like myself, who interact directly with the clients in order to determine their needs and to assist them in finding a proper solution for their current situation. HCCH also provides training to the volunteers who need it, like myself, who may not have had any social services experience or training. The main source of funding for HCCH is donations and contributions made by the members of the many churches that are involved, as well as other individuals and companies. HCCH states that approximately $13,000 is disbursed monthly to those in need of it. HCCH provides financial emergency assistance, such as food, rent, utilities and medical prescriptions, to the residents of Hancock County (Local Mission Opportunities, 2009). HCCH recently received a grant of $25,000 to support classes, supplies, training, and wages for the â€Å"Partners in Progress† program awarded

Company's Changes Essay Example | Topics and Well Written Essays - 2250 words

Company's Changes - Essay Example Organizational change can be defined as a conscious effort on the part of the management of change agents of an organization to keep a constant watch on the environmental forces of an organization to audit their impact and influence on the business concerned and to find out actions programs through strategies to maintain the balance between the two different forces. The present study has been conducted in lieu to analyze the various forces influencing the change within an organization; the various factors causing hindrances in the process of change and looks to propose an action plan through which the organization can identify and overcome the forces against change and implement the process of change to achieve the desired organizational objective (McMillan, 2008, p.108). System theory is a particular concept that was initiated from economics, biology and engineering. These aspects used to explore several significant laws and principles, which can be comprehensively, implemented acro ss several organization systems (Burke, 2010, p.61). .On the other hand, complexity theory can be defined as the assessment of diversity or the heterogeneity and several external and internal environment factors, such as customers, departments, socio-politics, suppliers and technology. Most importantly, the complexity organization change theory used to focus on the micro-level parts in a complex organizational system. This theory can be applied after the overall outcome and engagement behaviour. In terms of the specific multinational organization basis on the case study, it is feasible that several operational, marketing and human resource problems are affecting the business performance of the organization. It is feasible from the case study that, the organization is tending to expand their business in retails. Moreover, the organization is focusing on the customer development aspect as they are tending to enter in the global retailing sector (Bell, 2008, p.22). Therefore, it is nec essary for an organization to develop an effective marketing strategy. Moreover, the organization needs to implement effective HR policy n order to provide effective business output. It is feasible from the case study that, the organization is suffering from several problems, such as in adequate establishment of marketing and support activities, lack of flatter and virtual organizational hierarchy and poor HR policy. In order to overcome these issues, the multinational organization needs to implement organizational change in order to achieve the business objective. The major objective of the study is to propose an organizational change process strategy and idea for the specific multinational organization in order to overcome those problematic issues. Moreover, as the organization is tending to enter in the retailing business and trying to establish customer development process in their global business process, therefore, an effective organizational change process is importantly requ ired. Challenges Experienced By Company’s Management and Critical analysis Organizational change is critical to the success of an organization. However there is very little doubt over the fact organizational change is usually inflected by various external and internal challenges. The organization discussed in the present context of the study is also not an exception when it comes to dealing with challenges (Buchanan and Huczynski, 2010, p. 221). One of the major problems faced by the organization is of over capacity. Over capacity is a phenomenon in which

Wednesday, October 16, 2019

HCCH Essay Example | Topics and Well Written Essays - 750 words

HCCH - Essay Example ne an opportunity to fulfill the mandatory responsibilities of classroom obligations regarding the learning process, but also helps one grow in their depth of character as a person. As a student pharmacist, I am required to complete a five-hour program of voluntary public service. For this portion of my education, I chose the Hancock Christian Clearing House (HCCH) in Findlay, Ohio. This organization’s purpose is to help those individuals and families, who for one reason or another, fall through the cracks of the usual government assistance programs. For example, some are homeless and cannot get aid without an address. The First Presbyterian Church took the initiative to establish HCCH in 1981 as an independent religious enterprise, which makes it a tax-exempt, not-for-profit organization. Today HCCH is a cooperative effort that involves forty-two churches in Hancock County. Their combined mission is to help those, who under ordinary circumstances, may not qualify for the assistance from regular charitable and other social organizations. For the most part, HCCH is an association run solely by volunteers, like myself, who interact directly with the clients in order to determine their needs and to assist them in finding a proper solution for their current situation. HCCH also provides training to the volunteers who need it, like myself, who may not have had any social services experience or training. The main source of funding for HCCH is donations and contributions made by the members of the many churches that are involved, as well as other individuals and companies. HCCH states that approximately $13,000 is disbursed monthly to those in need of it. HCCH provides financial emergency assistance, such as food, rent, utilities and medical prescriptions, to the residents of Hancock County (Local Mission Opportunities, 2009). HCCH recently received a grant of $25,000 to support classes, supplies, training, and wages for the â€Å"Partners in Progress† program awarded

Tuesday, October 15, 2019

Role of Persuasion in Advertising Essay Example | Topics and Well Written Essays - 3750 words - 1

Role of Persuasion in Advertising - Essay Example According to the research findings, it can, therefore, be said that it needs to be very targeted, precise and significant for them in order for them to take notice and understand that the particular brand connects with them in the best and easiest of manners possible and hence they should be the ones to buy it for themselves and for this reason satisfy their need or even please themselves more than they had already expected. It is a sure tough job for the people who have to extract the perfect message which needs to be sharpened again and again before it actually gets down to the right kind of people who will make the actual purchase and therefore the product will be sold in the end. However, on the flip side of the coin, this requires selling the product or the brand in the mind of the consumer before he actually decides to go and buy the very same. This is referred as the pre-selling stage and advertising has got a lot to do with it. Psychologically speaking, consumers connect with what is there on the electronic and/or print media for them in the form of a message that says a lot about their preferred brand and lists down the details as to how it could benefit the same person if he or she uses it. Advertising is the non-personal communication of information usually paid for and usually persuasive in nature about products, services or ideas by identified sponsors through the various media. This is all the art of selling and it comes under the heading of marketing and for marketing to happen in the first place, advertising is of fundamental importance. Without advertising, marketers can only think of their product lying on the retail outlets waiting for angels to come and satisfy themselves. People need to be told the plus points of their brands (by the company) so that they actually go out and make the eventual purchase which in all fairness, not an easy job for the company, say that is producing a shoe polish which does not stick on to the shoes as much as d o the other competitor shoe polishes already available in the market.

Monday, October 14, 2019

The Effects of the Iraq War Essay Example for Free

The Effects of the Iraq War Essay The war in Iraq was supposedly an act against terrorism. In one of the President’s speeches, he made it clear that it was a preemptive attack and that if we were not fighting and destroying this enemy in Iraq, they would not be idle. They would be plotting and killing Americans across the world and within our own borders. By fighting these terrorists in Iraq, Americans in uniform are defeating a direct threat to the American people†(Crimes Against Humanity). This is the government’s claim but it was never substantiated by any evidence, thus keeping the Americans wondering what really is the cause of this massive bloodshed. Some reports say that this war is in large part an oil currency war. â€Å"One of the core reasons for this upcoming war is this administrations goal of preventing further Organization of the Petroleum Exporting Countries (OPEC) momentum towards the euro as an oil transaction currency standard†(Mother Jones). In order to stop the OPEC from doing this, the US needed to take control of the OPEC’s 2nd largest oil producer, Iraq. This means that the Iraq War is just another economic war. It is just another result of the struggle to control the means of production. The â€Å"domestic impact of any US war will be inequitably distributed, the workers and lowest economic classes carrying the burden of the social costs, while the upper strata benefit†(Swans). Even before the Iraq war, experts have already concluded that powerful corporate interests only see middle class families as the spoils of political influence (FromTheWilderness. com). When war struck, the burden was heavily felt by these same families. The additional burden came in the form of taxes. To maintain the Iraq war the government imposed additional taxes on the people disguised as national security taxes. This tax is imposed on all persons, however the effect on the upper class is not as drastic as to the middle class families simply because since they are the ones who can afford to pay and benefit from the big tax cuts. These taxes in addition to the economic pressures on the middle class—stagnant wages, the need to pull down two salaries to support a family, and the rising costs of the basic expenses—drive these families to turn to credit just to make ends meet. Credit in itself is neither bad nor is it taboo but the present state of the country prevents the middle class families from ever recovering (FromTheWilderness. com). The Iraq war brought about a change not merely on financial aspects but also in the way Americans perceive things. It has awakened the people’s social consciousness. Due to the doubtful claims the government are using to justify the war coupled with the suffering of the middle class, the masses are starting to wonder and ponder on the real issues that they are presently facing. A sense of awareness has donned on them, the people are slowly gearing towards social change. Having the freedom of intercourse, the people are slowly unearthing the reasons behind the war, the cause of their social helplessness and the means or solutions they are entitled to. Americans are becoming inquisitive, they are slowly transforming into persons naturally drawn to activism and sympathetic to an anti-war attitude and the Iraq War will present a new challenge of exposing the propaganda promoted by American imperialists, and in building an opposition (Swans). The change the Americans are experiencing after the war is neither bad nor good. It is a just a natural reaction brought about by the need for social justice and equity. Social justice is the concept of society in which justice is achieved in every aspect of society, rather than merely the administration of law. It is generally thought of as a society that affords individuals and groups fair treatment and a just share of the benefits of society. The Iraq war is not the sole cause of this change, several social forces are at work here but it may very well be considered as one of the factors that triggered it. After years of following the capitalist norm, the uneven distribution of wealth and power between the classes is already taking its toll. The delineation of the social classes is becoming clearer, each class is grouping itself together and yet, each one is dependent upon the other, without the bourgeoisies there would be no proletariat, without the proletariat there would be no cause for awareness, without a cause there can be no change. The social classes are now playing their important roles in this changes, they are setting the stage for their struggle. The United States is experiencing social change and it is inevitable. According to Neo-Marxism, strains are inherent in social structures and the source of these strains or contradictions is the inherent scarcity of certain goods and values. Thus inequality is a source of conflict. The conflicts caused by the inequality of the classes are starting to show. The ghost of communism is slowly rearing its head in our country. The Americans are preparing to experience a class struggle. The middle class is slowly becoming aware of the distribution of wealth and power between the masses and the selected few, they are realizing the exploitation of their class by a selected few using the government as an instrument. The country is now at the brink of a social revolution, just as how all revolutions came to be, the birth begins with the proletariat’s struggle with the bourgeoisie. At first the contest is carried on by individual labourers, then by the workpeople of a factory, then by the operatives of one trade, in one locality, against the individual bourgeois who directly exploits them and eventually the rise to power of the middle class. At this point however, the movement’s success cannot be ascertained. The thinking masses is too small to resemble a threat to imperialism but a war gone badly might alter public thinking enough to make such fundamental social change an increasing possibility. The ideas of Communism are based on actual relations springing from an existing class struggle, from a historical movement going on since time immemorial, it seeks to abolish property relations and to place power on to the working class (Mondo Politico). According to Karl Marx, this is the end result of all modern governments. Everything shall start from the bourgeois controlling first the modes of production hiring the proletariat only for labor, later on educating the proletariat so the bourgeois can use the knowledge endowed to the working class to remain competitive. Greed being the driving force, the bourgeois shall continue to teach and exploit the proletariat. Through this process, what the bourgeoisie, therefore, produces, above all, is its own grave-diggers. Its fall and the victory of the proletariat are equally inevitable. Communism is definitely an ideal type of government, it speaks of utopia where social justice reigns supreme and equity can never be flawed. The question now is that how come there is no country that has successfully established a perfect communist government? This might be caused by the degree of difficulty of implementing the transformation or it may be that eventually all systems shall need property relations of some kind. At this point, the social revolution in the United States is pretty far from fruition. Not all of the working class is willing to undergo change. After the United States has existed for so long, after having been accustomed to it and after achieving so much through capitalism, the premature abolition of property relations shall definitely cause its own downfall.

Sunday, October 13, 2019

Impact of foreign aid on the economic growth of Nigeria

Impact of foreign aid on the economic growth of Nigeria Foreign aid can be simply put to be a flow of assistance which can take the form of funds, infrastructure, trade openness from high income countries to low income countries. The debate till date has been centred around the significance of this aid on the economic growth of these countries. To a large extent, several researches have shown a positive impact of foreign aid on the economic growth of LDCs with the exception of a few factors which may affect this positive impact on growth, while some others have shown a negative impact on economic growth of these LDCs. According to Burnside and Dollar (1997), the positive impact of foreign aid on growth in LDCs is subject to the country having good fiscal, monetary and trade policies, thus, the introduction of economic policies into their economic equation. This was included, to see if aid was allocated to these countries in favour of good policies. Durbarry et al (1998) argue that an important limitation of much of this literature is the incompleteness of the underlying growth models, according to them, irrespective of the fact that Burnside and Dollar were among the first to take into account economic policies, they have not been able to examine the impact of aid in general including only aggregate savings and investment variables. Most of these researches have based the framework of their research on the neoclassical growth model such as the Solow growth model and the Ramsey-cass-koopmans growth model which suggests that poor countries should have a high return to capital and a fast growth rate in transition to the steady state ( Burnside and Dollar, 1997). According to Chenery and Strout (1966), in the case of a country seeking a transformation of its existing economy and hoping not to rely on more advanced countries (i.e. foreign aid), such a country must be able to meet the necessary demands for her rapid growth from either her own resources or from her net exports. The case of foreign aid and economic growth has proven to be a continuous learning process, in that, while some studies base their findings on macroeconomic factors such as economic policies, others have recommended the use of human well being factors such as infant mortality, literacy, life expectancy and employment level ( Burnside and Dollar 1997; Fayissa and El-Kaissy 1999). While the results of Durbarry et al (1998) supports the results of Burnside and Dollar (1997) which shows foreign aid to have a positive impact on growth where there is a good macroeconomic policy environment, but with some exceptions which were based on income level, levels of aid allocation and geographical location. According to him, aid has been tested econometrically based on a macro and micro level, the results of some these tests by some researchers show that aid works at the micro level while at the macro level the results as ambiguous ( Durbarry et al, 1998). So far, most research have dwelt on macroeconomic factors as well as physical factors which in their opinions either shows that growth is fostered positively by aid or negatively by aid. One interesting contribution to the subject matter in question is the contribution by Douglas C. Dacy, which looked at foreign aid and economic growth from a totally different point of view, his paper aimed showing the possibility of an aid receiving country having its post-aid growth rate to be lower than it would have been in a situation of not receiving aid under certain conditions. According to Dacy (1975), his paper viewed the subject of foreign aid and economic growth with respect to consumption on the side of the government as well as domestic savings. Contrary to other researches, Dacy in his paper viewed foreign aid as a substitute for domestic savings, saying that there would not be an increase in total savings by the full amount of foreign savings. Thus, LDCs will increase consumption as well as investment if foreign aid is made available. Papanek (1973) in his paper, studied the relationship between aid, savings, foreign investment and growth in thirty-four LDCs for the 1950s and fifty-one LDCs for the 1960s, applying cross-country regression analysis. Treating each of these components as separate explanatory variables, he found out that over a third of GDP growth is explained b y domestic savings and foreign inflows. Also the effect foreign aid has relative to other variables is considerably higher, his results also suggests no inverse relationship between aid and foreign private investment as well as showing a non-correlation between growth and factors such as; exports, education, country size or per capita income. Unlike Chenery and Strouts result which showed that Countrys size and per capita income has a positive relationship with growth, Papaneks result did not show such positive relationship as said earlier. This is because Papaneks work had savings as one of the independent variables and this was seen to be si gnificantly correlated with per capita income. Concluding his paper, Papanek (1973), suggests from his results that foreign aid is distributed disproportionately to LDCs experiencing low savings rates as well as severe balance of payments problems. And that this disproportionate aid has a more positive effect on growth than domestic savings and other sources of foreign inflows. Chenery and Strouts results are criticised by Papanek as not being very stable and also in his results, foreign source of inflows are not disaggregated compared to the results of Papanek. Papanek (1973) and Burnside Dollar (2000) share similar opinions on the allocation of foreign aid to low income countries. As Papanek is of the view that foreign aid is disproportionately distributed to low income countries who are experiencing low savings rate. While Burnside and Dollar is of the view that though this is allocated to low income countries, it is also influenced by population, i.e. aid donors tend to allocate more aid to smaller countries in size within the Low Income Countries, and also there are variables that reflect their own strategies. Generally speaking, from researches done so far, it is evident that foreign aid has a positive relationship (or impact) on economic growth in LDCs. But this could show a different result when the countries are sampled individually, such that, though aid may be positively related to economic growth based on some macroeconomic factors, it may also a negative relationship influenced by some other factors. According to Levy (1988), his paper aimed at showing some level of quantitative evidence on the impact of foreign aid on economic growth. This he showed using a sample of 22 Low Income Countries in Sub-Saharan Africa with the exception of a few African countries which to him had their level of development similar to that of middle income countries. Using time series data for his analysis, Levy found two important things; which is a positively significant relationship between aid, investment and economic growth in Africa. The second important finding is that there is a significant contribution by fixed capital formation to the rate of economic growth. Although the exclusion of some African countries which he classified as similar to middle income countries from his analysis seems questionable, Levys contribution to the subject matter is very significant. According to Burnside and Dollar (1997), most researches such as that of Levy (1988) and a few others who made an attempt to measure the impact of aid on domestic savings, investment and growth in developing countries, have had results which faced several econometric difficulties. Taking another close look at the work of Dacy (1975) which questioned the desirability of aid, according to him, even if aid is used in a way that contributes to a decline in the long term growth rate, it will almost always be true that the capital stock income and consumption will be higher at the end of the period of aid, and for a number of years afterward, than it would have been without aid. To this end he agrees with Papanek (1973) view which argues that the inverse relationship shown in most statistical research between domestic savings and foreign aid might be greatly misleading. This view is due to Papaneks objections from his observations from previous studies, thus, Papaneks results which show that there is a positive relationship between aid and economic growth as well as aid having an inverse relationship with domestic savings is largely accepted by Dacy. Durbarry et al (1998) in their paper made reference to the work of Hadjimicheal et al (1995) as being a more advanced piece of research compared to most of the researches before it. This is because of their effort to show the potential secondary effect of foreign aid such as the Dutch Disease as well as other policy related variables that are speculated to have an effect on growth. Ekanayake and chatrna (2010) in their paper, criticised the work of Karras (2006) which concluded that there is a positive statistically significant and permanent impact of foreign aid on economic growth. In which they gave a statistical analysis by per person result as well as the growth rate of real GDP per capita, but in all this, they did not take into consideration the effect of policies. According to the research carried out by Ekanayake and Chatrna (2010), their results showed mixed effects of foreign aid on economic growth in LDCs, their research was carried out using annual data on a group of 85 developing countries cutting across continents. The models that were specified in their work were estimated using panel least squares estimation method. Malik (2008) described the poverty of people in the poorest African Countries to be on the increase despite the many years of development assistance. According to him, there has remained a stagnant or declining real per capita income since the 1960s, thus the disturbing question is why could these countries not break the poverty trap despite receiving large inflows of foreign aid?. This question he sought to answer using the co-integration analysis for six poorest African Countries, the results from this analysis showed the existence of a long run relationship between real GDP, aid and investment as a percentage of GP and trade openness. But showing the effect of foreign aid on growth, the result indicated a long run negative relationship for most of these countries. Easterly (2003) went ahead in his paper to discuss the historical research on the relationship between foreign aid and Economic growth. This he did, citing the work of Burnside and Dollar as being an early research that was widely accepted by the World Bank and economies of the world, and thus, created the platform for further research. According to Easterly (2003), data availability was one of the main limitations to having a conclusive and reasonable literature on the subject matter i.e. foreign aid and economic growth in the 1960s and onwards, as well as the reasonable arguments on the specific factors and ways through which foreign aid can affect growth. In his paper, Easterly (2003) cited the paper by Boone (1996) as being noted for its aim to address the issues of reverse causality through the introduction of political factors that determine aid, and thus, using them as instruments in addressing these problems. He also discussed the paper by Burnside and Dollar (2000) as being well known for addressing the disbelief shown by Boone and also the lack of agreement from previous studies. In another paper by Papanek (1972) titled The Effect of Aid and other Resource Transfers on Savings and Growth in Less Developed Countries, he analysed the recent challenge to past assumptions with respect to aid, savings and growth, where he termed some past literatures as Revisionists. His concern is based on their argument that the contribution to economic growth by foreign aid is little or insignificant, in which a number of factors were taken into consideration to support this claim. He went further to expand their argument saying Aid may ease the lot of the recipient countrys citizens by permitting higher consumption which is considered desirable if the analysts humanitarian instincts outweigh his Calvinist conviction that people should struggle for their economic salvation, but does little for growth (Papanek, 1972). Amongst these, are other literatures done by several researchers in which different methods were implemented such as the Autoregressive Distributed lag (ARDL) model used by Gounder (2001), in which his results showed a positive relationship between foreign aid and economic growth in Fiji. There has been other literatures that have also tried to show this relationship in individual countries, some have found a positive relationship but a long- run negative relationship using the Co-integration and error correction analysis, while others found a co-integration between saving rate, real gross domestic product and aid therefore showing a long-run positive effects (Murty et al, 1994; Nyoni, 1998). Taking a closer look at the problem of causality which Boone tried to address, Dacy (1975) concurs that the issue of causality is a tough knot to tie. He also suggests that the debate on if foreign aid contributes largely to economic growth is one that cannot be fully decided, as there would be a need to take into consideration the response of individuals as well as groups. Such consideration includes checking if these individuals or groups behave in a certain way where there is an increase in aid compared to where there is no aid. From the above literatures and many more, it is obvious that the issue of foreign aid and its impact on economic growth is inconclusive and is also a continuous learning process. Depending on the different types of data and methodology used in previous studies, several results have been achieved; some depict positive and significant relationship while others indicate negative long-run relationships based on different factors. This paper in the next section would be using time series data and applying the Ordinary Least Squares method (OLS) as well as the co-integration method to see what impact foreign aid has on the economic growth of Nigeria. Section 3. Data and Methodology In testing for the impact of foreign aid on the economic growth of Nigeria, I am using annual time series data which has its period from 1960 2009 and which is gotten from World Bank World Development Indicators. Thus, the focus of this analysis is on Nigeria as a developing country and a recipient of aid from advanced countries which are known as donors. Due to the limited availability of data with respect to the proposed variables, the observations are 49 running from 1960-2009. The table below shows the variables that are included in this study as well as the source they were gotten from: Table 1: Variable Unit source Gross Domestic product Growth Rate World Bank Foreign Direct Investment Percentage of GDP World Bank Trade(Openness; exports plus imports as a percentage of GDP Percentage of GDP World Bank Population Growth Per Cent (%) World Bank Net ODA per capita Current US$ World Bank Most of my variables were gotten from the work of Ekanayake and Chatrna (2010), where he used things like investment as proxy for growth rate of capital stock and also population growth as proxy for labour force. This study also uses population growth as a proxy for labour force as well as including trade to represent openness which as shown in the table above is made up of exports plus imports as a percentage of GDP. Net ODA per capita is a proxy for aid alongside Foreign Direct Investment, as earlier said, this study would be adopting the use of Ordinary Least Squares method (OLS) for its analysis. To ensure that the study is academically robust, I will also be employing the use of co-integration tests, to check the long run relationship between Foreign aid and Economic growth in Nigeria.

Saturday, October 12, 2019

Eudora Weltys The Ponder Heart: A Southern Journey :: Eudora Welty The Ponder Heart

Eudora Welty's The Ponder Heart: A Southern Journey Imagine that while you're traveling in the South, you develop car trouble in the small town of Clay, Mississippi. You find a room at the Beulah Hotel, an old establishment that sits downtown right across the street from the courthouse. After you check in, it becomes clear to you that the Beulah doesn't get many guests these days; in fact, you're the first person even to enter the building in three days. Almost immediately you become the target of Edna Earle Ponder, the hotel's proprietor, who is eager to talk. You try to escape with a book, but Edna Earle will have none of that. She goes so far as to tell you, "And listen; if you read, you'll put your eyes out. Let's just talk." Even at this early stage of the game, you know who's going to do all the talking, don't you? What's more, Edna Earle lets you know right off the bat that she's "sizing you up," but she then launches into a story that will captivate you and keep you laughing all the while. To be sure, you'll learn a great deal more than you'd expect about Edna Earle, the rest of the Ponder family, and many other inhabitants of Clay. What a yarn it is that Edna Earle tells in Eudora Welty's The Ponder Heart. Her story revolves around the escapades of her Uncle Daniel, but in hearing about him, you'll hear—through Edna Earle's incessant gossip—almost all there is to know about the way the rest of the town behaves. "[Edna Earle] assumes you want to know everything about everybody in town, and starting on that basis, she pushes you right into the middle of it," Welty says in an interview with Patricia Wheatley (Prenshaw 132). You'll find yourself caught up in a comical story that gives insight into a way of life of the early-20th century South, told through Welty's rich use of Southern dialect and subtle details about social strata and social nuances in Clay. Starting with the title and its play on definitions of "heart," you see and hear the story of Edna Earle Ponder's Uncle Daniel, whose main purpose in life seems to be to give things away (as we would say in modern times, "he's all heart"). Through Edna Earle (the name of many Southern women of that generation, taken from the heroine of the popular 19th century book St. Eudora Welty's The Ponder Heart: A Southern Journey :: Eudora Welty The Ponder Heart Eudora Welty's The Ponder Heart: A Southern Journey Imagine that while you're traveling in the South, you develop car trouble in the small town of Clay, Mississippi. You find a room at the Beulah Hotel, an old establishment that sits downtown right across the street from the courthouse. After you check in, it becomes clear to you that the Beulah doesn't get many guests these days; in fact, you're the first person even to enter the building in three days. Almost immediately you become the target of Edna Earle Ponder, the hotel's proprietor, who is eager to talk. You try to escape with a book, but Edna Earle will have none of that. She goes so far as to tell you, "And listen; if you read, you'll put your eyes out. Let's just talk." Even at this early stage of the game, you know who's going to do all the talking, don't you? What's more, Edna Earle lets you know right off the bat that she's "sizing you up," but she then launches into a story that will captivate you and keep you laughing all the while. To be sure, you'll learn a great deal more than you'd expect about Edna Earle, the rest of the Ponder family, and many other inhabitants of Clay. What a yarn it is that Edna Earle tells in Eudora Welty's The Ponder Heart. Her story revolves around the escapades of her Uncle Daniel, but in hearing about him, you'll hear—through Edna Earle's incessant gossip—almost all there is to know about the way the rest of the town behaves. "[Edna Earle] assumes you want to know everything about everybody in town, and starting on that basis, she pushes you right into the middle of it," Welty says in an interview with Patricia Wheatley (Prenshaw 132). You'll find yourself caught up in a comical story that gives insight into a way of life of the early-20th century South, told through Welty's rich use of Southern dialect and subtle details about social strata and social nuances in Clay. Starting with the title and its play on definitions of "heart," you see and hear the story of Edna Earle Ponder's Uncle Daniel, whose main purpose in life seems to be to give things away (as we would say in modern times, "he's all heart"). Through Edna Earle (the name of many Southern women of that generation, taken from the heroine of the popular 19th century book St.

Friday, October 11, 2019

Examining Musculoskeletal Injuries Health And Social Care Essay

Fractures or ligament hurts frequently require immobilisation for effectual healing. Subsequently, uninjured tissues for case ; sinews and joint capsules ( i.e. connective tissue ) undergo unfavorable alterations as a consequence of the forced deficiency of motion ( Loitz et al 1988 ) . As stated by ( Houglum 2005 ) â€Å" Mobility of the musculoskeletal system is determined by the composing of connective tissue and the orientation of assorted soft tissue constructions † . Connective tissue refers to clamber, facia, sinews, ligaments, joint capsules and musculus facia. Connective tissue can be farther discussed under ; intramuscular connective tissue and periarticular connective tissue. During the procedure of reorganization connective tissue has the inclination to shorten and go thick and fibrotic ( Houglum 2005 ) . ( Walsh et al 1989 ) found that connective tissue, ligaments specifically are influenced biomechanically, biochemically and morphologically by immobilisation. ( Noyes et al 1974 ) indicated that these influences on connective tissue are altered by 4 mechanisms: ( I ) changes in the synthesis and debasement equilibrium of collagen ( two ) alterations in collagen cross links ( three ) fluctuations in H2O and electrolyte content of connective tissue and ( four ) alterations in the alliance, figure and thickness of collagen fibers. Periarticular connective tissue: Composition of two constituents ; cells and extracellular matrix. Matrix is made up of collagen, elastin, reticulin and land substance. ( Donatelli & A ; Owens – Burkhart 1981 ) stated alterations to the construction of connective tissue are straight related to joint stiffness therefore ensuing in restricted motion. He besides noted the importance of collagen within connective tissue, making greater tensile strength and stabilisation through increased fiber binding. The mechanical strength of collagen is due to hydroxylation of lysine to hydroxylysine which histories for the increased fiber binding ( i.e. the cross – links of next collagen fibers ) . As these fibers mature the intra and intermolecular bonds ( cross – links ) rise in figure therefore supplying greater strength to the fibers. Within land substance glycoaminoglycans ( GAG ) binds with H2O making a semi fluid syrupy gel within which the collagen and fibrocytes are emb edded. The lubricator maintains a distance between the fibers, thereby allowing free glide of the fibers past each other and forestalling inordinate cross – linking ( Donatelli & A ; Owens – Burkhart 1981 ) . Land substance in connective tissue comes manus in manus with collagen with regard functional ability. ( Minns et al 1973 ) tested the importance of land substance in CT, through the usage of chelating agents and enzymes, what they found was a important lessening in stiffness, strength and other clip dependent belongingss in its absence. With immobilisation the production and lysis of collagen additions, it is besides believed that the loss of extensibility is non due to the volume of collagen deposited but from the country it is deposited it from ( Lederman ) . Furthermore a loss of GAG and H2O in the land substance consequences in fading of the extracellular matrix this cause ‘s less separation and more cross – nexus formation between collagen fiber s ( Woo et al 1981 ) . Post hurt, freshly formed fibrin and collagen fibers organize in a disorganised manner when immobilized. This reduces the entire tenseness strength of the tissue. Collagen fibres when aligned along the lines of mechanical emphasis produce their greatest strength. The importance of collagen alliance is apparent in the survey undertaken by ( Noyes et al 1974 ) ; he found a 39 per cent lessening in maximal failure of the anterior cruciate ligament in archpriest ‘s station 8 hebdomads immobilisation. Intramuscular connective tissue: Normally composes of epimysium, perimysium and endomysium. These connective tissues play a large function towards the snap of skeletal musculus as the non – contractile constituent. The extra binding of connective tissue to muscle cells preserves its dependability during contraction while guaranting close contact between the blood capillaries and nervousnesss within the skeletal musculus ( Jarvinen 2002 ) . Jozsa and co-workers found with immobilisation the degrees of endomysium and perimysium within the intramuscular connective tissue increased ensuing in separation of single musculus fibers, along with reduced degrees of blood capillaries and transverse sectional country of musculus fibers ( Jozsa et al 1988 ) . These connective tissues bind to muscle cells and conserves its unity during contraction and embracings blood capillaries and nervousnesss within the skeletal musculus to maintain them close attachment with each other. The accretion of endomysial and perimysial connective tissue may lend to the damage of intramuscular blood circulation, and the lessening in Numberss of capillaries may, in bend, lead to an addition in the sum of connective tissue, get downing a barbarous circle. These pronounced changes in the distribution, administration and architecture of the intramuscular collagen may eventually take to macroscopic loss of musculus extensibility and other tensile belongingss ( Jarvinen 1976, 1977 ) . Joint Immobilization: One of the chief utilizations of manual therapy is to bring forth elongation of the CT constructions that are abnormally keeping arthrokinematic gesture, through physiologic motions or accoutrement motions ( Maitland 2005 ) . Accessary motions ( joint drama and constituent of gesture ) are a type of inactive exercisings designed to re-establish joint drama through arthrokinematic gesture of ; axial rotation, slide, spin compaction and distraction. It ‘s highlighted that â€Å" joint drama † is indispensable for the return of normal joint map ( Mennell, 1964 ) . The strength of the mobilisation techniques with rhythmic oscillatory motions normally is categorized harmonizing to the 5-grade categorization system of Maitland ( Vermeulen et al 2006 ) . In conformity with the 5 – class system grade I and II performed toward the induction of accessible arthokinematic ROM intend to chiefly cut down degrees of hurting exposing analgetic effects, but non to stretch CT. ( 11 7 Kisner 25, 34 ) . While classs III and IV are chiefly employed as stretching tactics at terminal of available arthrokinematic ROM. Intending to stretch CT ( Threlkeld 1992 ) . Connective tissues have viscoelastic belongingss whereby distortion of its fibers consequences from a burden at changing rates, the elastic belongingss produce station mobilization kick with no alteration in length and the plastic belongingss result in lasting elongation ( Basmajian & A ; Nyberg 1993 ) , expressed through the emphasis – strain curve as seen in figure 1. ( Threlkeld 1992 ) found it was through fictile distortion that the resting length of CT changed. However, this is merely possible due to microfailure of separate collagen fibres i.e. CT harm must happen through breakage of links linking bordering connective tissue packages so these broken fibers will non factor in the kick of the tissue therefore making a new length of the CT. Mobilization techniques that stretch collagen construction s into their fictile scope of distortion addition ‘s the tissue ‘s mobility ( Maitland 1991 ) . Owing to the amplitudes of classs III and IV within the restricting ROM sufficient mechanical alteration is at manus to work the viscoelasticity belongingss of CT to incite lasting elongation, diagrammatically seen in Figure 2. ( Randell et al 1992 ) investigated grip and semivowel techniques on the joint stiffness of 18 topics post 2 hebdomads immobilisation of metacarpal breaks. This intervention resulted in a ample addition in active ROM and lessening in joint stiffness compared to the control group supplying grounds of the effectivity of joint mobilisation in changing mechanics of an immobilized articulation. A 2nd survey undertaken by ( Landrum et al 2008 ) used a grade III oscillation motion in the betterment of ankle dorsiflexion in an AP way, which resulted in a ample recovery in ROM. Inactive Stretching: ( Kisner & A ; Colby 2005 ) attest that non-contractile soft tissues are known to give more readily to a low strength, continuously applied stretch force, as used in inactive stretch. Low strength stretching consequences in optimum rates of betterment in ROM without exposing tissues, perchance weakened by immobilisation, to inordinate tonss of potentially hurt. Inactive stretching is performed by puting musculuss at their greatest possible length and keeping that place for a period of clip ( Anderson & A ; Burke 1991 ) . Inactive stretching is applied to re-establish tissue snap and decrease the strain in the muscle-tendon unit with joint gesture. There are two physical belongingss associated with musculus tissue that have an influence on the musculus sinew unit, they are creep and stress relaxation. ( figure 3. ) , ( Cross & A ; Worrell 1999 ) During weirdo, the sustained prolongation of the tissue under uninterrupted burden means that reorientation of collagen fibers ‘ and re distribution of H2O due to increasing overall strain in CT can originate, determined by the strain energy exposed to CT ( Purslow et al 1997 ) . This is typically low magnitudes within the elastic scope. Stress relaxation operates while the musculus – sinew unit is put under stretch at a kept up length, following weirdo, a lessening in force to keep the length and decrease in tissue tenseness is observed. Harmonizing to ( Kisner & A ; Colby 2007 ) the recovery versus lasting elongation depends on the force and clip of the distortion ( plastic ) phase in the emphasis – strain curve. Study undertaken by ( Talyor et al 1990 ) found through insistent stretching of musculus – tendon units of the extensor digitorum longus in coneies to a uninterrupted length well lowered peak inactive tenseness. He advances this farther, proposing that stretching reduced the â€Å" viscousness and/or stiffness of musculus sinews units † , holding a considerable affect in increasing of articulation ROM. In relation to hysteresis, it is believed to be a strong arrow of viscousness nowadays in tissue therefore ; low degrees of hysteresis station inactive stretching can bespeak a diminution in viscousness. ( Kubo et al 2001 ) besides provided grounds that inactive stretching for 10 proceedingss significantly decreased the stiffness and hysteresis of tendon constructions in median gastrocnemius musculus. Compare and Contrast of Techniques: Both therapies have associated outcome steps yet their application, effects, and force applied to connective tissue varies when bring oning these favorable result steps. With regard the application of joint mobilisations, surveies differ somewhat with regard to the length of clip the oscillatory motions are applied, ( Randall et al 1992 ) intervention dosage comprised of two sets of 20 oscillations, at a rate of 1 oscillation per sec with a interruption of 30 seconds between each set. Relation to inactive stretching ( Bandy et al 1997 ) stated for effectual additions in flexibleness determined by increased articulatio genus extension ROM one must execute inactive stretches for 30 or 60 seconds one or three times per twenty-four hours for 5 yearss per hebdomad. High buoy uping the fact that joint mobilisation seem to be more practical and less clip devouring than its opposite number. Decision: In decision there is still no consensus sing which therapy is the most successful for handling alterations to connective tissue and decreased ROM of articulations post immobilisation. Nevertheless through the literature research grounds has shown that low and high class articulation mobilizations in isolation and in concurrence with other interventions i.e. inactive stretching are efficient in cut downing hurting in patients and increasing joint scope of gesture with joint immobilisation. Role of Radiographer: