Thursday, October 31, 2019

Executive Summary Essay Example | Topics and Well Written Essays - 500 words - 14

Executive Summary - Essay Example teve Jobs; decline in share prices; and emergence of stiffer competitors offering cheaper products; among others, investors and spectators were gleaming at any possibility that Apple’s future performance could be on the decline. First, to counter competitors’ move of producing relatively cheaper alternatives to the iPhone, it was revealed that â€Å"Apple could produce an iPhone for less than $150 to broaden its appeal† (Has Apple peaked? par. 7). This is a viable strategy given that competitors have already launched several alternatives to the smartphone at significantly affordable prices; especially in emerging markets, like China. Secondly, Horace Dediu, a spokesperson from Asymco, a research firm, was cited to disclose that â€Å"it would be a mistake to think Apple is resting on its laurels† (Has Apple peaked? par. 13). His proof was the soaring of capital expenditure of Apple which is an indication that it is producing a new product to be launched in the market. Third, the legal battle Apple has encountered with Samsung was noted to be indicative of it being on the defensive stance. I am convinced that any organization threatened by competitors in terms of product patent would do the same thing. As a competitor, like Samsung, the apparent increase in capital expenditure that indicates that Apple is concocting a new innovative product should spur me to increase my research capabilities and try to find out from all possible avenues what these technological gadgets could be. Likewise, I could set my product engineers to design new, creative, and more innovative gadgets that would potentially be seen as blockbuster products and could be purchased at relatively cheaper amounts than what Apple normally offers. If I am personally involved in Apple as an employee, I would definitely by knowledgeable of any possible new product innovation or future product launches that are being designed. As such, I could validate that Apple could simple be at the steady state

Tuesday, October 29, 2019

A ball is dropped from affects the re-bounce of it Essay Example for Free

A ball is dropped from affects the re-bounce of it Essay Analysis:As the results and the graph attached overleaf shows, the line of best fit indicates that my prediction was correct, although due to experimental error it is not exact. However, as the end column displaying the percentage loses shows, although the percentage losses vary they are all around the same point. I think air resistance did have an affect and slow the ball down, this meant it was unable to pick up a lot of speed, meaning it didnt have much kinetic energy and what it did have was lost when it was still for a split second as it squashed; released more energy in the form of heat. Therefore the percentage loss increases near the end as the drop height increases. I think that my prediction about the percentage loss was right because the end column shows no big anomalies, which means that the ball was constantly losing the same amount of energy wherever I drop the ball. This indicates that the air resistance did not have as bid affect as I thought. Towards the end of my experiment, the graph shows a clear place where a factor influenced my results. The last three points are some what away form the trend of the rest; this could be because I had reached a point where terminal velocity concluded. I think this because they are significantly lower than the rest of the points. This leads me to believe that air resistance had an affect of the bounce height due to terminal velocity no longer being in control. These last results are anomalies as they do not follow the trend of the rest, and are notably away from the line of best fit. I would expect to get a result of approximately 22 when dropping from one metre; however I actually got about 21. 5. consequently, I believe Moreover, I expected that if I dropped it from 100cm it would be double that of the bounce from 50cm. This was incorrect, as 12. 3 x 2 does not equal 20. 407. I believe this was because in this case air resistance did have an affect, or the heat I expected to transfer from my hand did not, maybe due to it me doing the experiment in the middle of winter. On the other hand, in my prediction I stated that the bounce height would increase as the drop height increases, and the straight line defiantly shows this. In my opinion, at the end of the graph, the gradient increases causing a steeper end to the graph. This is probably because I did these heights at the end of the experiment, therefore the ball will have had time to warm up, causing the molecules inside to move around and make the outer edge of the ball harder, meaning it bounces higher. I believe that my graph does not have a very steep gradient due to that when I drop the ball higher; the friction against the air coincidently increased. I decided to draw my graph from the origin point, as that is the only point of the graph that is free of experimental error, as you cant drop a ball from nothing and expect it to bounce, as it has no GPE. Evaluation: Overall, I do not think this experiment was very reliable, as there were so many factors that were out of my control to manage. These were such things as the air temperature, the air resistance, heat, and the pressure inside the ball. The air temperature could have affected the activity of the molecules inside the ball, and brought into action the Kinetic theory. The kinetic theory is that of the molecules gaining more energy and exerting it on moving around, consequently colliding with each other and making the ball harder due to the increase in the pressure. This may have made the ball bounce harder as it got hotter through the experiment. Although I said pressure would be one of my controls, I did not take into account the pressure building up due to the heat transferred. Moreover, I could not control the air resistance, although this should have stayed constant, I cant be sure. If the air temperature increased through the experiment, maybe because of the body heat given off, it would mean that the air resistance increased. This is because the heat gives the molecules energy, so the ball would have to use more energy to push past them. This energy is then lost, and means that the ball does not have as much energy as it would if it were cooler. Furthermore, I think because we used our eyesight to determine the height of the re-bounce, this made our results even more unreliable. Yet, on-the-other-hand, I also think my results were as reliable as could I could get them. This is due to the limited time and equipment. For instance, because we used a clamp and stand to hold up the ruler, it made the results trustworthier than someone holding it up. Also, the only thing we varied was the height we dropped the ball, everything else was kept exactly the same, for example, the ball we used, and the surface we worked on. Whats more, I followed the procedure correctly and missed nothing out. I measured the height of the re-bounce from the bottom of the ball instead of the top, as when we dropped it the bottom was inline with the top of the ruler. Moreover, because I got an average, it reduced the affect of anomalous results, which meant my result are unlikely to be flawed due to me as the dropper. I do not think the way I measured the height was very accurate, as it depends on individual eyesight, and everyones level of eyesight is different. Although, they way I dropped the ball, and how we went about trying to record the closest measurement was accurate. This is because I used only my finger and thumb to hold the ball, this was to pass as little heat over as possible, and stop dropping the ball with an added force. I believe this worked, as on my graph there are no obvious anomalies, the line is not straight, but that is due to only a small bit of experimental error. If I repeated the experiment there would be lots of things that I would do differently. I would conduct the experiment on the floor instead of on the bench, as maybe the increase G. P. E on the bench influenced my results. Also, I would find some way of controlling the air temperature, and the air resistance, although this would have to be done outside of the lab. I think that the temperature and the air resistance did have an effect on my results as the percentage of energy lost increased as I dropped the ball from higher positions. Moreover, I would find a way to measure the level of the re-bounce that would be more dependable than using my own eyesight. This is because, as I have said, eyesight is not consistent as things such as the light intensity, which may affect the recording of the results, can influence it. Furthermore, I would increase my drop heights to 200cm, as I think if I carried on longer, my graph would show a definite point where terminal velocity came into action, and also that that graph would perhaps increase its gradient as the ball got hotter through the experiment. This would be useful as it would mean my results could be analysed further and draw a conclusion more valid. Although, if I did do the investigation again, I would keep the squash ball in my experiments. I believe it gave reliable results subject to the terms and conditions that applied freely. Also, I would use the same unit of measurements, as they showed the results clearly and were more appropriate than other methods. I could repeat the experiment under converse conditions by for instance changing the surface, or the air temperature. I could also vary the ball I used, as this would allow me to compare different bounce heights from the same drop height. This would mean I could calculate the efficiency of the balls I used. Whats more I could change how I measure the height it bounces back, or actually what I measure. I could measure the efficiency of the ball, and how the height I drop it from affects the amount of energy is lost.

Sunday, October 27, 2019

Occupational Gender Segregation In British Labour Market Sociology Essay

Occupational Gender Segregation In British Labour Market Sociology Essay The essay will concentrate on the phenomenon of an occupational gender segregation that women continue to suffer in the labour market in Britain. Firstly this essay will look at some statistics surrounding women in the employment. Secondly, the paper will consider theories that try to explain the occupational segregation by sex. The essay will examined the neo-classical economic theories of human capital and rational choice. Moreover, the paper will evaluate if these theories stands up as an argument to reason the occupational gender segregation. Then the concept of patriarchy which is at the centre of feminist theory will be presented and appraised in connection with understanding the cause of occupational sex segregation. The last theory to be assessed in relation to disadvantage experienced by women in the labour market will be the idea of preference theory based on Catherine Hakims study. Despite over forty years since first Equal Opportunities legislation has been introduced, labour market in the United Kingdom is marked by the sexual segregation in occupations that women so often experience. Labour Market Statistics( 2010) highlights that 42.8% of female employees work in part-time jobs to compare with 11.9% of their male counterparts and 74.4% of all employees in part-time jobs are women; thus part-time jobs tend to be seen as womens work. This generates financial consequences for women. Recent survey by Annual Survey of Hours and Earnings (2009, p.5) illustrates that the full time gender pay gap is at 16.4% and the part time gender pay gap is at 13.2%. The Equal Opportunities Commission (2006) estimated that the gender pay gap would lose a woman working on full-time basis a cumulative amount of  £330,000, or  £210,000 after taxes over her life. Labour Force Survey (2006, p.5) also points out that women predominantly work in service occupations whereby men most ly work in management occupations and in professions that require high level of knowledge and skills. The neo-classical economic theories of human capital and rational choice represent a prominent proposition that attempts to clarify the reasons behind occupational sex segmentation. (Blackburn et al., 2002, p.515) The rational theory suggests that employees and employers behave sensibly in the labour market. Thus, people decide to invest in their qualifications and gain work experience in order to obtain the highest level of income possible after assessing the level and quality of their human capital and existing constrains to enter particular occupation (Anker, 1997, p.317). Furthermore, employers look for the highest return possible by increasing productivity and reducing costs. However, the rationality of employers actions may cause unequal treatment of women in employment sphere (Kirton and Greene, 2005, p.55). According to human capital theory, women entering labour market offer lower level of knowledge and skills, and less suitable qualifications that employers are looking for compare to men partly due to inequality women experience within education system (Haggerty and Johnson, 1995 p.212 and 216) and partly because women are predominant child carers and are solely responsible for home activities (Anker, 1997, p.317). Moreover, women obtain lower level of work experience than their male counterparts due to temporary or permanent exit from the labour market to look after their youngsters and households (Kirton and Greene, 2005, p.55). Neo-classical theories indicate that house duties make women often to opt for a part-time work, a full-time job that does not require much effort and energy (Blackburn et al., 2002, p.517). Therefore, female workers are often regarded by employers as less committed and less professional (Epstein et al., 1999 in Hardill and Watson, 2000, pp.21-22). In accordance with Polacheks theory, women usually select occupations that do not carry severe penalties for short-term breaks that women take to care for their children and homes (England, 1982, p.363). Furthermore, the employers often link female employees with higher indirect costs, which the most known is maternity leave. It is said that women are more likely to be late or absent at work than men, possibly due to home responsibilities (Kirton and Greene, 2005, p.57). The women are often associated with high level of turnover as they often quit their jobs after childbirth or in some cases after getting married (Anker, 1997, p.317).Thus, according to Becker (1971 in Anker, 1997, p.320), employers are rational when they abstain to employ women in order to avoid higher indirect costs. Despite of neo-classical theories contribution to explaining occupational sex segregation, there are some issues when these theories are the only one considered. Evidences have indicated that womens participation in employment has risen in Britain since 70s (Kirton and Greene, 2005, p.60). Labour market statistics (November 2010, p.3) indicates that recent women employment rate stands at 65.7% compare with just 56 % in 1971(Office for National Statistics 2009).An introduction of house appliances such as washing machines, cookers and microwaves has decreased significantly the time required to perform certain house activities in recent decades (Bowden and Offer, 1994, p.728). Moreover, recently more women are force to work to sustain themselves and their children due to a higher proportion of single parent households (Buvini, 1995 in Kirton and Greene, 2005, p.60). Census (2001) statistics have indicated that 90.5 %of households in England and Wales are headed by single women. These ch anges indicate that women have increased their work experience and in this way they have enhanced their human capital (Kirton and Greene, 2005, p.60). Considering the human capital theory these changes should enable women to enter occupations. However, women still face barriers to enter those occupations (Anker, 1997, p.320), and the reason for that is not explained by the economic theories. In accordance with economic theories, lower level of income achieved by women is fair as their level of human capital is much lower than that of the male workers. However, pay inequality between men and women is much higher than would be anticipated based on human capital reasoning (Treiman and Hartmann, 1981; World Bank, 1994 in Blackburn et al., 2002, p.517). Furthermore, womens pay inequality is not only bounded to women with children. There are many professions which also badly reward single women. Although rational choice theory explains that there is a belief that all women will have children, recent researches have highlighted that more and more women are fully dedicated to their careers and decide to have no children on their own (Browne 2000; Franks 1999 in Blackburn et al., 2002, p.519). When looking at indirect costs, they are perceived to be higher for female employees than their male counterparts; however, the evidence has shown that the rate of absenteeism and turnover is very similar for both genders (Anker, 1997, p.319). The argument of human capital theory that women traditionally choose professions that are not costly when suspended for a short-time (Watts and Rich, 1993, p.60) is disapproved by England (1982). The evidence England has put forward indicates that professions with a high rate of women do not necessary carry lower penalties for short-term breaks from work than professions with lower rate of women (England, 1982, p.365). The neo-classical theories arguments applied alone offers just limited explanation for occupational sex segregation. Kirton and Greene (2005, p.62) have put forward questions that the economic theories do not explain; why do certain social groups on average come to the labour market with lower levels of education and in what are seen as less relevant subjects? Why is housework and childcare and elder care almost always the sole responsibility of women? The gender theory concept of patriarchy should fill the gaps that exist in economic theories discussed earlier. According to Hartmann (1976, p.152-3), occupational gender segregation is a result of the phenomenon of patriarchy. This concept is concerned with a social situation where women are in subordinate position and are dominated, exploited, and undermined by powerful men (Bender L., 1988, pp.5-6); thus it seems to be intended as an explanation of vertical segregation (Blackburn et al., 2002, p.521). Women around the world are generally perceived to be housewives, and men to be main breadwinners in households. This might explain why women are solely accountable for most of the house activities and childcare (Anker, 1997, p. 324). Due to patriarchal system, women joining labour market are affected by their free house work; their incomes are perceived as extra money added to a primary incomes of their husbands. This in turn stimulates the gender pay gap that exists in the United Ki ngdom (Kirton and Greene, 2005, p.64). The fact that women occupy subordinate positions and perform house duties solely might explain why women enter the labour market with lower levels of education and are more likely to obtain qualifications that are less relevant to the labour market as it is believed that women have a lower desire for qualifications that are appropriate to labour market (Anker, 1997, p.324). Although the patriarchy theory is indented to comprehend the concept of occupational sex segregation, many scholars have highlighted some limitations when considered separately. Walbys claim that men have usually been successful in excluding women from the better work (1986,p.248) is disputed by evidences seen in the British society where many women work in better professions, and have better working and living conditions than many of their male counterparts (Blackburn et al.2002, p.521) The patriarchy theory reasoning is also looking bad when we take into consideration recent developments in the labour market, where shrinking of the male trades (such as mining, steel and docking) and the expansion of the service sector has favoured women more than men. The evidences have shown that in some parts of UK women account for most then 50% of the entire workforce (Browne, 2000 in Blackburn et al., 2002, p.521). The preference theory is a connection between gender theory of patriarchy and Goldbergs (1973, 1979, and 1993) biological theories. Hakim (1996 in Crompton and Harris, 998b, p.144) argues that men are more ruthless and ambitious than women due to higher testosterone levels in their organism. She presents the evidence which indicates that male labour market dominance is strongly supported by both genders. Furthermore, Hakim believes that women are not the same and they differ in relation to their family and work commitments (Blackburn et al., 2002, p.523).Their choices between job and home are not limited by any significant restrictions (Hakim in McRae, 2003, p.318) but are based purely on their preferences. Hakim (2002, p.434) assigns women to three groups. The first group involves the work-centred females who are highly committed to their jobs. The second group are the home-centred women. Women belonging to this group are devoted to their families and prefer to stay at home (Blackbu rn, 2001, p.523). The third group includes the adaptive women who juggle job and home or women who have no idea where their careers are going (McRae, 2003, p. 318). Hakim (1996, p.211) suggests that male solidarity wins because women dither, because they are swayed by the dominant male voice and also because women are divided in their preferences and interests. Thus, the interplay between womens differences, an argument of patriarchy theory of male domination and womens diverse priorities explains the womens employment position in Britain (Crompton and Harris, 1998b, p.144). Hakim (2002, p.435-7) suggests that only small proportion of women are fully concentrated on their careers or families. Large majority of females integrate family and work without fully committing to either (Hakim, 2002, p.434). This view is supported by evidences that have shown that only 10% of first-time mothers remain in full-time work where 90% of mothers mix periods of full-time and part-time work or leave the labour market permanently (McRae, 2003, p.322-3) However, preference theory also has some deficiencies. Blackburn et al. (2002, p.525) disagree with an argument that womens choices are not limited by any constraints. They point out that concerns such as possible income and childcare costs have a great impact on women choices that might be far from their preferred choice. McRae (2003, p.333) suggests that the evidences introduced in her paper shows that women are not as diverse as suggested by Hakim in their choices in regards to their work and family lifestyle but they are different in their capacities to act on those preferences. These evidences are clashing with an assumption of preference theory about female heterogeneity. This concluding part of the essay offer some general conclusions about the applicability of the theories analysed in this paper for the reason behind the occupational gender segregation in Britain presented by statistical data. Discussed in the paper theories of neo-classical, patriarchy and preference have been very useful to understanding why women experience disadvantage in the labour market. They have offered different and sometimes contrasting arguments. Thus, the main argument of human capital theory is that women are disadvantaged due to their lower level of education and work experience which is a product of inequality in a schooling system and sole responsibilities for home and children. Contrary to human capital theory, preference theory has argued that women choose to be committed or uncommitted to their work careers and there are no major constrains to prohibit women from joining the labour market. On the other hand the concept of patriarchy has highlighted that male domi nation over women in societies is the main reason behind occupational gender segregation. Despite their great value to comprehend the cause of occupational segregation by sex, all of these theories are flawed to same degree and neither should be considered separately. To fully understand the reason for women disadvantage in the employment relationship, there is a need to bring neo-classical, patriarchy and preference theories together.

Friday, October 25, 2019

Starbucks Essay -- GCSE Business Marketing Coursework

Star Bucks Problem Statement Howard Shultz and the senior management at Starbucks have to decide how to react to the opportunities that are being made available because of their rapid growth. The decision for a strategic growth plan has to be made in the near future. This will prove to be key for Starbucks reaching their long-term goal of becoming the most recognized and respected brand of coffee in the world. Situation Analysis Starbucks is currently the industry leader in specialty coffee. They purchased more high quality coffee beans than anyone else in the world and keep in good standings with the producers to ensure they get the best beans. Getting the best beans is only the first part, Starbucks also has a â€Å"closed loop system† that protects the beans from oxygen immediately after roasting to the time of packaging. They did this through their invention of a one-way valve which let the natural gasses escape but keeping oxygen out. This gave them the unique ability to ensure freshness and extended the shelf life to 26 weeks. Starbucks isn’t only about the coffee, it’s also about a place where people can escape to enjoy music, reflect, read, or just chat. It is a total coffee experience. The retail outlet has been responsible for much of Starbucks growth and has contributed substantially to their brand equity. The Starbucks case doesn’t mention many weaknesses. The main one, however, is their supply chain operations. This hasn’t caused any problems yet but they mention that handling four business units is becoming challenging. They have yet to come up with a long-term solution for such possible problems. As mention earlier Starbucks has many opportunities of which it can take advantage. These include a joint venture with McDonald’s, where the restaurant giant would supply its customers with Starbucks coffee. Another is the bottled Frappuccino product that Pepsi and Starbucks have created. This has had a very positive response in the test markets and posses to be a lucrative option. Starbucks could also look at the vertical integration possibility of producing its own beans. This could prove to be very successful if they can capture a significant amount of the production they could become a price setter in the coffee commodities. Also because small coffee retail outlets are so trendy it is possible for them to set ... ...nal locations in the heaviest coffee drinking countries. This has to be done quickly as to get the jump on other that may also be considering this type of a move. At the same time they should be selling franchise right for the coffee carts. This will provide an increased cash flow as well. During all of this Starbucks should be looking at coffee producers who are in financial trouble or are looking at selling their farms. This has to be done discretely as not to cause unnecessary bad press. After they run a couple of these coffee producing farms for a few years they should be able to see how the whole operation works and determine its viability. Once it’s proven viable they should send out simultaneous offers to the biggest producers as to catch them and other coffee companies off guard. Starbucks also should be getting into the bottled Frappuccino as soon as possible. They should leave the introduction of the product up to Pepsi because of their past experience. They should leave their entry into the grocery store market until some of these other strategies are implemented. This will prove to be the best strategy for Starbucks being able to reach their long-term gaol.

Thursday, October 24, 2019

College Dorm vs Apartment

Going off to college after eighteen year of rules and restrictions underneath your parents’ roof can be a very exciting experience, but is it all that it appears to be? There are many pros and cons when it comes to both living at home, and in a college dorm. Fortunately for me I have been able to experience living in all three and I can definitely say that living in a college dorm is the better option. At first glance a college dorm seems like the best thing that has ever happened to you especially since you will no longer have your parents there to nag you. There are many obvious advantages to living in a college dorm.One of these advantages is the most obvious, you don’t have to follow all the rules that your parents have laid out for you, of course there will still be rules in your dorm but you will still have a sense freedom. There will always be rules in society so you can never escape that. Another major advantage of moving away to a college dorm would definitely be the experience. When I went off to college I met so many different people, learned so many knew things, and had many experiences that I will remember forever. Another pro of living in a dorm is that you finally get to learn how to be independent and truly take care of yourself. Mom won’t be there to wash your clothes or cook for you, so you easily gain knowledge on how to fend for yourself. Lastly, I feel an advantage of living in a dorm is that you learn how to prioritize and be more. You won’t have the luxury of your parents telling you to do your homework, so being away gives you a sense of responsibility and it is basically up to you to make the right decisions. Along with the pros there are always cons. Living in a college dorm is not always the best option. There are definitely setbacks involved in living away from home. A major disadvantage is that college life can be very distracting. There are always going to be parties and other fun things going on which can easy take your mind away from that assignment you have due in the morning. Living in a dorm can possibly jeopardize your GPA. (unknown, 2005, para. 3) A college dorm can also be a disadvantage if you have a horrible roommate. You no longer have the luxury of having your own space which can be very uncomfortable, or even cause another distraction. Living in a dorm room can also be very costly, even if you don’t use all that you are paying for. For example you may pay for a meal plan, but not as much food as you are paying for. (Bram, 2011, para. 9) Although I would definitely choose living in a dorm versus staying at home, there is also a plus to staying under your parent’s roof. The number one advantage of staying at home, in my opinion, is that you have the opportunity to save extraordinary amounts of money. You don’t have to worry about the cost of the dorm, food or any other expenses and you could also get a job. Going away to college is very expensive, so staying at home just a little while longer definitely won’t hurt you or your parents’ pockets. With that being said, we can get a little too comfortable with not having to worry about things financially which can keep us wanting to stay at home longer. The longer you stay at home, the harder it will be to leave later, which I find to be a major con. If for some reason staying at home for a longer time becomes the only option for you, at least you will always be focused. Not being around your peers constantly can absolutely keep you focused, not to mention your parents who will consistently be on your back about keeping grades up. Staying at home is a major advantage when it comes to doing well. Sometimes you have to really list out the positive and negative things about a particular subject to find what the best option for you would be. When it comes to living in a dorm you have freedom and gain experience, but it can be costly. When it comes to living at home you will be more likely to perform better in school, but you will have to abide by your parents rules even as an adult. I looked at all of the pros and cons of each, and still believe that living in a college dorm is a better option, not only for the experience, but because it helps to better prepare you for the future.

Tuesday, October 22, 2019

Personal Essay

The negative is so easy to dwell on for most people, but here's what I remember err most from the situations that Eve been put through because of my mom's habit of fleeing. I remember going to work with my dad, so that we could both make what little money we could to put food on the table. Remember the good laughs we had when we would be able to get a frozen pizza, or a gallon of milk and eat like kings. I remember being strong. I know that when I'm in a place of need, my father would kill to make it better, and although we ere struggling to afford everyday needs, I knew that if kept a smile, my dad would keep one too.Through learning that had to do everything that I could in order to keep my mind away from the negative as well as keep my body moving to support me and m y dad, tried my very best in school. There were times when I couldn't make it through a day b cause Of pure exhaustion but I had to keep moving in order to strengthen the bonds of not only me and my dad, but all of my friends and teachers that supported me through this rough attach in my life.My family means everything to me, and those values run deeper than anything g know. Never did turn my back on someone just because they made a mistake. This was the last time my mom ever left me, and she has come back since and has done every hinge to work with me to strengthen our con injection again. She didn't need to do any of this. She has left and came back quite a few times through my life, and although this was the w resort, would not turn my back on family.No matter how devastated I was during the incident, I love, I quickly let my mother back into my life, and do not regret that by any means. TomorroWs a new day in life. When the sun comes out, I know that its time t 0 work. I have found true meaning to forgive and forget, and make the best of whatever RL am given. Fight and strive for a better life, and if everything goes well, I'll become a Bette r man. A man who is not dragged down by anything, big or small, but still has the heart and dedication to work hard and never stagger my beliefs or values. Personal Essay Personal Responsibility Essay Terriers Howard Gender September 12. 2013 Kate Though Furthering your education can be a encouraging and discouraging decision; really when you have everyday life situations and experiences. Today's average adult is working, taking care of children, and also dealing with unexpected life events and with all those things going on they continue to strive for success. Continuing education on top of all those responsibilities can add great stress, but It can be accomplished.Myself has seen my mother raise children, work, and continue education. Her advice to me was to accomplish success in life with goal settings, vision, and mental preparation. Collegial (2004-2007), â€Å"Goal setting is the process of deciding on something you want, planning how to get it, and then working towards the objective†. The way to attain long term goals Is to to set short term goals first, which are more attainable In smaller steps.Short term goals are Like stepping stones they are designed In smaller moderation to obtain the bigger picture, which is to accomplish the long term goal, which will lead to greater success. A person can set to achieve a short term goal within a short period of time from one day until one week, or even six months whether than a long term goal which can take years. You can see short term progression much greater than long term every time you accomplish a short term goal, a pat on the back Is in demand, and means that you are one step closer to your long term goal.The funny thing about goal setting Is that you should always set long term goals first to give yourself a window, and to place goals in order of importance. You should always set long and short term meaningful goals Goal eating also involves maintaining specific, measurable, achievable, realistic and time targeted goals to become attainable. Discouragement will come along, but time management and goal setting will give you an outlook on your lives plan. Life is a l esson within Itself you have to start somewhere to end up somewhere.Vision meaning the act or power of anticipating that which will or may come. Vision Is another technique required to become successful at furthering your education. Vision is an outlook that one has for themselves to see the future a pictures of Seibel future based plans which can be perceived mentally during dreams or life images. Vision is needed to stay focused and on track to become successful, and also the foundation for success, one must have vision to know there place In life or what attain the perceived images and dreams.Vision is also needed to remain determined when life's unexpected events arouse you can always go into your subconscious thoughts and remember your vision you have for yourself to continue your successful journey. Mental preparation is another technique helpful and needed to have a successful education experience. Mental preparation is very important for an adult who is continuing education, working , being a parent, and a spouse to help keep ones sanity and to accomplish having academic needs met.Mental preparation can help one cope better with stress, the ability to separate, but not completely forget about life stresses. Practicing on how to focus on keeping what is important together at that present time. To prepare yourself for furthering education you have to put yourself on the top of list as number one proper rest, exercise, good eating habits re needed to stay healthy and have adequate mental awareness and energy to deal with the extra meal on your plate.Good study habits and ample study time is needed to be successful in your furthering education, completing assignments early not waiting until the last minute to turn them in, which can lead to a major stresses. You have to make scheduled school days less stressful plan other activities on other day if possible, doing so will enhance your education, this will give you confidence, control, and mental energy in doing such strategies will lead to better education experience.Personal responsibility is being accountable for your own decisions and actions, and having self respect for yourself and others to become successful. Having to maintain personal life, being in the work force, and continuing education can all be a bit much, but is attainable with determination, patience , support, and focus to become successful. All one needs is to have a vision of lives path, set goals to attain the vision â€Å"road blocks don't mean failure, repeating goals make it stick† (The Numerous foundation, 1995-2013). Also mental preparation to make the furthering education experience much easier.

Siege of Fort Erie in the War of 1812

Siege of Fort Erie in the War of 1812 Siege of Fort Erie- Conflict Dates: The Siege of Fort Erie was conducted August 4 to September 21, 1814, during the War of 1812 (1812-1815).   Armies Commanders: British Lieutenant General Gordon Drummondapprox. 3,000 men United States Major General Jacob BrownBrigadier General Edmund Gainesapprox. 2,500 men Siege of Fort Erie - Background: With the beginning of the War of 1812, the US Army commenced operations along the Niagara frontier with Canada.   The initial attempt to mount an invasion failed when Major Generals Isaac Brock and Roger H. Sheaffe turned back Major General Stephen van Rensselaer at the Battle of Queenston Heights on October 13, 1812.   The following May, American forces successfully attacked Fort George and gained a foothold on the west bank of the Niagara River.   Unable to capitalize on this victory, and suffering setbacks at Stoney Creek and Beaver Dams, they abandoned the fort and withdrew in December.   Command changes in 1814 saw Major General Jacob Brown assume oversight of the Niagara frontier.          Aided by Brigadier General Winfield Scott, who had relentless drilled the American army over the previous months, Brown crossed the Niagara on July 3 and quickly captured Fort Erie from Major Thomas Buck.   Turning north, Scott defeated the British two days later the Battle of Chippawa.   Pushing ahead, the two sides clashed again on July 25 at the Battle of Lundys Lane.   A bloody stalemate, the fighting saw both Brown and Scott wounded.   As a result, command of the army devolved to  Brigadier General Eleazer Ripley.   Outnumbered, Ripley withdrew south to Fort Erie and initially desired to retreat across the river.   Ordering Ripley to hold the post, a wounded Brown dispatched  Brigadier General Edmund P. Gaines to take command. Siege of Fort Erie - Preparations: Assuming a defensive position at Fort Erie, American forces worked to improve its fortifications.   As the fort was too small to hold Gaines command, an earthen wall was extended south from the fort to Snake Hill where an artillery battery was emplaced.   To the north, a wall was built from the northeast bastion to the shore of Lake Erie.   This new line was anchored by a gun emplacement dubbed the Douglass Battery for its commander Lieutenant David Douglass.   To make the earthworks more difficult to breach, abatis were mounted along their front.   Improvements, such as the construction of block houses, continued throughout the siege. Siege of Fort Erie - Preliminaries: Moving south, Lieutenant General Gordon Drummond reached the vicinity of Fort Erie in early August.   Possessing around 3,000 men, he dispatched a raiding force across the river on August 3 with the intention of capturing or destroying American supplies.   This effort was blocked and repulsed by a detachment of the 1st US Rifle Regiment led by Major Lodowick Morgan.   Moving into camp, Drummond commenced building artillery emplacements to bombard the fort.   On August 12, British sailors mounted a surprise small boat attack and captured the American schooners USS Ohio and USS Somers, the latter being a veteran of the Battle of Lake Erie.   The next day, Drummond commenced his bombardment of Fort Erie.   Though he possessed a few heavy guns, his batteries were sited too far from the forts walls and their fire proved ineffective. Siege of Fort Erie - Drummond Attacks: Despite the failure of his guns to penetrate Fort Eries walls, Drummond moved forward with planning an assault for the night of August 15/16.   This called for Lieutenant Colonel Victor Fischer to strike Snake Hill with 1,300 men and Colonel Hercules Scott to assault the Douglass Battery with around 700.   After these columns moved forward and drew the defenders to the northern and southern ends of the defenses, Lieutenant Colonel William Drummond would advance 360 men against the American center with the goal of taking the original part of the fort.   Though the senior Drummond hoped to achieve surprise, Gaines was quickly alerted to the impending attack as the Americans could see his troops preparing and moving during the day. Moving against Snake Hill that night, Fischers men were spotted by an American picket who sounded the alert.   Charging forward, his men repeatedly attacked the area around Snake Hill.   Each time they were thrown back by Ripleys men and the battery which was commanded by Captain Nathaniel Towson.   Scotts attack in the north met a similar fate.   Though hiding in a ravine for much of the day, his men were seen as they approached and came under heavy artillery and musket fire.   Only in the center did the British have any degree of success.   Approaching stealthily, William Drummonds men overwhelmed the defenders in the forts northeast bastion.   An intense fight erupted which only ended when a magazine in the bastion exploded killing many of the attackers.    Siege of Fort Erie - Stalemate: Having been bloodily repulsed and having lost nearly a third of his command in the assault, Drummond resumed the siege of the fort.   As August progressed, his army was reinforced by the  6th and 82nd Regiments of Foot which had seen service with the Duke of Wellington during the Napoleonic Wars.   On the 29th, a lucky shot hit and wounded Gaines.   Departing the fort, command shifted to the less resolute Ripley.   Concerned about Ripley holding the post, Brown returned to the fort despite having not fully recovered from his injuries.   Taking an aggressive posture, Brown dispatched a force to attack Battery No. 2 in the British lines on September 4.   Striking Drummonds men, the fighting lasted around six hours until rain brought it to a halt. Thirteen days later, Brown again sortied from the fort as the British had constructed a battery (No. 3) that endangered the American defenses.   Capturing that battery and Battery No. 2, the Americans were finally compelled to withdraw by Drummonds reserves.   While the batteries were not destroyed, several of the British guns were spiked.   Though largely successful, the American attack proved unnecessary as Drummond had already resolved to break off the siege.   Informing his superior, Lieutenant General Sir George Prevost, of his intentions, he justified his actions by citing a lack of men and equipment as well as the poor weather.   On the night of September 21, the British departed and moved north to establish a defensive line behind the Chippawa River. Siege of Fort Erie - Aftermath: The Siege of Fort Erie saw Drummond sustain 283 killed, 508 wounded, 748 captured, and 12 missing while the American garrison incurred 213 killed, 565 wounded, 240 captured, and 57 missing.   Further reinforcing his command, Brown contemplated offensive action against the new British position.   This was soon precluded by the launching of the 112-gun ship of the line HMS St. Lawrence which gave naval dominance on Lake Ontario to the British.   As it would be difficult to shift supplies to the Niagara front without control of the lake, Brown dispersed his men to defensive positions.   On November 5, Major General George Izard, who was commanding at Fort Erie, ordered the fort destroyed and withdrew his men into winter quarters in New York.   Selected Sources Siege of Fort Erie, War of 1812Niagara Parks: Old Fort ErieHistoryNet: A Bloody Stalemate at Fort Erie

Sunday, October 20, 2019

Discussing The Amount Of People That Have Disabilities Social Work Essays

Discussing The Amount Of People That Have Disabilities Social Work Essays Discussing The Amount Of People That Have Disabilities Social Work Essay Discussing The Amount Of People That Have Disabilities Social Work Essay However, disablement rights and the disablement dimension of broader equality and human rights are merely get downing to derive acknowledgment on legislative act books and in tribunal judgements. Whilst these rights are immature both as legal and academic constructs, the demand to beef up and intensify our apprehension of the disablement docket is pressing. The new statute law, grants people sing disablements entree to public- , and private-sector employment, edifices, transit, and communications services, all which are seen as important dimensions in disablement equality. In making this, it equates favoritism against people sing disablements with favoritism based on gender, race, or faith. This statute law recognised people sing disablements as a minority group meriting equal protection under the jurisprudence. The Disability Act assumes that human-made environments are the primary beginning of disability. Such environments are informally and officially shaped and defined by plans, policies, course of study, architectural programs, and other miscellaneous patterns. What is Disability? Disability is a contested, complex thought. It covers a broad spectrum of medically defined damages and the societal, environmental and economic obstructions to full enjoyment of social inclusion that are associated with them. Damages linked to disability scope from terrible to minor restraints on mobility, sight, hearing, address and acquisition, and include mental unwellnesss every bit good as physical conditions. The differentiation between the medical and societal theoretical account of disablement arose out of the unfavorable judgments of the ICIDH theoretical account by people who were active in administrations and motions that aimed to procure basic civil rights for people with disablements. An early alteration to the ICIDH theoretical account emphasized the demand to see disability as emerging out of external factors that interact with disease/impairment/disability. One effort to depict these factors made mention to the physical environment, the societal state of affairs to the individual and the resources available to them ( Bradley 1987 ) . In a more recent part, Verbrugge A ; Jette ( 1994 ) provided a more luxuriant categorization, including both personal and environmental factors in the procedure which links impairment/disability and their results. The importance of these factors is that they provide avenues for intercession that aim to better the quality of life of individuals so affected. In response to unfavorable judgment of the original ICIDH theoretical account, a more comprehensive alteration has late been developed by the World Health Organisation ( Halbertsma et al 2000 ) . This is called the International Classification of Functioning, Disability and Health known as ICF ( WHO 1999 ) . This has moved off from being a consequence of disease theoretical account, to a components of wellness theoretical account. Its cardinal constituents are body constructions and maps and damages in construction of map ; activities, which are undertakings or activities undertaken by a individual and troubles or restrictions an person may hold in put to deathing those activities ; and engagement, which consists of engagement in life state of affairss in the context of where an single lives. Engagement limitations are jobs a individual may see with regard to involvement in life state of affairss. Each of these constituents are relationships between them are influenced by the conte xtual factors ; that is, personal and environmental factors. This strategy attempts to incorporate the medical and societal theoretical accounts of disablement into broader biopsychosocial theoretical account that gives due acknowledgment to the significance of the environment in act uponing operation and overall wellness and wellbeing. Medical theoretical account of disablement Looking at the medical theoretical account of disablement, it is rooted in an undue accent on clinical diagnosing, the really nature of which it is destined to take to partial and suppressing position of the handicapped person. The medical theoretical account of disablement, up until late, was seen as the dominant paradigm of disablement, and described the norms that have traditionally governed disablement in Western society. It relies on normative classs of handicapped and non-disabled and presumes that a individual s disablement is a personal, medical job, necessitating but an individualized medical solution ; that people who have disablements face no group job caused by society or that societal policy should be used to better. The medical theoretical account views the physiological status itself as a job. In other words, the person is the venue of disablement. Even those with disablements have sometimes adopted this position. This theoretical account is necessary in finding medicine, although, we need much more so the medical facts in order to understand disablement. Understood merely as a biological trait, disablement leaves the person in demand of physiological aid to rectify the effects of the disablement. Under the medical theoretical account, people with disablements are frequently characterised as holding single properties of incapacity and dependance. Consequently, given the position of disablement as an person job, appropriate aid is understood either as rehabilitation attempts to enable the person to get the better of the effects of the disablement, or medical attempts to happen a remedy for the person. Either manner, the focal point is on the person and how they can get the better of their status. The medical theoretical account has the capacity to break up the disablement community by emphasizing the single physiological traits that differentiate handicapped individuals, instead than the common social obstructions that unite them. Under the medical theoretical account, people with disablements are frequently typecast into one of two functions: the pathetic posting kid or the inspirational supercrip. Under the pathetic posting kid function, handicapped persons are seen as objects of pity- childlike and in demand of charity. The contrasting, alternate function to the posting kid is the supercrip . If a handicapped individual is unable to presume a cute and childly function in society, the outlook is for that individual to be a supercrip and get the better of their disablement through their ain brave attempts. A supercrip is a handicapped individual, normally sympathetic, who has a epic narrative of trying to get the better of their disablement. In contract to the medical theoretical account, which we can see images illness as a mechanical malfunction or microbiological invasion, Parsons described the ill function as a impermanent, medically sanctioned signifier of aberrant behavior. This thought of the ill function has generated a batch of utile far-reaching research. Arguably, it still has a function in the cross-cultural comparing of ways in which time-out from normal responsibilities can be achieved or in which aberrant behavior may be explained and excused. Although this is true to state, the theoretical account does non exaime how being ill or in this instance disabled, does non automatically take to being a patient. Eliot Freidson has pointed out that people frequently rely on ballad sentiments and advice as to whether or non a professional audience is appropriate. He besides does nt admit that being a patient does non ever affect being ill. For illustration, a wheelchair user my be absolutely wellness saloon the fact they have no map of their legs. Alsojuxtaposed with the medical theoretical account of disablement is the societal theoretical account. The societal theoretical account Given the sweep of its protagonists, no one restatement of the societal theoretical account will cover every reading. In short, under this theoretical account, disablement is redefined as a societal construct- a type of multi-faceted social oppressions- and distinguished from the physiological impression of damage. In this context, being disabled depends upon divergence from society s building of corporeal normalcy. Furthermore, the experience of being a handicapped individual consists mostly of brushs with the many barriers erected by society- physical, institutional, and attitudinal- that inhibit full engagement in mainstream life. One consequence of the societal theoretical account is that the experience of disablement is non built-in or inevitable given a peculiar medical status ; instead, it depends upon the peculiar societal context in which one lives and maps. Upon speculating that the primary disadvantages associated with disablement are societal constructions and patterns, the claim that society has some duty to rectify the disadvantage may follow more of course. Consequently, whereas the medical manner facilitates medical solutions to set the person to suit society, the societal theoretical account focal points on seting the societal environment to fit persons. Social modelists do non disregard the function of physiology in bring forthing disablement under the rubric of damage. It must be taken into consideration when it comes to supplying entree or adjustments through architectural alterations. However, the cardinal claim under the societal theoretical account is that disablement is, by definition, wholly a societal concept. Johnson ( 1989 ) writes that, as a individual sing disablements, she feels she must endeavor to be normal in order to be personally Okay. Ed Murphy, quoted in Bogan and Taylor ( 1976 ) , observes that If you are considered mentally retarded, there is no manner you can win ( p.49 ) . Both of these persons have articulated a belief that they have, in some manner or ways, failed to run into the outlook of society. They believe that they have been perceived as limited in their operation and are themselves the beginning of the restriction. The orientation to disablement that Johnson and Murphy personify is normally referred to in the literature of particular instruction and disablement policy as the functional-limitation theoretical account ( Hahn, 1985 ) . Hahn ( 1988 ) traces this prevalent orientation to disablement to the Enlightenment and as experiential anxiousness stemming from a fright of going disabled coupled with an aesthetic anxiousness linked to a fright of the disturbing or unpleasant. Hahn is supported in this place by Foucault ( 1961/1965 ) , who links perceptual experiences of disablement to the European disappearing of Hansens disease in the late medieval period. This resulted in the transference of a negative perceptual experience of lazars to people with disablements in general. Foucault besides argues that the application of the medical theoretical account to disablement that occurred in the Renaissance contributed to a position of disablement as built-in in people and as a status that was pote ntially curable through intervention. Functional restrictions could therefore be seen as rehabilitative or remediable and non needfully dependent on environmental factors. The branchings of the functional-limitations orientation to disablement, and its negative consequence on how people sing disablements are perceived by others, are good documented in the literature. Through this orientation, disablements have been linked to results and potentially stereotyped perceptual experiences of the individual sing disablements. For illustration, shortages in cognitive development are routinely linked with an false enjoyment of insistent undertakings or obfuscation by excessively much stimulation ( Clements A ; Clements, 1984 ) . Hearing damages promote self-consciousness and deter speaking ( Clements A ; Clements, 1984 ) . Physical damages will falsify a kid s organic structure image ( Uhlin A ; DeChiara, 1984 ) . Disabilities will take to disconnectedness from the environment ( Lowenfeld, 1957 ) . Hahn ( 1985 ) establishes a direct nexus between a functional-limitation orientation to popular perceptual experiences of a individual s capacity for employment a nd quality of life. It is of import to province that at no point in a strictly functional-limitations attack is there a consideration that disablement may be a consequence of environmental failure. Environments are non to any great extent adapted to people. Peoples must endeavor, sometimes with aid of remedial and rehabilitative instruction, to accommodate to environments in the pursuit for an abstract normalcy. The critics of the functional-limitations orientation to disablement believe this orientation has contributed to a assortment of societal jobs facing kids, young person, and grownups who are sing disablements. Segregated life infinites, sterilization, denial of kid detention, lodging favoritism, unaccessible vote topographic points, and the denial of jury responsibility are platitude ( Asch, 1986 ) . Differences between societal and medical theoretical account The argument on public assistance cogently illustrates the difference between the medical and societal theoretical accounts of disablement. The medical theoretical account of disablement is kindred to a signifier of conservative antiwelfare political orientation, which located the job in the person. This political orientation is typically illustrated through claims that the individual merely needs to acquire a occupation or halt being lazy. Similarly, when people individualise disablement, as do public assistance conservativists, they overlook the possibility that disablement is a group job. Conversely, the societal theoretical account of disablement shifts the venue of duty for the jobs disabled people face from the persons themselves to their inhospitable environments. Interestingly, the medical position of disablement bases in blunt contrast to how other signifiers of favoritism are typically viewed. For illustration, the huge bulk of people believe that the jobs harassing racial minorities, adult females and homophiles stem non from these groups physiological lower status, but from societal favoritism. Discrimination against these groups is considered irrational by most ; few effort to warrant favoritism against any of these groups as acceptable. Yet many people seem to see favoritism against handicapped people as rational- the consequence of their ain organic structures deficiencies- and distinguishable from other signifiers of favoritism. The consequence is that even people who avoid other signifiers of favoritism may be disposed to rationalize disablement favoritism. Criticisms Although some critical disablement theoreticians argue for an attachment to the societal theoretical account ( Shakespeare 1997b, Ward 1997 ) , a theoretical theoretical account should move as a lens to sharpen 1s believing, non as a set of flashers to curtail thoughts and enforce conformance. Stone ( 2001 p.51 ) suggested that using the societal theoretical account of disablement as an analytical model is non the same as utilizing it as a design . One contention reflects a belief that the corporal experience of disablement ( Toombs 1995 ) and the frustrating and oppressive facets of damage ( Barnes A ; Mercer 2003, Clare 1999, Mulvany 2000 ) have been ignored by the societal theoretical account. Second moving ridge authors in disablement surveies are seen to be oppugning these premises that underpin the societal theoretical account of disablement ( Barnes, 1998 ) and as stated above, significantly, this oppugning motion has refocused epistemic attending onto Impairment ( e.g. French, 1993 ; Crow, 1996 ; Hughes A ; Paterson, 1997 ) . Through appealing to sociological imaginativeness and political committedness, these authors attempt to convey impairment back to the head of disablement surveies, off from its uncomfortable and counterproductive expatriate within quasi-medical discourses. Likewise, postmodern reviews ( e.g. Corker, 1998 ; Corker A ; French, 1998 ) and their problematising of expansive narrations, most evidently Marxism, offer localised, specific and discursively-orientated options that take history of the discursively-embodied nature of damage. Most notably, this bend to impairment challenges the widely recognized definitions provided by the UPIAS 1976 ( Fund amental Principles papers, which has been so influential in indicating ways frontward for the societal, political and theoretical emancipation of people with damages ( Oliver, 1990. 1996 ) . Impairment- missing portion of or all of a limb, or holding a faulty limb being or mechanism of the organic structure. Disability- the disadvantage or limitation of activity caused by ca modern-day societal administration which takes no history of people who have physical damages and therefore except them from mainstream societal activities! ( UPIAS, 1976, quoted in Oliver, 1990, p.11 ) While disablement remains a societal job to be eradicated by social alteration ( through Reconstruction of current systems and by deconstruction through revolutionizing direct action ) , impairments definitional links with medicalised discourses ( as exemplified by UPIAS s definition ) have become progressively distressing. Therefore, instead than sing a bend to impairment as a de-politicising, re-medicalising and watering down the societal theoretical account, more and more of the literature is reasoning that a focal point on damage, alongside an confederation with the societal theoretical account and disablement motion, re-socialises damage ( see Williams, 1998 ) . Such a bend is taking topographic point alongside a current tendency of post-modern and anti-foundationalist theorising about the organic structure in the societal scientific disciplines ( Butler, 1990, 1993 ; Turner, 1992 ; Stam, 1998 ) . For Hughes and Paterson ( 1997 ) , models such a phenomenology and post-structura lism provide theoretical paths for traveling through and against Cartesian differentiations between biological science and society, while alarming us to the impact of assorted institutionalized remedy and rehabilitative societal patterns. Yet, to see this turn to impairment as a recent reaction to the current failings of the societal theoretical account of disablement or the increasing influence of post-modern body speculating , ignores earlier Hagiographas within disablement surveies. In peculiar, the work of Paul Abberley, a first moving ridge author and militant ( Barnes, 1998 ) , demonstrates a clearly articulated instance for developing a societal theory of damage as a important constituent of societal theory of disablement. Abberley noted 14years ago that one of the general effects of the subjugation of handicapped people is that: By forestalling disadvantage as the effect of a naturalized impairment it legitimises the failure of public assistance installations and the distribution system in general to supply for societal demand, that is, it interprets the effects of societal maldistribution as the effects of single lack. ( 1987, reproduced in Barton A ; Oliver, 1997 p.175 ) Damage remains a medical and psychological job to be eradicated or rehabilitated. In contrast, Abberley recognises the demand, in the present theoretical and political clime, to underscore the societal beginnings of damage ( p. 176 ) . He goes on: While the political deductions of such an analysis are evident [ disputing social premises of pathology ] , the conceptual effects are besides profound, since such a impression of disablement as subjugation allows us to organize together into consistent conceptual wholeaˆÂ ¦isolated and disparate countries of societal research. In this conveying together of disparate societal theories, there is a necessity to see damage with ambivalency: What is required is basically an attitude of ambivalency towards damage damage must be identified as a bad thing, in so far as it is an unwanted effect of a deformed societal development, at the same clip as it is held to be a positive property of the person who is impaired. ( p. 165 ) For Abberley, premises about impairment- our epistemic assumptions- drama a important portion in the development of disablement theory. The Disabled People s Motion The societal theoretical account of disablement, which locates the job of restrictions experienced by people with damages in society, instead so with impaired persons ( UPIAS, 1976 ; Oliver, 1990 ) , has lead to increasing research documenting the extent of disadvantage experience by handicapped people both socially and economically. In Britain, the roots of the handicapped peoples motion can be traced back to the last century with the formation in the 1890s of the British Deaf Associate and the National League of the Blind ( Pagel, 1988 ) . However, the motion truly took clasp during the sixtiess with the battle for liberty and independency by a group of handicapped occupants in residential establishments ( Finkelstein, 1991 ) and the puting up of the Disablement Income Group ( DIG ) an administration concentrating on the poorness associated with disablement which has systematically lobbied Parliament for improved disablement benefits since it inception- by two handicapped adult females in 1965. The spread of disablement administrations in the resulting decennary and their failure to procure a comprehensive disablement income led to the formation of an umbrella administration known as the Disability Alliance ( DA ) in 1975. Consequences of the social-political theoretical account This theoretical account arose out of the experiences of the handicapped people. Was originally articulated by handicapped militants and has been embraced, debated and promoted by handicapped and disablement theoreticians. In the footings of Antonio Gramasci ( 1971 ) , the societal theoretical account represents an organic theoretical account: arising from the really people whose experiences it aims to encapsulate. It is besides a postcolonial theoretical account in that is describes the experiences and positions of the dispossessed in their ain footings and counters the imperialistic definitions imposed by those exerting more power ( Young 2003 ) . By jointing the societal theoretical account, handicapped militants and faculty members contested the premises that the jobs faced by handicapped people are direct effects of their damages. When handicapped people foremost encounter the thoughts that inform this theoretical account it is frequently experience of both disclosure and releas e ; a acknowledgment that their impoverished societal fortunes are non their fault ( Campbell A ; Oliver 1996, Crow 1996, Thomas 2002 ) . Beyond being an organic theory originating from a societal motion, the societal theoretical account of disablement has played a important function in act uponing the societal motion from which it originated ( Campbell A ; Oliver 1996 ) : the theoretical account is therefore both societal and political. Disability theoretician and militant, Liz Crow ( 1996 p207 ) observed that is has enabled a vision of ourselves free from the restraints of disablement ( subjugation ) and provided a way for our committedness to societal alteration. It has played a cardinal function in advancing handicapped peoples single self-worth, corporate individuality and political administration . It is besides necessary to analyze the deductions of the societal theoretical account for people with learning disablements. The experiences of people with larning troubles remain every bit fringy as of all time. As indicated the societal theoretical account efforts to embrace the experiences of all handicapped people. In so making it challenges the traditional separation of handicapped people from each other. To use the societal theoretical account to physical or centripetal damage, but non larning trouble, seems to propose that the analysis of society offered by feminism are applicable merely to white adult females that the disregard of the experiences of black adult females within much womens rightist authorship is because patriarchate has no explanatory power for them. ( Shakespeare, 213 ) Decision The socio-political theoretical account has had a major planetary impact. Gabel and Peters ( 2004 p585 ) note evidence for the influence of the societal theoretical account abounds the international declarations and conventions, in national statute law, in planetary enlargement of Community-Based Rehabilitation programmes, in the turning figure of Disability Studies degrees in universities, in the push for inclusive educationaˆÂ ¦ and in the research literature . Canada s Charter of Rights and Freedoms, for illustration, understands disablement as a societal position instead so a job of single shortages ( Rioux 1999 ) .

Saturday, October 19, 2019

Implications of Partisanship in the Congress Essay - 1

Implications of Partisanship in the Congress - Essay Example The role of the Congress in legislation has been affected by some elements particularly the issue of partisanship. The contemporary Congress is now polarized as inspired by such aspects as party loyalty, and policies established by individual parties. As such, there is a heated debate on the possible implications of partisanship on the overall effectiveness of the Congress. In fact, the members have noble responsibilities of passing vital bills into right on behalf of all Americans. Their tendency to engage in a tug of war before a bill is passed into law has been found to affect the timing of the consent of the president. Partisanship has led to the polarization in the Congress as attributed to unique causes, and this had a direct impact on the legislation process calling for improvised models to enhance cooperation among members. Possible Causes of Polarization in the Congress Partisanship has seen polarization in the Congress turn multiplicative in the recent past as attributed to demographic uniformity in congressional districts (Victor, 2012). In our contemporary societies, individuals tend to flock with those who share similar values and perspectives. It turns to birds of the same weather affair. This has been the case in the Senate and the House of the Representatives. This has fueled division among members based on party affiliation. A second element that has seen a rise in polarization in the Congress is the protocol and rules observed during the nomination of congressional candidates. Actually, the same rules are followed in drawing congressional districts.

Friday, October 18, 2019

Nanjing Massacre Research Paper Example | Topics and Well Written Essays - 2500 words

Nanjing Massacre - Research Paper Example Later, it was revealed that the Japanese soldiers were given clear orders: they had to kill and rape. In this context, Nanking become a symbol of extreme and unjustified military violence. The Nanjing Massacre is discussed in this paper. Particular emphasis is given on the reasons for which Nanjing Massacre has been considered as a forgotten holocaust of World War 2. Efforts are also made in order to explain why the Massacre is still in the spotlight 70 years after the crime was committed. It is proved that Nanjing Massacre has become a forgotten holocaust of the WW2 mostly because of the violence involved; if the Massacre has been kept at the first line of interest, then the chances for the improvement of relationships between China and Japan would be minimized. Still, the Massacre has remained a spotlight despite the fact that 70 years have already passed; it is clear that the events of that period are still alive in the memory of many Chinese, but also of Japanese, as revealed in the primary sources (interviews), retrieved in regard to the particular event. The Nanjing Massacre has been an event that highly influenced the political choices in China; however, today that the relationship between China and Japan has been improved, the Nanjing Massacre may not be valuable in promoting national interests and priorities, at least at the level of political relations between the two countries. People across China are still allowed to develop activities for remembering the Massacre, a fact that means that the Nanjing Massacre is still in the memory of Chinese people. Thus, the specific event should be further reviewed for understanding its characteristics as part of the WW2 and its importance in the context of the global history despite the fact that 70 years have already passed since the crime was committed. 2. Nanjing Massacre 2.1 Key points of the Massacre If the events related to the fall of Nanjing are carefully reviewed, it is made clear that the brutality deve loped in Nanjing has been unjustified. In fact, the city has been fallen after the end of a continuous bombing, which lasted for about 6 months, from the 15th of August up to the 13th of December 1937 (Li 2003, p.119). It has been estimated that about 160 tons of bombs have been used during the 110 missions against Nanjing (Li 2003, p.119). All these months, people in Nanjing, especially foreigners, have tried to develop shelters to be better protected (Li 2003, p.119). After the fall of the city, in the 13th of December 1937 one of the worst periods for China began. For about 6 to 8 weeks, up to March 1938 Japanese soldiers developed mass killings and rapes in Nanjing, an event known also as the rape of Nanjing (Li 2003, p.119). The entrance of Japanese troops in the city in the 13th of December of 1937 is considered as the starting point of the Massacre (Figure 1, below). The number of victims, mostly women and children, during the Massacre of Nanjing has been estimated to 250,000 -300,000 (BBC News 2005). Minnie Vautrin, an American who was in Nanjing when the Massacre began, noted that ‘there probably is no crime that has not been committed in this city today’ (BBC News 2005). Foreigners in Nanjing have been forced to leave the city, during the first days of the Massacre. This fact is highlighted in a report of Tillman Durdin, a journalist of New York Times, who were in Nanjing when t

Cultural Diversity in the Management Hierachy Research Proposal

Cultural Diversity in the Management Hierachy - Research Proposal Example Diversity covers various aspects of the employees ranging from gender, physical ability, social background, age, educational qualifications, race, color, ethnic origin etc. Cultural diversity basically deals with diversity in the cultural backgrounds of employees, which comes from factors like race, color and ethnic origin. In contrast to the confined definition of cultural diversity, the topic of this[not sure why you say your approach is in contrast Do you mean that you're being inclusive of both approaches], cultural diversity in this proposal encompasses all the factors that come in the preview of generally accepted aspects of equal opportunity. Diversity of late is not just a matter of following rules or of being a 'good thing' to do, but an inevitable requirement in the light of recent global developments. Many organizations are now operating in a more global environment either because of their direct involvement or indirect involvement through their value chain. The end customers are also becoming more and more concerned about the treatment afforded to the employees of an organization before purchasing their product or availing their service. All the pointers clarify the urgency with which diversity management programs and equal opportunity policies have to be rolled out at an organizational as well as at a national and indeed international level. Now that the requirement to recognize and value cultural di... The cues may be taken from existing research on diversity management and specifically in the middle - eastern countries. Enforcing diversity related policies in the middle - east throw up a different set of challenges from the rest of the world. The context of enforcement should comply with the strong religious sentiments that exist in these countries. For example, rights of women pertaining to driving, family law etc are different in different middle - eastern countries. They have varying degrees of restrictions or freedom regarding several social aspects which in turn affect the work life balance. UAE in particular has been more exposed to the global world through active participation in trade. Hence the strategies may be slightly different in UAE, though the middle - eastern influence cannot be ignored. There is some form of diversity management mainly initiated by the Multi-National Corporations (MNC's) as a part of their company policies. In the absence of set legislative rules for enforcement, existing practices by the MNC's from the Middle East and outside may be used as a benchmark to analyze t he current situation of UAE. In general there have been several developments in diversity management in organizations. The status of diversity management policies and programmes has moved from a purely HR responsibility to the strategic level. The well being of an organisation in terms of effectiveness and performance could be said to be largely dependent on the changing demographics (Duffy, 1994) [if you believe this to be the case, you need to support your argument with evidence, or at the very least to say somethings like 'as I will go on to demonstrate']. This can only be achieved, with the representation of all the demographics

Security Policy Analysis Essay Example | Topics and Well Written Essays - 250 words

Security Policy Analysis - Essay Example Greater emphasis is also placed on personal accountability and responsibility of cyber security. Section 111(a) stipulates the supremacy of the Act in accordance with other laws relating to cyber security. According to my personal view, this section mimics the supremacy of the Constitution. It distinctly states how the Act, shall supersede very provision, statute, regulation, state rule, that expressly commands comparable cybersecurity practices developed for the purpose of protecting critical infrastructure. The policy is important in dealing with information security program management. It stipulates the structure for various agencies on now to prevent, assess and even manage cyber security risks. Additionally, it provides a network for federal agencies and other stakeholders to communicate and discuss new developments in cyber terrorism. According to Borene, every federal agency has a distinct role in policy enforcement. On a general basis, each party is tasked with being at the forefront of responsible global cyber engagement, enhancing information sharing and facilitating efforts to increase awareness, training and education to the general population (Borene, 2011). The lack of clear policy enforcements leads to cyber terrorist attacks on government agencies, loss of information and privacy and loss of billions of dollars on an annual basis. One such incident is the cyber-attack on Blue Shield and Anthem Blue Cross in February 2015. Even though no medical information was compromised, the incident breached notification laws at the state level. When technology moves faster than policy, there are many cases of financial loss and exploitation, such as the period before the establishment of the open data policy, an open source project by the U.S

Thursday, October 17, 2019

Business Law (International) Essay Example | Topics and Well Written Essays - 1500 words

Business Law (International) - Essay Example Some of the US based companies and exporting manufacturers are not aware of piracy, counterfeiting and theft of their patent or trademark in other countries. It was reported that the brand name, products, packaging style and business plans of some US companies have been copied by some businesses abroad. For this reason, it is recommended that businesses must seek trademark and patent protection in their concerned foreign market ahead of exporting to such markets. The protection of intellectual properties varies widely around the world. When intellectual property becomes more important in international trade, the differences between different protection acts become a source of problem in international economic relation. In 1994, the agreement on Trade Related Aspects of Intellectual Property Rights (TRIPS) was negotiated at the end of Uruguay Round of the GATT administered by World Trade Organization. TRIPS put forward requirements that countries laws are expected to meet rights for protecting copyrights, geographical indications, integrated layout- designs, patents, and industrial designs. The Anti- counterfeiting Trade Agreement (ACTA) is currently negotiated by the governments of United State, Switzerland, Australia, New Zealand, South Korea, Japan, Canada and Mexico. ACTA imposed strong enforcement of intellectual property pertaining to internet activity and information based trading. The WTO’s TRIPS agreement attempts to reduce the gaps in protecting intellectual property around the world and to bring them under systematic international rules. Philippe Sands says that the 1994 WTO TRIPS agreement establishes a regime requiring WTO members to make patents available for any inventions, whether product or processes, in all fields of technology without discrimination, subject to the normal tests of novelty, inventiveness and applicability. It also requires that

EBay Website Profile Essay Example | Topics and Well Written Essays - 1000 words

EBay Website Profile - Essay Example Many web experts have classified eBay as original Web 2.0 Company. The company uses eBay wiki and eBay blog as tools for knowledge sharing among online community. eBay blog helps user to promote their business and product offering to other users. Application of web 2.0 not only helped users to promote offering but enhance two way communications between vendors also. eBay wiki has revolutionized the concept knowledge sharing by creating online platform to transfer product knowledge between users (Campanelli, 2008, p. 165). Web 2.0 can be used as an alternative to integrated marketing communication to promote product by means of using digital marketing. The process decreases cost of promotion manifold in comparison to traditional advertising technique (Hof, 2006).Company’s eBay listing & store design helps them to increase visitor retention. It helps the seller to showcase the product portfolio in best possible color combination to buyers while flexible update function empower t he vendor to change content in accordance with the demand of market.eBay always try to improvise in website design to compete with their business competitor Amazon. Use of catalog in the website helps customers to navigate all the products under one product category and this process not only augment shopping experience but saves lot of time also. eBay has enhanced shopping experience in four dimensional ways. 1- Condition- eBay sellers offer items in range of various conditions increasing flexibility in offering.

Wednesday, October 16, 2019

Security Policy Analysis Essay Example | Topics and Well Written Essays - 250 words

Security Policy Analysis - Essay Example Greater emphasis is also placed on personal accountability and responsibility of cyber security. Section 111(a) stipulates the supremacy of the Act in accordance with other laws relating to cyber security. According to my personal view, this section mimics the supremacy of the Constitution. It distinctly states how the Act, shall supersede very provision, statute, regulation, state rule, that expressly commands comparable cybersecurity practices developed for the purpose of protecting critical infrastructure. The policy is important in dealing with information security program management. It stipulates the structure for various agencies on now to prevent, assess and even manage cyber security risks. Additionally, it provides a network for federal agencies and other stakeholders to communicate and discuss new developments in cyber terrorism. According to Borene, every federal agency has a distinct role in policy enforcement. On a general basis, each party is tasked with being at the forefront of responsible global cyber engagement, enhancing information sharing and facilitating efforts to increase awareness, training and education to the general population (Borene, 2011). The lack of clear policy enforcements leads to cyber terrorist attacks on government agencies, loss of information and privacy and loss of billions of dollars on an annual basis. One such incident is the cyber-attack on Blue Shield and Anthem Blue Cross in February 2015. Even though no medical information was compromised, the incident breached notification laws at the state level. When technology moves faster than policy, there are many cases of financial loss and exploitation, such as the period before the establishment of the open data policy, an open source project by the U.S

Tuesday, October 15, 2019

EBay Website Profile Essay Example | Topics and Well Written Essays - 1000 words

EBay Website Profile - Essay Example Many web experts have classified eBay as original Web 2.0 Company. The company uses eBay wiki and eBay blog as tools for knowledge sharing among online community. eBay blog helps user to promote their business and product offering to other users. Application of web 2.0 not only helped users to promote offering but enhance two way communications between vendors also. eBay wiki has revolutionized the concept knowledge sharing by creating online platform to transfer product knowledge between users (Campanelli, 2008, p. 165). Web 2.0 can be used as an alternative to integrated marketing communication to promote product by means of using digital marketing. The process decreases cost of promotion manifold in comparison to traditional advertising technique (Hof, 2006).Company’s eBay listing & store design helps them to increase visitor retention. It helps the seller to showcase the product portfolio in best possible color combination to buyers while flexible update function empower t he vendor to change content in accordance with the demand of market.eBay always try to improvise in website design to compete with their business competitor Amazon. Use of catalog in the website helps customers to navigate all the products under one product category and this process not only augment shopping experience but saves lot of time also. eBay has enhanced shopping experience in four dimensional ways. 1- Condition- eBay sellers offer items in range of various conditions increasing flexibility in offering.

A Study in Scarlet Essay Example for Free

A Study in Scarlet Essay The great author Sir Arthur Ignatius Conan Doyle was born on the 22nd May 1859 in Edinburgh Scotland. He had graduated with a degree in medicine at Edinburgh University in 1881. His first short story was published in1879 however the first mystery featuring Sherlock Holmes and Dr. John Watson, A Study in Scarlet, was not until 1887. He had married twice and fathered five children. Conan Doyle had died in 1930. People are drawn to the Sherlock Holmes mystery as Conan Doyle is able to make the reader feel part of the story. The suspense and tension in his stories raise questions in the readers mind. This piece of course work will trace why Conan Doyle writings are popular in the 21st century. One key feature that helped the popularity of Sherlock Holmes stories is Conan Doyles use of language, style of writing and its simplicity. In the man with the twisted lip, Mr. Boone was a horrific looking beggar described as a broad wheel from an old scar ran right across it from an old scar ran right across it from eye to chin, and by contraction had turned up one side of the upper lip, so that three teeth were exposed in a perpetual snarl. A shock of very bright red hair grew low over his eyes and forehead. Conan Doyles use of descriptive language enables the reader to put together a picture of this revolting beggar. In the Red Headed League John Clay, also known as Vincent Spaulding, the criminal had asked to be called with respect Have the goodness also, when you address me always say sir and please. The use of language to introduce humour can be picked up from such comments. Also the idea that a red headed man had died and he wanted to give his inheritance to any other red headed man. Conan Doyle starts to put questions in the readers mind Why would someone want to do this? This seems virtually impossible and farfetched; such reference continually adds flavour to his writing. In the speckled band Dr. Roylott tried to threaten Sherlock Holmes and called him names I know you, you scoundrel! I have heard of you before. You are Holmes, the meddler Holmes, the busybody Holmes the Scotland Yard Jack-In-Office. Through dialogue we are able to deduce the character of Dr. Grimsby Roylott and his aggressive attitude towards people. The reader begins to understand why Helen stoner was afraid of her step father and had come to Holmes without his permission. Sherlock Holmes was able to speak fluent Latin omne ignotum pro magnifico; in the Victorian era you had to be well educated to be able to articulate a word of Latin. Conan Doyle has used this technique to show the reader Holmes accomplishments and status in society. Language plays a very important role in all Conan Doyles stories which in many ways have added to the never ending success. It has helped to transform the stories the stories into pleasant readings for a wide range of audiences. In all the stories a similar pattern seems to emerge which helps create the perfect recipe for a mystery. The stories unfold in the most unusual way leaving the reader intrigued up to the very end. The themes in Conan Doyles stories are directed towards acts of injustice, crimes, the clever villains and innocent victims; all spiced with greed. In the speckled band the victim was Helen stoner, who had come to seek help relating to the sudden death of her sister Julia. The villain to the readers surprise was Dr. Grimsby Roylott. Mrs. Stoner, mother of Helen and Julia Stoner, had received not less than 1000 pounds a year she gave this money to Dr. Roylott. a certain annual sum should be allowed to each daughter after marriage; due to Dr. Roylotts selfish needs he was responsible for the death of Julia and attempt to murder Helen. In the red headed league Mr. Jabez Wilson had consulted Sherlock Holmes to look into an advert that seemed peculiar. Mr. Jabez Wilson had taken a job because it offered double a normal wage, 4 pound a week. To the readers it seemed a shock that Vincent Spaulding, who was the loyal employee, had been the criminal John Clay. John clay had planned to steal the French napoleons from the bank. He was a con man hell crack a crib in Scotland one week, and be raising money to build an orphanage in Cornwall the next. In the man with the twisted lip Mrs. Neville StClair, the victim, had approached Holmes because she needed help finding her husband. Boone, the beggar, was able to earn 700 pounds a year where as Mr. Neville StClair, a journalist, earned two pounds a week. Mr. Neville StClair was the victim of his own deeds as he was not able to meet the expectation of society within the Victorian era. In the 21st century many people are not able to find time to read long novels. Conan Doyles Sherlock Holmes stories are short and simple to read, anyone can find time for them. You can pick up a story and read it on your way to work or school. The stories start in a similar way; we are first introduced to the innocent victims who are always reassured by Sherlock Holmes with his sympatric and caring nature and in most cases in the company of Dr. Watson. There is always a mention of the residence of Sherlock Holmes. This is to create a make believe situation in the readers mind. The setting is always dark and gloomy when the client comes to seek for advice; this gives a cosy and calm atmosphere. Conan Doyle was taught how to make deductions about patients by observing them closely; this skill was transferred to his stories and injected into his main character Sherlock Holmes. Holmes carries out his investigation using simple means. His use of knowledge allows him to give an insight in the red headed league. Vincent Spaulding had worked for half wage; he was always diving down into the cellar like a rabbit and he was the one who showed Mr. Jabez Wilson the advert. When Sherlock Holmes went to ask for directions, under pretence just to come in contact with the so called assistant Vincent Spaulding, he was reassuring himself that what he was thinking was actually possible. Holmes was able to conclude on the note that Vincent Spaulding and John Clay was the same person. Sherlock Holmes has a special essence which draws the reader towards him. Sherlock Holmes is known as one of the worlds greatest detectives. His mission was always to help gain justice for his clients. He is an individual who is never after money but more interested in solving the crime my profession is its own reward. He was a guardian angel to all and everyone had total trust in his skill. There are two sides of Holmes, one which is the never quitting crime solver and other which just likes to relax. He also has many weaknesses cocaine injections and all the little weaknesses. In these three stories Conan Doyle has used Watson to narrate the story. We are able to learn what is in the Dr. Watsons mind towards Holmes. John Watson is a very close friend and assistant of Holmes. He has full trust in friends skills and has the same thirst for mysteries as Holmes; Your cases have indeed been of the greatest interest to me The mystery in most cases concludes on the note that Sherlock Holmes has solved the case. In the speckled band Helen stoner was able to live without fear of her stepfather. This pattern of a constant happy ending allows the reader to look forward to the end and they know that they can always rely on Holmes. In the 21st century Conan Doyle still rubs shoulder with many other famous detective stories such as murder she wrote and C. S. I. None of them however can beat Sherlock Holmes!!! Conan Doyle has out done himself. The Sherlock Holmes stories are suitable for all age groups. Worldwide he is an accomplished writer as the stories have been translated into over 60 different languages. Even today the famous residence 221b baker street is still known as the fictional home of Sherlock Holmes and Dr. Watson. Now it is the site of the Sherlock Holmes museum. Such tributes have helped keep the stories alive to date. Neelam Hirani Page 1 Show preview only The above preview is unformatted text This student written piece of work is one of many that can be found in our GCSE Miscellaneous section.

Monday, October 14, 2019

Effects of Air Pollution and Proposed Solutions

Effects of Air Pollution and Proposed Solutions With the rapid development and urbanization in Hong Kong, the air quality deteriorated due to a great amount of air pollutants released into the atmosphere, and contributing to the greenhouse effect as well as worsening global warming. This essay is divided into two parts, the first part is briefly talk about the negative effects caused by serious air pollution in terms of sustainable development, and the second part is a detailed discussion of the suggested solutions. The effects caused by air pollution can be discussed in terms of sustainable development with three aspects which are inter-related, inter-dependence and equally balanced, and these aspects are environmental, social and economic aspects. In terms of the environmental aspect, the worsening air quality will fasten the greenhouse effect with a rise in temperature and contributing to global warming. In terms of the social aspect, â€Å"the World Health Organization estimates that every year, 2.4 million people die from causes associated with air pollution† (Sierra-Vargas Teran,2012, p.1031). It shows how air pollution causing health impacts on human. The worsening air quality increases the risk of having â€Å"respiratory diseases, cardiovascular diseases, or cancers† (Deguen et al. 2012), and according to Sierra-Vargas and Teran (2012), people who are active outdoors, people with diseases and elderly are at higher health risk. These pollution-related illnesses are affecting the quality of life because these illnesses not only shortened the life expectancy and caused the psychological stress, but also increased the expenditure on health care. Therefore, serious air pollution causing pollution-related health impacts in the social aspect and increasing the expenditure on health care in the economic aspect. Apart from the social aspect, the poor air quality with low visibility and high concentration of greenhouse gases in the atmosphere also produce negative impacts in the economic aspect. Deteriorating air quality affects local tourism industry and the foreign investment. According to Law and Cheung (2007), the tourism industry in Hong Kong has recently threatened by the deteriorating air quality, regarding to the huge economic contribution from the tourism industry, poor air quality may reduce the willingness of tourists to travel in Hong Kong. Besides, some foreign investments are retreated and some professionals refuse to work in Hong Kong because of the poor working environment with worsening air quality. All these economic impacts will weaken the competitiveness of Hong Kong and resulting in unexpected economic losses which in turns suffered by the whole society. From the examples mentioned above on the impacts in three specific categories, we can notice that air pollution caused adverse impacts at both individual and social levels. Therefore, â€Å"[i]n order to protect the air quality from deteriorating further, more efforts should be made by the government, as well as by society to make Hong Kong a clean and safe place to travel and to live† (Law and Cheung, 2007, p.398). Both the HKSAR government and the public should be responsible for the improvement works on air pollution, such as a strong pertinence policy together with active public participation. The most important and effective long-term air improvement policy should be the adoption of sustainable development approach with an equal balance between the environmental conservation and the economic development. Hong Kong is a well-known financial-based metropolis around the world. Therefore, the government mainly puts emphasis on the economic development, but neglected the importance of environmental conservation, in other words, the government weighted the economic development over the environmental conservation, and thus resulting in environmental destructions during the process of economic development in Hong Kong. However, it is hard to make equal balance between the economic development and the environmental conservation, and the co-existence of both aspects may be in a low possibility, because one aspect has to make scarification when the other one exists. For examples, lands for economic development propose generate a great amount of dust particulates during construction and resulting in poor air quality with low visibility. Simultaneously, the air quality improvement policies for environmental conservation purpose spend a huge amount of government expenditure. But, regarding to the serious problem of air pollution in Hong Kong and the related distinct negative outcomes caused, environmental conservation should be given the first priority and economic development should come the second. The second possible solution is urban greening. Vegetation plays an important role in air purification because plants can absorb carbon dioxide and release oxygen through photosynthesis. In order to improve the air quality, the government should carry out urban greening to increase the green areas through proper city planning in the urban areas, especially in the inner cities and heavy traffic areas, such as MongKok, Wan chai, Causeway Bay and Tsim Sha Tsui. However, limited spaces with densely distributed pattern of skyscrapers in the urban areas create hurdles on urban greening and the use of the valuable lands for growing vegetation in urban areas may trigger voices of disapproval. But, there are two possible ways of urban greening, the first solution, according to Sierra-Vargas Teran (2012), is making good use of rooftops for growing plants, the government can give economic incentives to the property owners for the encouragement of planting vegetation on rooftops. The second one is re-planning the existing parks with an enlarged percentage on the area of vegetation. These two solutions can make the best use of the available space resources that do not require extra space on the ground floor. Sources of pollutants in Hong Kong are mainly from power plants and vehicles, so strong pertinence policies on these two sources are needed. The first solution, according to Sierra-Vargas and Teran (2012), promoting the use of the landfill gases as one of the energy sources is a possible way to improve air quality with a fall in the amount of pollutants. Mexico is one of the successful places that converts â€Å"landfill gas into electricity and powers the light rail transit system and city street lighting at night† (Sierra-Vargas and Teran, 2012, p.1036). The Hong Kong government should study from the cases of Mexico and conduct a suitable plan based on the ideas observed. The alteration of landfill gases into useable energy can reduce the greenhouse gases being released into the air. Another solution is promoting the extensive use of renewable power instead of non-renewable power so as to change to a cleaner way for power generation, such solar power and wind power. However, there are two difficulties in using landfill gases and adoption of renewable power resources. The first hurdle is a great amount of government expenditure is required for the construction or installation of the specific power plants, like the regular maintenance of the power plants. Besides, the opposition from environmental protection groups may also rise because this power generation method is not classified as renewable power. If the opposition raise, it is better to take the second solution instead of both solutions in order to avoid social conflicts based on the problem mentioned. In terms of the vehicles, the government should work together with two bus companies to carry out the discussion about the expansion of the service area and increase the service provided to the public. The HKSAR government can use economic incentives or make investments to increase the operating capital of two bus companies. With better bus services provided, the willingness of people to take public transportation to school or to work will be increased and thus less energy is used and less pollutants are emitted into the atmosphere. Apart from the policies mentioned above, the active public participation on the reduction of air pollutants is very important and it should be made by every citizen, such as the using of public transportation instead of private cars and reduce the use of energy means less air pollutants are released by burning non-renewable power resources, such as coal. Also, citizen should actively participate in the consultation of the government policies launched for improving the air quality. Air pollution is a serious problem which created many negative impacts, and an effective comprehensive solution with a lengthy period for thorough and careful planning is needed for improving air quality. It is beneficial when better air quality can be found in Hong Kong. Although the problems of air pollution cannot be totally eliminated, the more efforts we pay resulting in a higher chance for us to make changes and improve the air quality. References Sierra-Vargas, M. P. Teran, L. M. (2012). Air pollution: Impact and prevention. Respirology, 17 1031-1038. Law, R. Cheung, C. (2007). Air quality in Hong Kong: A study of the perception of international visitors. Journal of Sustainable Tourism, 15 (4), 390-401. Deguen, S., Sà ©gala, C., Pà ©drono, G. Mesbah, M. (2012). A new air quality perception scale for global assessment of air pollution health effects. Risk Analysis, 32 (12), 2043-2054.