Wednesday, July 31, 2019

Bubonic plague Essay

Bubonic plague has emerged and spread rapidly across towns, cities, and rural areas in several worldwide epidemics through the whole of history. Probably the earliest mention of bubonic plague is the Old Testament record in the First Book of Samuel giving an account of swellings and rodents that made attack on the Philistines (Ackroyd 55-57). The bubonic plague later hit the falling apart Roman Empire in the period of the sixth and seventh centuries. And from 1348 to 1350, the plague known as the Black Death brought the suffering and death across Europe and China, killing perhaps one-quarter or one-third of the population. This terrible epidemic outbreak of the deadly and highly infectious plague in China and Europe, that became possibly the worst catastrophe in all written history, still remains one of the most important and controversial tragic events through the history. Many professional historians of medicine analyzed the origin and spread of the Black Death, trying to explain or understand the origin and flow of epidemic disease during that period. This paper will discuss some of the perspectives and historical accounts by giving a glimpse of the evidence that various historians have considered. The Cause of the Black Death Most historians acknowledge that Europe and China experienced population pressure and famine in the 1300’s. Supporters of the demographic model usually link famine with plague, sometimes directly, sometimes vaguely. Famine and population pressure, state North and Thomas (1970), â€Å"set the stage for disease† and often were associated with the origin of the plague (1-17). Supporting such point of view, Le Roy Ladurie (1972) described the Black Death as a â€Å"holocaust of the undernourished† (3-34). Historians indicate that the Black Death had been preceded by the periods of famine, in particular the great famine of 1315-17 that was experienced by European population in the north, and it is also recorded that considerable population increase in general had already been reported before the Black Death. Consequently, analysis of supporters of the demographic model would suggest that the massive expansion of the twelfth and thirteenth centuries generated a situation where population growth went faster than food resources, with the outcome that lack of means by which population could maintain life became more serious and facilitated the origin of the epidemic. Other historians disagree. Thus, for example, Jean Meuvret (1993) argued that there was no simple or direct cause-effect relationship between famine/population pressure and Black Death. Jean Meuvret’s position was confirmed by Jean-Noel Biraben in a great study of the plague (Grmek and Fantini 319). Biraben demonstrated that although bubonic plague often originated after famine, there were many examples when famine came after plague and other cases in which plague was not accompanied by famine and vice versa. The historian came to conclusion that in the case of the Black Death there was no cause other than the plague itself that could have brought about epidemic. There may be found some relationship between famine and disease, he indicates, but it was not because famine became the cause of the plague; rather, it was because plague, after striking, aggravated famine as a result of the considerable stagnation of agriculture and economic disorder. Moreover, in all the recent medical literature that examines plague taking into account historical cycles, there is found no direct connection between lack of food and plague origin. These considerations generate doubt about the position of the demographic model. The Spread of the Black Death This section will begin by asking where Black Death came from, and why it emerged when it did. There is general agreement among contemporary observers and today’s historians that the Black Death of the fourteenth century originated in central Asia. Although it is hard to tell for sure, but there is also a growing opinion among historians that the Black Death came and expanded across Central Asia from China in the period of the 1340s and in 1347 it infected medieval Genoese traders who had established roots between Europe and Central Asia, it almost instantly emerged in Constantinople and was then right away communicated by the trade routes to the widespread areas of Mediterranean and western Europe. Historians have found out that already by the end of 1348 most population of southern and western Europe had been infected with this rapidly developing disease. It soon appeared in England and two years later it already hit the rest of the British land, Germany and Scandinavia. It is estimated that between a third and a half of all Europeans were killed by the Black Death of 1348-53 (Loudon 66). The dreadful disease spread every day from the sick to the noninfected. It was even not necessary to be near the infected: even being in contact with their clothes or anything they had touched was enough to become infected. Most of the poor population was not allowed to leave the houses and became sick every day by thousands. And for insufficiency of appropriate medical service and other things, almost all unavoidably were destined to terrible death. The epidemic killed whole communities. John Saltmarsh presents account of the genocide, economic stagnation and depression brought by plague. He refers to a French historian who described in detail deserted villages and farms. Saltmarsh cites a Franciscan Friar, John Clyn: Lest things worthy of remembrance should perish with time, and fall away from the memory of those who come after us, I, seeing these many evils, and the whole world lying, as it were, in the wicked one – myself awaiting death among the dead – inter mortuos mortem expectans – as I have truly heard and examined, so I have reduced these things to writing; and lest the writing should perish with the writer, and the work fail together with the workman, I leave parchment for continuing the work, if haply any man survive, and any of the race of Adam escape this pestilence and continue the work which I have begun (Creighton 115). This situation was not confined only to Europe. Beginning from the 1320s, the Black Death had carved its way along the roads of Central Asia. In particular China was hard affected. Some sources indicate that by the 1390s the population of China may have dropped to approximately 90 million from 125 million (Gottfried 35). Interpretations of the Black Death Medical professionals are now of the same opinion that the Black Death was the bubonic plague, arriving from central Asia, and carried by fleas and rats, which were widespread in medieval Europe. Medieval doctors, however, naturally possessed no knowledge to determine by diagnosis anything so dependent upon microscopic examination of phenomena. As a result, the plague was often attributed to God’s rage against the special depravity and corruption of that period. Thus, for example, in Piers Ploughman, Reason â€Å"proved that these pestilences were for pure sin, and the south-west wind on Saturday at even was for pure pride, and no point else† (Sumption 15). Contemporary astrological specialists noticed the deadly union of Saturn, Jupiter, and Mars. In addition, Jews were oppressed and destroyed as there was information that they had poisoned wells. Medical representatives had two opinions: the first group claimed that the cause was miasma, pollution of the air, and the second group considered that direct contact was the cause and recommended complete isolation. The quarantines were absolutely useless, taking into consideration the fact that the disease was transmitted by rats and fleas, but these nuances were not known until additional studies were done after the next great plague emerged in the 1890s. Conclusion Human devastation was tremendous in the period of the Black Death, and the demographic, economic, political, social, and psychological impact of the plague was greatly felt for many decades. This paper explored various points of view of historians studying epidemics of the past and their explanations of how and why the great epidemic emerged, spread rapidly and caused so high mortality. It also looked at various interpretations of this disease by contemporary observers.

Tuesday, July 30, 2019

Bite Me: A Love Story Chapter 12

12.Alchemy The Chinese herb shop smelled like licorice and dried monkey butt. The Animals were piled into the narrow aisle between counters, trying to hide behind Troy Lee's grandmother and failing spectacularly. Behind a glass case, the shopkeeper looked older and more spooky than Grandma Lee, which none of them thought possible until now. It was like he'd been carved from an apple, then left on the windowsill to dry for a hundred years. The walls of the shop were lined, floor to ceiling, with little drawers of dark wood, each with a small bronze frame and a white card with Chinese characters written on it. The old man stood behind glass cases that held all manner of desiccated plant and animal bits, from whole sea horses and tiny birds, to shark parts and scorpion tails, to odd spiky bits that looked like they'd been flown in from another planet. â€Å"What's that?† Drew asked Troy Lee from under a veil of stringy blond hair. He pointed to a wrinkled black thing. Troy Lee said something in Cantonese to Grandma, who said something to the shopkeeper, who barked something back. â€Å"Bear penis,† said Troy Lee. â€Å"Should we score some?† asked Drew. â€Å"For what?† asked Troy. â€Å"An emergency,† said Drew. â€Å"Sure, okay,† said Troy Lee, then he said something to Grandma in Cantonese. There was an exchange with the shopkeeper, after which Troy said, â€Å"How much do you want? It's fifty bucks a gram.† â€Å"Whoa,† said Barry. â€Å"That's expensive.† â€Å"He says it's the best dried bear penis you can buy,† said Troy Lee. â€Å"Okay,† said Drew. â€Å"A gram.† Troy passed the order through Grandma to the shopkeeper. He snipped a tip off a bear penis, weighed it, and placed it on the pile of herbs in the sheet of paper he had laid on the counter for Drew. Grandma's paper was much larger, and the shopkeeper had been tottering around the shop for half an hour gathering the ingredients. At one point when the old man was up on the top of the ladder at the far back corner of the shop, the Animals had leapt the counter and laced their arms together as a human rescue net, which served only to scare the bejeezus out of the shopkeeper and set Grandma off in a tirade of Cantonese scolding, to which they all responded like dogs, paying her rapt attention and tilting their heads as if they actually had some idea of what the fuck she was talking about. Lately the Animals had been all about saving lives. Most of the time, guys their age would be fairly convinced of their immortality, or at least oblivious of their mortality, but since being murdered by a blue hooker turned vampire, then resurrected as vampires, then restored to living by Foo Dog's genetic alchemy, they had been feeling what they could only describe as Jesusy. â€Å"I'm feeling extra Jesusy,† said Jeff, the tall jock. â€Å"I always feel extra Jesusy,† said Clint, who always did. â€Å"Yeah, extra Jesusy, bitches! Let's go save some mother-fuckers!† Lash had shouted, which had sort of embarrassed everyone a little, since they had been sitting around a table in Starbucks at the time, discussing the attack of the cat cloud and the information they'd exchanged with the two homicide cops. â€Å"It's up to us,† Lash added softly, sort of slinking into his hoody and putting on his shades. Now they watched as the old shopkeeper folded up Grandma Lee's bundle of ingredients and tucked in the paper so it was as tight as a toothpick spliff, then flipped the package over and wrote some Chinese characters on the back with a carpenter's pencil. â€Å"What's it say?† Barry asked Troy Lee. â€Å"It says, ‘vampire cat remedy.'† â€Å"No shit?† â€Å"Yeah. Then there's a bunch of warnings about side effects.† An hour later they were sitting around the Lee kitchen table, waiting for the big twenty-quart soup pot on the stove to come to a boil. Grandma Lee rose from her chair and tottered over to the stove with her package of herbs. Troy Lee joined her, helped her unwrap the package, and held the paper away from the burner as she scooped handfuls of herbs and animal parts into the boiling water. Foul and magical fumes bubbled out of the kettle, like the flatulence of dragons on a demon-only diet. â€Å"This really going to work, Grandma?† Troy Lee asked in Cantonese. â€Å"Oh yeah. We used it when I was a girl in China and some vampire cats invaded the city.† â€Å"And they still have the recipe in a shop down on Stockton Street?† â€Å"It's a good recipe.† She scooped the last of the package into the water. â€Å"How do you use this stuff, anyway?† â€Å"With firecrackers.† â€Å"It's wet, how are you going to use firecrackers?† â€Å"I don't know how, I just like firecrackers.† The Animals covered their noses and started filing out of the kitchen. â€Å"That smells like fermented skunk ass,† said Jeff. Grandma said something in Cantonese, followed by â€Å"My bitches,† pronounced in frighteningly accentless English. â€Å"What? What'd she say?† asked Jeff. â€Å"She says, ‘That's how you know it's a good recipe, gents,'† said Troy Lee. THE EMPEROR A dark basement. A thousand sleeping vampire cats. One formerly human vampire. One huge, shaved vampire-cat hybrid. Five matches left. No way out. A half hour, maybe less, until sundown. The Emperor was not a man to use profanity, but after he assessed his situation and burned his fingers with his fourth to last match, he said, â€Å"Well, this blows.† There was no helping it, sometimes a man, even a brave and noble man, must speak the harsh truth, and his situation, did, indeed, blow. He'd tried everything he could think of to escape the basement, from building a stairway to the window with empty fifty-five-gallon drums, to screaming for help like a man on fire, but even on a platform of oil drums he couldn't find the leverage or the strength to move the Dumpster away from the window. He could hear Bummer and Lazarus whimpering outside in the alley. All the other windows had been bricked up, all the steel fire doors were bolted, and, of course, the elevators and cables were long gone from the shafts (which he'd discovered after an hour prying the doors open with a metal support bar he'd taken off one of the shelves where Tommy Flood lay curled up with the Chet-thing). A dusty spray of twilight filtered down the elevator shaft from somewhere above, and it was by this that the Emperor ascertained that there was no way to climb the shaft, and that now it was dangerously close to sundown, as the light had turned a dim orange color. He would fight, oh yes, he would not go down without a battle, but even the magnificently agile little swordsman had gone down to the attacking pounce of cats. What chance did he stand in the dark with only a metal bar? He'd already checked the empty oil drums for accelerants, hoping he might burn his enemies before they awakened, but he'd had no luck. The barrels had had dry goods or something solid in them, and even so, he wasn't sure how he'd avoid being suffocated by burning cat fumes. Then, in thinking about how he might escape the flames, it occurred to him how he might escape. He made his way back to the storeroom where Chet and Tommy lay, and lit one of his precious matches to get his bearings. Yes, there was still a bolt on the door, and in addition there were enough barrels and shelves to construct a barricade beyond that. The match went out and he felt his way across the room until he touched Tommy's back-cold flesh. He took his ex-friend under the armpits and dragged him off the shelf and across the room, bumping through the door-way as he went. He shoved the body to the side and cringed with the crunch it made, falling onto the immobile bodies of dead cats. Back through dark, feeling around until he found Chet's fur. He felt for what he thought were the front paws, then backed across the room again, the huge shaved vampire cat in tow. Chet was lighter than Tommy had been, but not by much, and the Emperor was winded. He couldn't afford to sit. The ray of light in the elevator shaft had gone deep red. He heard Bummer let out a ruff beyond the window. â€Å"Run, men, away! Go away from this place. I'll find you in the morning. Go!† He never raised his voice to the men, even when they were in peril, and he heard Lazarus whimper at his command, but then the sound of Bummer growling while being dragged away by the scruff of his neck. He would get the message after a block or so. The men were safe. He pulled the metal door shut, then yanked on it until he heard a click. Then spent the second to the last of his matches looking at the simple bolt, and taking a last look around the room, trying to memorize the layout of the barrels and shelves that he would have to move in the dark. As the match burned out, he heard stirring in the room outside. There was a rack of metal shelves to the right of the door. He grabbed them and overturned them in the doorway. Yes, the door opened out, but what could it hurt. The more he put between himself and the vampire cats, the better. He scooped up armloads of the clothing at his feet and tossed them over the shelves, then backed across the room, throwing everything he touched in front of him, as if he were tunneling out the other side. Finally, he crawled up in the heavy shelf where Tommy and Chet had been and crouched, facing the door. He felt for the handle of the kitchen knife that he'd tucked in his belt at the small of his back, drew it, and held it before him. There were distinct cat noises-yowls, hisses, and meows, coming from the room outside. They were awake, up, and moving. There was a tentative scratch at the door, then a whirr of scratching, like someone had turned a power sander on outside, then it stopped as quickly as it had started and all he could hear was his own breathing. No. There was movement. The slight rustle of cloth, then a low, trilling purr. And it was coming from inside the door, he was sure of it. The Emperor clamped the knife in his teeth and lit his last match. The room was as he thought it would be, a pile of debris and barrels, but swirling out from under shelving in front of the door was a layer of mist, moving across the floor toward him, undulating in tiny waves that approximated the sound of a purr.

Monday, July 29, 2019

The Role of Utmost Good Faith in Insurance Law Case Study

The Role of Utmost Good Faith in Insurance Law - Case Study Example This difference in approaches to contracts in the US and the UK will illustrate how the UK will uphold claims even if questionable on the strict guidelines of the contract and material fact; whereas the US relies more on the concept of good faith and how this applies to the material fact. The basis of Hansen Bancorp Inc et al v US is that the Court of Federal Claims had erred in its judgment and the breach of contract by the US government was total therefore the appellants of the Hanson Company were entitled to restitution on all counts. This decision stems from the question whether there has been a total breach of contract if there has been a total breach of contract restitution is available. The court decided there was a total breach because the US government had come to a contract and Hanson had committed its resources to fulfill its duties; however, the US government had failed to complete its obligations, therefore, fulfilling the criteria of a total breach of contractual obliga tion. This decision is primarily an exercise in the power of the contract and its adherence, which cannot be avoided even if the breaching party is the government. The case of Hansen Bancorp heavily relies on the adherence of the contract and contract law; whereby once the parties started to act on the contract then it is only fair that the other party follows through with their contractual obligations. This case does not fudge along the lines of what may not constitute the total breach of the contract.... judgement and the breach of contract by the US government was total therefore the appellants of the Hanson Company were entitled to restitution on all counts. This decision stems around the question whether there has been a total breach of contract, if there has been a total breach of contract restitution is available; however without total breach this remedy is not available. The court decided there was a total breach because the US government had come to a contract and Hanson had committed its resources by fulfilling its duties; however the US government had failed to complete its obligations therefore fulfilling the criteria of a total breach of contractual obligation. This decision is primarily an exercise in the power of the contract and its adherence, which cannot be avoided even if the breaching party is the government. The case of Hansen Bancorp heavily relies on the adherence of the contract and contract law; whereby once the parties started to act on the contract then it is only fair that the other party follows through with their contractual obligations. This case does not fudge along the lines of what may not constitute total breach of the contract. Rather the courts take a very logical and straightforward approach considering each part of the dealing to ensure that a total breach has occurred. The court identifies that a breach is an act or failure to act that impedes the fulfillment of the contract by one of the parties, where the other party has fulfilled their obligations or all the obligations they are able to prior to action by the other party. This approach ensures that the original contract is the most important factor in determining a breach and if the actions of a party are obviously impeding the contract then there is a breach of contract, i.e.

Sunday, July 28, 2019

Reflection on two articles Research Paper Example | Topics and Well Written Essays - 750 words

Reflection on two articles - Research Paper Example One of the prominent expressions of Muslim politics in recent decades is the permissibility of ‘hijab’ and ‘niqab’ (a set of conservative dress codes for Muslim women) in public spaces. While this dress code is mandated in some of the orthodox Islamic nations in the Middle East and elsewhere, it is a point of debate in the context of secular and democratic settings. The recent flare up of the issue in France is a typical example. While liberal politicians and their contingent electoral base cite reasons of tolerance and diversity, the opposing camp (albeit the more vocal one) argue that such religious symbols undermine French national cultural identity and secularism. The authors illustrate how just as the esoteric ‘language of politics’ restricts the range of possible outcomes, there is a symmetric ‘politics of language’, where political groups jostle to control public thought. The case of Iraqi political affairs under the prolonge d rule of late Saddam Hussein illustrates this twin exploitation. Saddam Hussein tried to garner public support for his invasion of Kuwait in 1991 by stating geopolitical threats imposed by America and its allies. He also invoked the politics of language by portraying his mission as one of ‘jihad’. He also cleverly equated the triangular alliance of the USA, Saudi Arabia and Israel as the ‘infidels’. Such Koranic references are deep-rooted in Iraqi (and Muslim) societies that it is easy to fathom the political mileage to be gained through their exploitation. Another salient point is that in the realm of Muslim politics, authoritarianism and coercion seldom prove effective. To the contrary, it is persuasion – artful, rhetorical, logical or otherwise – that brings about consent and stability in the population. This is evident in the fact that even seemingly totalitarian regimes back up their legitimacy by associating with Islamic texts and doctr ines. 2. What evidence do you find in support of Khayr Al-Din's reform agenda in 19th Century Tunisia? How does he try to harmonise between Islam and Western ideas of liberty? Khayr Al-Din Pasha is a pivotal reformist figure in Tunisian political history. Indeed, he is such a polymath that he contributed reformist ideas in the areas of Tunisian military, socio-politics and beyond. At a time when Tunisia was suffering the excesses of Ottoman imperialism, Khayr Al-Din galvanized the spirit of the whole nation through his reform agenda. Khayr Al-Din was a truly enlightened thinker and he aspired for the most ideal Tunisian society and polity. He viewed the established conception and orthodox methods of governance as the major hindrances to real progress. Khayr Al-Din understood the importance of the principles outlined in Aqwam al-Masalik. The work outlined how to bring about the co-operation between statesmen and theologicians and how to make them work toward a common reform agenda. N ot only did Khayr Al-Din devise ingenious ways of achieving this cooperative atmosphere, but he also worked toward creating a fresh and forward-looking post-colonial mindset/collective consciousness. Another inspiration and key ally for the reform agenda was the writer and thinker Qabadu. Qabadu articulated a romantic vision of future Tunisian society in his prose and poetry works, which Khayr Al-Din

Saturday, July 27, 2019

The role of the IMF (international monetary fund) in helping poor and Case Study

The role of the IMF (international monetary fund) in helping poor and debt-troubled countries - Case Study Example tated that the IMF was created for the following purposes: to promote the global monetary and the exchange stability, facilitate the expansion and a balanced growth of international trade and helping in the establishment of a multilateral system of payments for current transactions. This paper is going to discuss why the IMF have to help out poor and dept troubled nations, conditions that borrowing countries need to meet to be eligible for the loans and the ethical foundations the IMF use to help out nations that are already in dept. The paper will further discuss if the loans harm or help in the development of poor countries and debt troubled nations and if the IMF and their policy makers have undisclosed purposes to pursue certain policy objectives. Carin and Wood (2005) stated that the IMF plays a major role in the global monetary system, which involves lending funds to countries having problems to pay off their debts, providing fund surveys, and monitoring the financial and economic developments in member countries. The IMF provides training and technical assistance for countries that request it hence enabling the poor and debt-troubled nations to alleviate problems of poverty and provide the citizens with their basic needs. Gould (2006) stated that the IMF helps the poor and debt troubled nations to handle balance of payments difficulties, ensure stable economies and restoration of economic growth in the various countries. The IMF programs help in unlocking financial opportunities for the poor countries because the program serves as a signal that countries have adopted reinforcing policy credibility and sound policies that increases the investor’s confidence. The countries eligible for borrowing loans from the IMF need to be members of the organization. Boughton (2001) stated that member countries could request for assistance if it has a balance of potential or actual payments need. This is when the country cannot find enough finances on affordable terms

Friday, July 26, 2019

English wine week Assignment Example | Topics and Well Written Essays - 1000 words

English wine week - Assignment Example The first step in competitor analysis involves price differentiation. Under price differentiation, EWP must have a strong understanding and knowledge on the prices and pricing strategies of the competitors. It is after this that EWP will employ alternative pricing strategies that would enable it to gain market dominance. It is also important for EWP to understand the marketing strategies of the competitors and their effectiveness. Finally, EWP must have a deeper knowledge on the production technics employed by their competitors. 3.0 Objectives The primary objective of English Wine Producers (EWP) is to dominate the wines market of the United Kingdom by winning the confidence and royalty of the potential customer and wine consumers. Market dominance being the primary goal of all institutions, to excel and dominate the wines industry of UK, EWP must be ready to battle it out with other well established wine manufacturers. This primary objective would only be realized through product pr omotion and popularizing its products in the media, vineyards promotion, tourism sector wine popularity, and among the members of the wine trade or national consumer (Gelder, & Woodcock, 2003). Other English wine promotional includes trade media and trade bureaus. Other objects of the company include remaining profitable in the industry since it is a profit making entity. 3.1 Direct Marketing Objectives Business is all about marketing and customers. The basic function of the marketing department of the organization is to ensure that EWP reach out to all the potential customers. The effectiveness of direct marketing strategy is to increase the sales promotion of the English wines. The company promotes its products indirectly through promotional companies such as United Kingdom Vineyards Association and Welsh Wines (McLoughlin, & Aaker, 2010). The EWP also conducts national promotion for its products during special events such as English Wine Weeks, sporting activities, Queens Diamond Jubilee, The Royal Wedding and other major events both within the UK and abroad. 3.2 Acquisition Objectives The main objective of EWP undertaking acquisition increase market penetration and development through sound sales and financial policies. This entails investing resources on the company’s potential areas of growth and economic development. Besides, a company interested in acquisition and takeover must be ready to invest in leadership and management so as to achieve stability and economic growth (Sherman, & Hart, 2006). EWP objectives of the proposed acquisition are to mobilize resources to invest in growth potentials and opportunities. This company will benefit from a great deal through increased sales, revenue allocation and management, and improved man power in the leadership and management skills.by forming a partnership with Vineyard, EWP stands an opportunity of expanding its marketing skills and exploring new ventures. 3.3 Retention Objectives It is important for EWP to be consistent in its strategies and policies. This principle calls for retention as a fundamental strategy when handling its labour force and human capacity. Retention policy entails appreciating, developing, valuing, and trusting in the labour force or production techniques (Mauk, & Army War College, 2012). This is essential in maintaining good relationship with the staff, and also providing an

Business process modiling Essay Example | Topics and Well Written Essays - 1750 words

Business process modiling - Essay Example SSP extends their services even to the public sectors in which they commonly deal with matters to do with invoicing among others within the Australian economy. Financial processing is usually very critical and the more reliable the customer perceives the company, the more the trust. It is, therefore, essential that firms handle their financial processes such as invoicing in a more accurate, efficient and reliable manner that can meet the satisfaction of the customers. This is the reason why SSP is restructuring its operations to meet these goals having received myriad complains from its customers. In order to attain this objective, process modelling is identifiably the most significant method that can be used. Technically, the method uses visual analysis and design to gain insight into the challenging process with the application of Business Process Model and Notation (language). This technique is vital in evaluating the status of the SSP and recommending what can be done to enhance the future. This report aims at comprehensively evaluating two processes that can help address the issues of the SSP. Initially, a choreography illustration is presented to demonstrate the relationship SSP has with its primary stakeholders such as the clients. The second diagram is a more sophisticated demonstration of the collaboration SSP has in its operation. It critically analysis how process run within the firm and how invoices (as at now) move in straight into the company. In a nutshell, the above mentioned process models are meant to determine how SSP invoicing system functions and contextu alize the relationships/interactions the organization has with the primary entities. Moreover, this report assesses governance of SSP through lenses of ‘governance structure and model conventions’. To gain a deep understanding of the nuances of the functional processes and value chain activities going on the company, a functional matrix is applied. It is virtually possible

Thursday, July 25, 2019

Understanding domestic violence Research Paper Example | Topics and Well Written Essays - 1000 words

Understanding domestic violence - Research Paper Example Thus, understanding domestic violence within the larger context of socio-psychological issues and social determinants of violent behavior becomes hugely critical. It is especially pertinent within spousal relationships. Social determinants and women who are less educated and financially dependent on their male partner or husband are more vulnerable to domestic violence. Social determinants of aggressive behavior, resulting in violence have emerged as serious issues as they adversely impact the welfare of family and society. Violent behavior is not normal and needs to be rationalized against the context and situations so that it can be addressed adequately. The structural determinants of changing social structure are main proponents of violence within society as they have created huge socio-economic and class disparity (Gilligan). Indeed, changing dynamics of society have brought forth plethora of social issues and problems like rising unemployment, lack of access to housing and medical facilities due to lack of financial resources etc. The poverty therefore, constitutes significantly to the increasing incident of domestic violence, reflecting the frustrations and inability of individuals to cope with their lives’ situations. Violence against women occurs in most society but the decline in domestic violence could be contributed to the increased wages of women and their rising social status that gives them more choices to make decisions (Aizer). She emphasizes that violence against women is more common in families and relationship where women lack financial independence. Pease and Rees (39) claim that refugee women and immigrant population face higher domestic abuse due to traditional masculine identity across races, settlement challenges and fear of reporting. Refugee families undergo language barrier and feel isolated with few opportunities of gainful employment that considerably compounds their insecurities and frustrations resulting in domestic

Wednesday, July 24, 2019

Distributed Systems Essay Example | Topics and Well Written Essays - 1250 words

Distributed Systems - Essay Example It comprises of a stub and skeleton each at the client and server side respectively, wherein the stub is an object implementing the same interface as that of the remote object. The stub implementation is not the real one, which means it acts as a proxy. In fact, a Stub is a client side object but maintains a reference to the actual server side object. The reference maintained by the stub is the virtual reference which is through network connections for which the relevant resources are provided by the RMI runtime environment which is responsible for establishing socket connections with the other end. The request of the client sent through the network connections, are received by the server side Skeleton, which performs the opposite operation as done by the Stub (unmarshalling) and services the request which again is de-serialized by the stub. 6) The relevant data required to perform the method invocation will also be sent along the request in a network representable format. The transportable format is known as marshaling. RMI implements marshaling through serialization feature of the java language. Both the ends are in java Serialization. 1) The major drawback it holds is that, RMI only works where both server and client side programs are implemented in the same language that is JAVA. It wont support the implementation in any other language. CORBA is an abbreviation... RMI implements marshaling through serialization feature of the java language. Both the ends are in java Serialization. 7) It mainly supports object-by-value. 8) It relies on naming service for the distribution of stubs over the network which is analogous to the telephone directory, where it associates a unique name to the object, given by us. Disadvantages 1) The major drawback it holds is that, RMI only works where both server and client side programs are implemented in the same language that is JAVA. It wont support the implementation in any other language. 2) Since it implements RPC style, the client is blocked till the procedure returns. This style of communication is synchronous by nature. 3) Java call semantics are changed so that thread identity is not maintained. 4) An high end application can become slow if the implementation involves RMI. 5) There are limited development tools. 6) Clients need access to the latest stubs as more and more functionalities are incorporated. CORBA CORBA is an abbreviation for Common Object Request Architecture. It is a specification for developing distributed application which is object oriented and language independent. CORBA provides interoperability between various platforms. Since the choice of a Operation System is not going to make any difference. The heart of CORBA application is a piece of software infrastructure ORB (Object Request Broker). ORB provides a communication bus for applications to interact with each other. It's a piece of software infrastructure given by vendors where from jdk1.2 onwards the java API for CORBA is known as JavaIDL. CORBA allows us to invoke remote operations as if they are local methods. This is possible due to the existence of a proxy which we call as stub in the CORBA

Tuesday, July 23, 2019

Treatment Programs for Prison Inmates Essay Example | Topics and Well Written Essays - 2750 words

Treatment Programs for Prison Inmates - Essay Example The need for adequate treatment measures has been established. Finally various treatment measures that can be incorporated by authorities to ensure rehabilitation of inmates with addiction have been identified and evaluated. The Diagnostic and Statistical Manual of Mental Disorders (DSM-1V) refers to brain altering substances as 'substances' and to the related disorders as 'substance-related disorders'(1994, p174). The DSM - IV indicates that the term substance refers to a drug of abuse, a medication, or a toxin. The word substance is generally preferable to the word drug because the term drug refers to manufactured chemicals while many of the substances associated with abuse patterns occur naturally (opium) or are not meant for human consumption (phenyl). Here it is vital to differentiate between substance abuse and substance dependence. Substance dependence: This is loosely termed as addiction to alcohol as well as other addictive substances (such as opium, marijuana, cocaine etc). It is a reversible state and the person starts craving the substance under stress, life changes, or a low/depressed mood. Substance abuse: On the other hand, substance abuse is much more serious, wherein the individual becomes tolerant of the substance and needs an increasing amount to reach an inebriated state. An abuser will also face withdrawal symptoms in which state it becomes close to impossible to function normally in the absence of the substance. The life span of the typical addict is about 12 years shorter than the average citizen, and alcohol now ranks as the third major cause of death in the United States (Kaplan and Saddock, 1989, p. 391). Objectives This research has a two pronged objective: To study the link between criminal activity and substance abuse To examine the various treatment programs available for prison inmates with a history of alcohol and drug abuse Increasing crime rates, overpopulated prisons, and few measures taken towards the prevention of crime are major concerns over the world, particularly in countries such as the USA where the crime rate is significantly high. A large number of prison inmates are for the most part substance abusers and there is a close link between substance abuse and crime. In many instances, substance abuse can also be seen as the catalyst that triggers criminal activity. Keeping this in mind, controlling substance abuse in this group in an attempt to decrease crime rates would eventually bring about a significant social change. Identifying and implementing effective treatment programs for prison inmates is therefore a necessary and important step in the overall prevention of crime. Research design This is an exploratory study using an Ex-Post Facto Design. Literature Review Sarah Liriano and Malcolm Ramsay in 2000 attempted to measure prisoners' drug use prior to their prison term as a possible benchmark against which effectiveness of the Prison Service drugs strategy could be monitored. The data from the Criminality Survey showed that (73%) of respondents had used an illegal drug in the twelve months before

Monday, July 22, 2019

St Judes Research Hospital Essay Example for Free

St Judes Research Hospital Essay â€Å"Shortly after Hayden’s fifth birthday, he began having headaches and nausea. At first, the doctor thought he had migraines and asked his mother to keep a record of when his head hurt. After only a short period of time, Hayden’s headaches grew more frequent. Then, he began having trouble with the vision in his right eye causing him to see double. It was at this point, his mother knew there was a bigger issue at hand. Hayden was referred to an ophthalmologist for further testing. When the doctor examined Hayden’s eyes closely, he saw abnormal swelling and immediately ordered a CT scan. The results were upsetting: There was a mass on Hayden’s brain. He underwent surgery to remove the tumor, after which a biopsy revealed more devastating news: Hayden suffered from a type of brain tumor called Medulloblastoma. Hayden’s parents had heard about St. Jude’s Children’s Research Hospital and immediately asked their doctor for a referral. † Hayden’s story comes from St. Jude’s Research Hospital website. He’s featured as this month’s â€Å"Patient of the Month†. Hayden is an adorable 6 year old boy with a beautiful smile. Other than the fact that he has no hair, you would never know that he’s been through more than most of us will endure in a lifetime. What is Medulloblastoma? It’s a highly malignant primary brain tumor which is most common in children. Re-occurrence of Medulloblastoma is almost always fatal, so fast evasive treatment is critical the first time it’s diagnosed. There are several sound reasons’ to support the St.  Jude’s Research Hospital. I’m going to tell you why you should support St. Jude’s Research Hospital, starting with its humble beginnings as a good deed by a wealthy famous man turning a personal promise into one of the most successful charities in the United States and ending with the impact it’s had on medicine today. A A good deed by a famous, wealthy man doesn’t seem all that remarkable. Hollywood stars do it all the time. But this story is particularly significant. St. Jude’s Research Hospital was founded by television star Danny Thomas. He worked with the likes of Doris Day and acted in roles on The Dick Van Dyke Show, The Andy Griffith Show and The Mob Squad. His professional career was a resume that spanned several decades. But his most remarkable accomplishment was the foundation of St. Jude’s Research Hospital. Danny Thomas was a devout catholic. Early in his career, while still a struggling actor with a new family he prayed for an answer on how to proceed in his life. He made a promise to build a shrine in honor of St.  Jude, the patron saint of hopeless causes, if he could only proceed with and find success in his career as an entertainer. He never forgot that prayer or that promise. The shrine he built was opened in 1962 in Memphis Tennessee and stands today as a pillar of hope for families of children with cancer around the world. St. Jude’s Research Hospital was founded on the premise that any needy child would be able to receive care regardless of race, religion or the ability to pay, a hospital where no suffering child would be turned away. Danny Thomas lived until 1991 to witness the miracle his promise to St. Jude created. His children continue to participate and avidly support St. Jude’s Research Hospital today. Without a most sincere prayer of faith during a time of great need, this world could have been in a very different place. B Cone Communications, a public relations and marketing agency puts together an annual list of the top 100 non-profit power brand companies in the US. St. Jude’s Research Hospital ranks #18 on the list with top leaders such as: 1.  YMCA 2. United Way 3. American Red Cross This is significant considering St. Jude’s is one hospital accomplishing this. The other charities I mentioned are based all over the country. St. Jude boasts nearly 5 million donors and 1 million volunteers. St. Jude was named for the 6th year in a row as one of the top institutions in the annual â€Å"Best Places to Work in Academia† by Scientist Magazine in July 2011. They are one of the best employers as a research and learning hospital. St.  Jude’s Research Hospital follows the Better Business Bureau â€Å"Wise Giving Alliance Standards for Charity Accountability†. This means that St. Jude’s Research Hospital fully discloses basic information about their services and their fundraising. There is nothing to hide! You have a right as the consumer and donor to ask those questions and you can find that information. What are the differences between St. Jude’s and other charities? Most charities focus on one key marketing or fundraising area. St. Jude’s target for marketing fundraising is far larger than most charities. Their target; preschoolers, professionals, 8th graders and 80 year olds, television, radio, local drives, school drives, trike-a-thons, math-a-thons, local, county, state and national events. Some of the big ones that you may be familiar with; the â€Å"Dream Home Giveaway†, the â€Å"Thanks and Giving Campaign† and the radio-a-thon â€Å"Country Cares†. Because of last year’s St. Jude’s NFL event, 18% of American’s said they planned to support St. Jude’s â€Å"Thanks and Giving Campaign† during this past holiday season. No opportunity is turned away. Comparing St.  Jude’s Research Hospital with other powerhouse charities such as The Susan G Koman foundation and American Cancer Society here are a few facts to consider: * The CEO for The Susan G Koman Foundation doesn’t make any money – she is the founder and therefore choses to forgo that expense leaving it in the foundation’s budget. The Susan G Koman Foundation is much smaller than St. Jude’s when talking about total revenue. Susan G Koman foundation keeps their general and administrative expenses well below 10% of their annual revenue in order to give back through outreach programs and funding valuable research. The CEO for the American Cancer Society has an income of almost a million dollars a year. Preventcancer. com reported in 1988 that the American Cancer Society was the world’s wealthiest non-profit institution. Only 26% went to medical research programs and the rest to operating expenses which included about 60% for generous salaries, pensions, executive benefits and overhead. Nationally, less that 16 percent of all money raised is spent on direct services to cancer victims. * The CEO for St. Jude’s Research Hospital has an income that’s less than 200,000 a year. In 2009, 74% of St.  Jude’s revenue went to patient care, research and education, training and community services, 17% to fundraising and only 9 percent to administrative costs. Why do I tell you these numbers? According to the August 2010 Charity Navigator CEO Compensation Study, the average median income for the CEO of a Charity is in the 100,000 to 200,000 dollar annual income range and it is considered healthy to pay income for CEO’s rather than expect free services for a number of reasons. The differences in the percentages of revenue going to research, treatment or administrative expenses tell the real story though. St. Jude’s uses many powerful connections, they have a â€Å"star-studded roster† like many charitable foundations, they’ve made brilliant marketing decisions and created a variety of programs which reach out to a much wider variety of consumers and business’ than other charities of its kind. C Today St. Jude’s Research Hospital is internationally recognized. St. Jude’s is a pioneer in research and treatment of children with cancer and other catastrophic diseases: 1. They are the first and only comprehensive cancer care center devoted only to children funded by the national cancer institute 2.  They are the only private cancer center in the US committed to caring for and supporting children with cancer and other catastrophic diseases regardless of the family’s financial or healthcare resources. 3. Ranked as one of the best pediatric cancer hospitals in the country 4. They coordinate several cancer studies and continues to do pediatric cancer research 5. They are also now the leader in sickle cell disease research 6. They play a significant role in the research for influenza. 7. They treat over 5,700 patients per year

Infant Observation: 10 Month old Baby

Infant Observation: 10 Month old Baby Infant Observation Ivan Mitsko Less than a year ago my close family friend delivered a second baby. And since we lived close to each other and the couple already had an experience with infants I realized that it was a perfect place for my observation paper. I decided to observe the child three times at different dates and time of day because it could help me better distinguish infant’s psychological behavior. The baby’s name was Alex and at the time of the observation he was ten months old. He was born healthy and without any complications. At the first day of his life he weighted 7.5 pounds and was 19 inches tall which is considered a normal range (Zinsser, 2015). The parents are very diligent and hardworking people and take care of their children very well. The behavior of the new born baby reminds me of a chain of reactions in response to new sensations which surrounds the infant during first year of life. When I observed Alex it was almost impossible not to notice his reflexes, senses, and natural instincts. When the mother tried to touch his lip with a finger the baby immediately opened his mouth and was prepared to suck. However, I noticed that he more prefers to suck his own fingers rather than someone else’s. When the mother put something sweet on her finger the baby used to start sucking it and in response to something sour or bitter he immediately wrinkled his face and tried to clean his mouth. This phenomenon can be explained by research conducted by scientist who claimed that humans’ affinity to sweet taste over any other taste corresponds to human genetics (Tatter, Schubert, Timischl, Simbruner, 1986). Another very interesting response I observed was a reaction to the loud noise. The sudden loud TV sound made hi m to furrow his brow, he looked very aware, and at the same time very scared. It seems that all of these reflexes are involuntary and the infant doesn’t have a knowledge or experience to realize that he is a baby and that he is the part of the world. All of the infant’s natural reflexes and instincts were very well described by Jean Piaget, a Swiss psychologist who is known for his studies with children. According to Piaget’s cognitive stage theory, the babies have an innate schema which is developed before they have any experience with surrounding environment. These cognitive structures are responsible for innate reflexes which are genetically programmed inside of us (Huitt, Hummel, 2003). For instance, most of the infants have sucking reflex which can be triggered by touching baby’s lips and based on these observations Piaget came up with the idea that infants have a sucking schema. Paget’s schema development can be applied to many other innate reflexes. For example, when something touches baby’s palm he will experience the grasping reflex, or similarly, the rooting reflex in which the child will turn his head in direction of the cheek you touched. For instance, during my observation I realized that rooting reflex works much better when the baby is hungry. Once the mother touched his cheek the infant turned his head right away and slightly open his mouth. It was very interesting to follow this process because it helped me to visualize how the schema works in real life situations. Moreover, I felt like the baby was waiting for the next signal which is food consumption. Both of these actions are nothing more than a reaction to touch which makes the life itself a very unique phenomenon. The overall baby’s physical appearance is very similar when he is still in the womb. His body, arms, and legs tend to take position in the way in which they were occupied in mother’s belly. When I asked my friend to hold a baby, the first thing I noticed was how the musculoskeletal system was undeveloped. Newborn babies tend to have very weak muscles which don’t allow them to hold the head or anything in hands. On the other hand, I noticed that when the infant grasped my finger I felt quiet bit of a power produced by the muscles. This interesting observation made me think how the voluntary and involuntary muscular contractions developed and their role in adaptation with surrounding environment. An innate reflex is the specific response to external stimuli. The study of reflexes is mainly used to assess the state of the nervous system and all of the related pathologies. There can be some exception but in most cases children are born with grasp reflex. In order to activate it the parents should simply touch the palm of baby’s hand and he will immediately flex his digits. Usually, some of the reflexes can be noticed from the birth and it is very important for young parents to distinguish any abnormalities in infants. (Futagi, Toribe, Suzuki, 2012). During the first month of the life the baby spends most of his time lying down either on a bed or in the mother’s hands. Also, it was very obvious to see that the baby liked being rocked, and when the parents surrounded him. I believe that most of the baby’s behavior is strictly automatic rather than deliberate. All of the actions are meant to evoke a sense of attachment. For example, when the infant starts crying he is probably hungry or wants to be held. During the infancy period most of the babies are far away from language/speech development. However, I realized that communication does exist between parents and the child. All of the babies tend to cry a lot and this is one of the main sign for a caregiver that something is wrong. During my observation I realized that babies cry because they feel some sort of discomfort which requires immediate attention. For young parents it might be often difficult to understand what happened and why the baby is crying. However, over some period of time caregivers begin to distinguish main concerns. As a future parent this observational experience was very educational for me. I learned that it takes a lot of compassion and hard work to take care of the baby. This a very demanding job which requires a lot of time and hard work and the knowledge of developmental psychology is a good way to understand scientifically what is like to be a baby. Paget’s cognitive stage theory is a great way for new parents to get familiar with the environment and psychological behavior of the new born baby which can be applied in order to establish connection between caregiver and child. References Futagi, Y., Toribe, Y., Suzuki, Y. (2012, June 11). The Grasp Reflex and Moro Reflex in Infants: Hierarchy of Primitive Reflex Responses. Retrieved February 11, 2015, from http://www.ncbi.nlm.nih.gov/pmc/articles/PMC3384944/ Huitt, W., Hummel, J. (2003). Piagets theory of cognitive development. Educational Psychology Interactive. Valdosta, GA: Valdosta State University. Retrieved February 4,2015 from http://www.edpsycinteractive.org/topics/cognition/piaget.html Tatzer, E., Schubert, M., Timischl, W., Simbruner, G. (1985, October 12). Discrimination of taste and preference for sweet in premature babies. Retrieved February 4, 2015, from http://www.ncbi.nlm.nih.gov/pubmed/4064994 Zissner, K. Physical development in infancy [PowerPoint slide]. Retrieved from Lecture Notes https://uic.blackboard.com/webapps/blackboard/content/listContent.jsp?course_id=_87219_1content_id=_4081122_1 Is Memory a Constructive Process? Is Memory a Constructive Process? Gemma L Sobah ‘Memory is a constructive and active process’ Psychology To be able to successfully evaluate this claim, it is important that some research is done. A lot of relevant research supports this claim but what information we process and store is actually being actively processes by our conscious and how much of this is being stored in a more automatic, passive manner? Before we can delve any further into memory, we need to find a way to break it down into what memory consists of. This essay will look at the research conducted on memory and evaluate to what extent the memory is a constructive and active system. As we know already, memory is a part of our everyday lives. It enables us to carry out daily tasks and skills from knowledge and gives us access to information we may need at a later date, but has been stored in our memory for the mean time. It is an essential part of our lives, and this makes it important for psychologists to be able to understand how it works and its functions. Over time research has been done that breaks memory down in to three component processors. Encoding Putting information into memory Storage Retaining information into memory Retrieval Getting information back out of memory (Brace et al, 2007) Encoding is putting information into code and then inserting it into our memory to then be stored. Storage is when information is retained and is kept in the form or visual, physical or other depictions. Retrieval is when we try and retrieve information out of our memory, into our conscious mind. The memory is not only broken down into processes but also has subsystems that work parallel to and include sensory memory, short-term memory and long-term memory. William James (cited in Brace et al, 2007) was one of the first psychologists to make this connect and present memory as having these three subsystems. His theory also included the idea that the brain used a primary memory permitting conscious mental activity and a secondary memory responsible for storing knowledge. (Brace and Roth, 2007, p.g 115) This alone supports the claim that memory is a constructive and active process, for it not only receives stores and retrieves information, but it also sorts the information we receive into sections. If the brain was a passive process, we could believe that all information processed would be generically stored. It would take a conscious and active memory to be able to decide which information will be logged as short term, and which should be logged as long term. We will look at th is more later. Memory is an ability that we as humans and also animals to some extent, depend upon to be able to recall different events, relate to experiences, and connect with people. It is a very important system that allows the brain to acknowledge and receive information from our surroundings and from our own bodies, (also known as stimuli), store it, (in either short or long term memory, depending on the information), and then allow it to be accessed in future occasions (known as retrieval). It allows us to continually live one day after the next, without having to relearn everything, giving us the ability to learn from our past actions, relive experiences in different times of our life’s and use all the information we have stored, to carry on and grow. If you think about the first time you read a book or tried roller-skates; those are memories formed, either short or long or term. If we have no memory from the past, you would never learn; thus unable to process and understand. Without memory we would constantly be faced with new and unfamiliar things. This alone and cause us distress. We only have to look at someone with dementia to understand how fragile and vulnerable we would be without the capacity to remember, our everyday lives and actions would be affected and so would our survival. More and more research is being uncovered that suggests that the brain works as a whole, integrating with all areas of its self and aren’t small separate sections doing independent work. When processing a new memory the brain sends information to the Papez circuit which involves many parts of the brain. Research on the brain shows that forming a memory causes physical changes to the organisation of neurons and maybe even the neurons in a process called brain plasticity. (Brace et al. 2007, p.g 146) Ever since William James (1890) first revealed his theories on memory, a substantial body of research has followed. Many other psychologists have shared approaches that conce ptualize memory as a flow of information through a sequence of sub-systems. It is believed information is recoded as and when it is carried from one sub-system to the next. Let’s look at the short term memory. Some research suggests that this form of memory is just a temporary store. But Baddeley and Hitch (1974) (as cited in Brace et al, 2007, p.g 117) allows us to understand it better. They believe that to be able to really understand the functions of short term memory we have to first understand what we use it for. They suggest it has several functions. Brace, 2007 puts it like this: One key function is to concentrate on processing new inputs, and rehearse and code them for transfer to long term memory. Another function is to retrieve information relevant stored knowledge to assist in making sense of these inputs†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..STM is an active store holding information that we are consciously thinking about- it is attention-limited ‘work-bench’ system of memory. (Brace et al, 2007 page p.g 117) Here memory is described as active, and the reason for this is simple. Memory is constantly working or organise its information for the purpose of our life. We are constantly learning and developing, and our memory processes are constantly sorting through all the information we receive, to make sure the everyday things we need to remember, such as how to tie our shoes are stored in the right place, the information we only need temporary, such as the number we are typed into our phone, can be stored for the appropriate length of time, then discarded to utilise the space. We interact with many things in our everyday life’s and our brain are aware of that, and is constantly on standby to help us live, so to speak. Another reason we can say memory is active and not passive is for the simple fact that we are able to consciously control what we want to retrieve from our memories and what information we would rather no remember, at that present time. For example, a young has lost her house keys, and in order to help her find them, she decides to try and remember when she last seen them, this is her consciously selecting memories from a specific time. She hasn’t decided to try and remember the colour of the keys, or when she very first came to own the keys, she has consciously tried to recall a specific moment in her life when she had the keys. This is her memory actively working to select the relevant memory and disregard any memory that is not currently needed that may be related to the keys. If our memory were passive, maybe it would automatically recall every memory she has had with the keys, which wouldn’t help the woman find the keys, it would just create confusion and possible frustration. Memory might for this reason be seen as a perceptually active process of the brain that derives from three key components. As we can see memory isn’t a simple matter. It is very complex and there are still many aspects of it under research and not yet understood, and because memory cannot be directly monitored, psychologists have found ways to analyse it enough to be able to have some understanding of how our memory works and why. Our memory serves a crucial purpose and without it, we cannot evolve, and learn and although it does more good than harm, it can from time to time cause us distress and many other things. Our memories are key to making us who we are and there are times that some people’s bad memories impact their lives greatly. Nevertheless, our memory is active, and we can us this to our advantage. We can change our memories, we can implant some memories deeper than others, and we have found ways to hide or keep some memories dormant. We can actively strengthen and challenge our memories daily and find ways to get the most out of the memory process, because without memory, we can not survive. Word count:1444 References: Brace, N., Ilona, R. (2007) ‘Memory: structures, processes and skills’ in Miell, D., Phoenix, A., and Thomas, K. (eds) Mapping Psychology, Milton Keynes, The Open University. Psychology18th March 2014

Sunday, July 21, 2019

Postpartum Depression A Concept Analysis Health And Social Care Essay

Postpartum Depression A Concept Analysis Health And Social Care Essay Postpartum Depression is generally defined in the following context: Specifier of nonpsychotic major depression that has its onset within 4 weeks after delivery (Mehta and Sheth, 2006). In addition, the illness is often classified into the following categories: Baby blues, nonpsychotic depression, and puerperal psychosis (Mehta and Sheth, 2006). Therefore, the illness is complex in nature and is attributed to the emotions that are experienced after giving birth (Mehta and Sheth, 2006). It appears that there are no clear distinctions between first-time and experienced mothers facing postpartum depression, and that the state is potentially dependent upon hormonal imbalances (Mehta and Sheth, 2006). The state of postpartum depression is particularly difficult for its sufferers, as they are often unable to care for their newborn babies in the way that they desire, and this places a particularly difficult strain upon the family in these cases. The defining attributes of the illness are em otional in nature, and require further evaluation in order to establish a successful diagnosis and treatment strategy. For women facing the risk of postpartum depression, there are a number of common concerns that are well-defined and researched, including but not limited to stress, hormone imbalance, and alternative methods of conception. Therefore, those women facing postpartum depression often possess a number of risk factors that may be individual or combined. As a result, a diagnosis of this condition is often based upon several factors. However, these factors may also be attributed to other conditions and circumstances, so how they are identified and managed is of critical importance in addressing the condition directly. In general, A meta-analysis of numerous studies found the average prevalence rate of postpartum depression to be 13 %there is a three-fold increase in the risk of depression during the first months after delivery (Joesfsson, 2003, p. 14). Therefore, it is important to note that postpartum depression is a common condition that requires further evaluation and treatment. A case study is perhaps the most feasible opportunity to explore the variables involved in postpartum depression, as this will enable the evaluator to determine the extent to which the illness is based upon various factors, how it was derived, and how to best treat the condition effectively. Typically, a scale known as the Edinburgh Postnatal Depression Scale (EPDS) is widely used to identify the severity of postpartum depression episodes, as is useful in determining the course of treatment that will treat the condition without delay (Chokka, 2002). One case to consider is that of using the EPDS to screen patients for postpartum depression, and if the condition is identified, to determine its severity (Joesfsson, 2003). This scale is used to convey a greater understanding of the epidemiology of the illness, and its contributing factors in those that suffer its symptoms (Joesfsson, 2003). The case study under consideration examines women facing postpartum symptoms of depression at several intervals, and explores a number of variables that are relevant in describing the condition and its potential outcomes for female patients (Joesfsson, 2003). There were a number of statistical requirements under consideration, as well as an opportunity to explore the ethical nature of the study and how it might impact postpartum women in a personal manner: We questioned ourselves whether it would create increased anxiety to ask the eligible women personal questions about mental and physical health and later on about their childrens behavior. How ever, we concluded that the positive effects would outweigh the negative effects and that the attendance rate would reflect the womens opinions in this matter. Verbal and written information was given to all participants and it was made clear that participation was voluntary (Joesfsson, 2003, p. 33). From this perspective, it should be noted that the postpartum depression study served as a means of influencing the identification of risk factors, as well as the epidemiology behind such factors and subsequent treatment alternatives that would be useful in supporting patients of this nature (Joesfsson, 2003). In this manner, it was determined that the study was a safe and effective means of identifying various risk factors associated with postpartum depression. The study results indicate that the EPDS is a highly useful tool in order to support the findings associated with postpartum depression (Joesffson, 2003). One of the key factors in this study that is not found in many other studies is as follows: An advantage of this study is that all data were extracted from standardized medical records in which data were collected prior to knowledge of postpartum mood. This made it possible to minimize maternal recall bias. To our knowledge this is the only study that includes earlier medical, gynecologic and obstetric history (Joesffson, 2003, p. 37). Therefore, the study indicates that there are significant opportunities to explore postpartum depression by using the EPDS scale, and that the results from this scale will continue to provide clinicians with the tools that are necessary to improve diagnosis and treatment methods for postpartum depression and its many complexities (Joesffson, 2003). EPDS is also evaluated in a borderline case involving postpartum women from Chile, and it was determined that the scale is very useful in other settings as a screening and diagnostic tool (Jadresic et.al, 1995). Another borderline case involving subjects from Iran is also useful in determining the effectiveness of the EPDS tool (Montazeri et.al, 2007). A contrary case involves the detection of false negatives in using the EPDS, which is in stark contrast to many other cases that support the widespread use of this scale to identify postpartum depression (Guedeney et.al, 2000). A case invented for the research might demonstrate that EPDS is successful in diagnosing other types of depressive disorders or episodes that extend beyond postpartum depression. Finally, an illegitimate case involves an examination of symptoms that are depicted as postpartum depression with the EPDS, but are actually not related ( Jomeen and Martin, 2008). Based upon the model case, the antecedent is the series of unusual behaviors that are generally associated with postpartum depression, such a perceived detachment from the child, as well as emotions, such as uncontrollable crying and fits of anger. As a result of these behaviors, it is generally believed that women suffering from postpartum depression face considerable emotional and psychological consequences until they are diagnosed and are treated for their condition in a successful manner. In a related case study, EDHS is utilized in conjunction with the Patient Health Questionnaire (PHQ-9) in an effort to identify postpartum depression in a different light. In a general context, Routine depression screening has been recommended for all adults using tools, such as the Patient Health Questionnaire (PHQ-9), that have been validated in primary care practices (Yawn et.al, 2009, p. 483). From this perspective, it is known that postpartum depression is not commonly considered under this questionnaire, and requires further consideration as a potential tool for evaluation of this condition (Yawn et.al, 2009). The study considered both tools as an opportunity to identify postpartum depressive symptoms, and to also demonstrate that these studies might be useful together, while also recognizing the limitations of their use in conjunction with each other (Yawn et.al, 2009). These findings suggest that there are significant factors involved in identifying postpartum depression, par ticularly when a body of questions are asked of each study participant that might be uncomfortable to answer (Yawn et.al, 2009). Therefore, it is difficult to identify all of the possible implications of using both tools without further evaluation (Yawn et.al, 2009). Nonetheless, it is very important and relevant to consider how postpartum depression is diagnosed and treated under the most common conditions. Other studies also demonstrate that postpartum depression, when diagnosed by using the EPDS scale, is highly responsive to different forms of cognitive therapy, including individual and group counseling, amongst other methods (Moss et.al, 2009). However, studies do not go so far as to say that educational programs are a useful tool in supporting the prevention of postpartum depression, as this has yet to be identified as an effective alternative (Moss et.al, 2009). There continue to be critical factors that influence postpartum depression that have not been fully identified, and therefore, the EPDS is a very useful method of deciphering new problems and potential treatment solutions (Moss et.al, 2009). Based upon the indicators provided in the discussion and case studies thus far, there are a number of empirical referents to consider when addressing the scope of postpartum depression, and how it is dramatically influenced by various factors, including but not limited to risk factors, symptoms, diagnosis and treatment. It is clear that there are a number of common risk factors associated with postpartum depression that are common in many identified cases, including but not limited to prior depressive episodes, hormone imbalances, and other related factors. These factors are typical contributors to the condition, even though their severity varies from one case to another. Nonetheless, when considering postpartum depression, these are typical concerns that must be evaluated on a consistent basis. In one context, it is observed that postpartum depression may be associated with what is known as the relinquishment of motherhood, which is reflective of different circumstances, such as giving up a baby for adoption, as well as the challenges associated with postpartum depression (La Monica). In this context, Relinquishment is usually done with a great deal of conflict, especially if done under compulsion. Consequences of relinquishment are (1) the obvious loss of a child, (2) a resulting role change; she is no longer functioning as a mother, and (3) the inevitable grief process to follow (La Monica, p. 269). From this perspective, it is clear that postpartum depression also falls into this category, and possesses empirical consequences for a mother until a diagnosis and treatment plan is satisfied. It is important for a mother facing postpartum depression to consider how this might impact her child or children, and how to best approach the situation in a delicate yet assertive man ner. However, since the judgment of the mother is often poor as a result of her condition and she may be unable to think clearly, it is necessary to consider how the condition might be identified by a clinical professional, and thus treated accordingly. It is important for family members and clinicians to be involved as early as possible, so that the symptoms do not become so severe that irreversible consequences are inevitable, as occurs in some cases. In all cases of postpartum depression, it is critical to develop an understanding of the underlying factors, causes, and diagnosis methods that are most common, so that all possible ideas are explored without severe repercussions for patients. Therefore, it is expected that in all cases of postpartum depression, establishing a diagnosis using the EPDS and/or the PHQ are of critical relevance in order to determine the most feasible course of action for the patient in question. This is a general rule that applies to almost any diagnosis, and requires ongoing consideration in order to achieve the desired level of effectiveness. It is imperative that these methods are utilized consistently from one case to the next in order to establish effective patterns for treating postpartum depression and its underlying causes. In order to identify the various principles that are associated with a diagnosis of postpartum depression, it is necessary to develop a greater understanding of various risk factors that are associated with the illness and its outcomes for new and experienced mothers. It is evident that there are a variety of concerns that are associated with postpartum depression, and that these require further consideration and evaluation. Therefore, various research studies to date indicate that there are a number of relevant tools that are often utilized in order to understand the overall concepts associated with postpartum depression, and how to best diagnose and treat this complex psychological condition with physical undertones. The most common tools used to identify the condition are the EPDS and the PHQ, which are utilized to identify severity of the condition under different circumstances. Patients suffering from this illness must be cooperative and supportive in seeking a diagnosis and tre atment, even though this is often a very difficult concept to grasp. Therefore, it is important for clinicians to be heavily involved in this process, so that patients are provided with the best possible outcomes for their condition, regardless of its severity. This will provide the greatest level of support during diagnosis and treatment to improve the condition through regular treatment and ongoing intervention as necessary.

Saturday, July 20, 2019

Fantasy in Theatre :: Fantasy Shakespeare Theatre Drama Essays

Fantasy in Theatre In preperation for our performance on the above subject, we firstly listened to several pieces of fantasy music as a guided visualisation in which we were asked to imagine going through different doors and to visualise what was behind them. This then inspired us to experiment with diferent stylistic devices to include in our performance. We were given two pieces of text that was goin to be the scope for our piece of Drama, they were: A Midsummer Night's Dream - A play by William Shakespeare. Era wise, there were no problems with using this, as Shakespeare is timeless and can be set in any period of history, including modern day. This particular play is set in the dream like world of fairies. The Lord of the fairies, Oberon, has an argument with his lover, Titiania, over a young boy she has adopted after the death of her waiting woman. Oberon wants her to hand over the child to him, Titania refuses. Oberon decides to send Puck to fetch a magic flower, the juice of which, dropped into Titanias' eyes will make her fall in love with the first thing she sees in order to trick her. He hopes that this will distract her so he can take the boy. The Jabberwocky - This is a poem written by Lewis Carroll (from Through the Looking-Glass and What Alice Found There, 1872) It tells of the defeat of a mythical monster. By reading the text, we can see that it doesn't really make much sense, but we can make some sense of the words by their sounds. In our group, we started discussing our ideas then looked at the two texts and fitted our ideas around them. In our performance, we decided to have good and evil involved, we had 2 dream masters and 4 other people. 2 of which were taken by the evil dream master who gave them nightmares, the other 2 were taken by the good dream master who fulfilled their fantasies. The 4 characters had there own dream, one wanted everything they asked for, another wanted to be an Indian, another wanted to remain popular and successful at school, and lastly the focal point was on the character who wanted to see her Mother again because she passed away. We used the idea out of 'A Midsummer Night's Dream' where Titania was put asleep, in our play,we also took the idea of having 2 dream masters from the characters Oberon and Puck. The dream master puts the 4 characters to sleep using his powers. The first 3 characters have there dream or fantasy then the girl who

Friday, July 19, 2019

Capitalizing the costs of developing a software program for sale Essay

In order to gain a better understanding of both the software industry and the applicable guidelines for capitalizing software, some outside research into the industry and FASB standards was completed. This research was complied as a part of the risk assessment portion of the audit process (Whittington & Pany, 2012). The issue of capitalizing the costs of developing a software program for sale is a complicated issue. This is due in part to the fact that the nature of technology is constantly changing so clear procedures regulating when to write off a software system vary according to the pace of technological changes within the industry. Therefore, while a company is developing software, they should report the incurred creative costs to a research and development account (Warfield, Weygandt, & Kieso, 2007). Once the software product has reached a point where it is feasibly considered a technological product the costing can be adjusted to begin capitalizing the costs (Warfield, Weygandt, & Kieso). As established in FASB Statement No. 2, any costs incurred in the developing, creating, testing, and so forth of software products will be charged to the research and development expense account; however any adjustments to the software for upgrades and any costs to market the product would not be included in the research and development expense account (Accounting-Financial-Tax.com, 2012). This is because by the point the product is ready to be marketed or needs to be upgraded to meet new technological standards, the feasibility of the product has been established and therefore the product should be capitalized (Account ing-Financial-Tax.com). If however, after meeting the feasibility requirements, there is substantial risk associate... ....com. (2012). Capitalization and amortization of software costs. Retrieved from, http://accounting-financial-tax.com/2009/05/capitalization-and-amortization-of-software-cost/ Accounting For Management. (2011). Return on Shareholder’s investment or net worth ratio. Retrieved from, http://www.accountingformanagement.com/retun_on_share_holders_investment_or_net_worth.htm Kennon, J. (2012). Return on assets (ROA). Retrieved from, http://beginnersinvest.about.com/od/incomestatementanalysis/a/return-on-assets-roa-income-statement.htm Tracy, J. A. (2004). How to read a financial report (6th ed.). Hoboken, NJ: John Wiley & Sons. Warfield, T. D., Weygandt, J. J., & Kieso, D. E. (2007). Intermediate accounting (2nd ed.). Hoboken, NJ: John Wiley & Sons. Whittington, R., & Pany, K. (2012). Principles of auditing and other assurances (18th ed.). New York, NY: McGraw-Hill

Victorian Short Essay -- English Literature

Victorian Short Victorian Short Stories Discuss the role of women – as villains, victims and heroes in a selection of Victorian short stories. In the 19th Century the only type of people who could read and write were people in upper class families. Remembered for being such a class conscious society, the 19th century rarely ever mixed regarding their status in the society, this was the greatest divide ever between rich and poor. As well as their being a division between rich and poor, there was also a division between the sexes. Women were automatically given the lower status between men and women and they were seen as lower, less able people by men. Seeing as Victorian short stories were written in the 19th century, they follow through the theme of men being better than women. Also another theme which was common in these stories were brutal murders and obvious villains. Most of the writers who wrote in those days wrote for different reasons compared to reasons why writers wrote in the 20th century. Writers in the 20th century wrote to entertain rather than to instruct people. Famous writers such as Charles Dickens wrote for moral obligation. He wrote to try and shame and instruct rich people into helping the poor. I am going to look at three different Victorian short stories and see how women are portrayed. Are they the villain, the victim or the hero? The first story I have read is â€Å"Captain Murderer†. â€Å"Captain Murderer† was written by Charles Dickens however, he did not invent this story he simply retold it. From the very start Dickens demonstrates how rich people were always perceived to be better than the poor: â€Å"His warning name would seem to have awakened no general prejudice against .. ...d this attracts negative attention just like the name of the villain Captain Murderer in â€Å"Captain Murderer†. Bessie tries to conquer her status as victim by showing the villains she is not afraid of them: â€Å"..you cowardly villains! I screamed at them through the door. You think you can frighten me†¦. You ragamuffin thieves.† Despite Bessie showing she is not going to be overruled the danger increases for her. Shifty Dick goes to an extreme measure when he takes out a knife and starts to hack trough the thatch roof. Bessie finally surrenders her status as hero after all her brave and bold acts and flees the house into the darkness of the countryside: â€Å"†¦I saw the heavy, hairy hand of Shift Dick, armed with the knife, come through after the fallen fragments†¦.. I lost courage at last†¦..I must trust to the night and the thick darkness, and save my life.†

Thursday, July 18, 2019

Tcl 201 Midterm

Questions: 1. Taking your information from Katherine Benton-Cohen’s book, Borderline Americans, write an essay on how the term â€Å"American† became synonymous with â€Å"white† in Cochise County during the late 19th and early 20th centuries. Start by discussing the nature of relations between Mexicans and whites in the different sections of the county during the 19th century. How did relations change over time and what factors led to those changes?In answering these questions, you should pay some attention to changing demographics but focus on how mining companies’ interest in exploiting its labor force, the Bisbee Deportations, and the aftermath of the deportations led to the creation of â€Å"one county, two races. † Borderline Americans covers distinct situations that occurred in Cochise county where the definition of being American was pursued based on what benefited the Anglos in the area. IN areas such as in Tres Alamos, there were situation s of intermarriage.In Bisbee, there was the dual-wage system the separated Mexicans from Americans, and in Tombstone, Anglos and Mexicans would come together to combat native Indians. Yet, when Mexicans wanted to put their American civil rights to action, Anglos would counter act them by saying how they were not American enough. a. In Cochise County, â€Å"corporations and governments exerted enormous influence over the creation of racial categories† (pg. 14). Everyone fought over what defined race and who could benefit from the term (pg. 14). b. In Tres Alamos, Anglos and Mexicans were friendly towards one another for political reasons. In theory. New Spain’s elite was Spanish, but in a sparsely settled frontier area, people who were Spanish-speaking, wealthy, or landed qualified as being Spanish, and thus—in the context of American racial codes—white (pg 28). c. In other areas in Arizona such as in Tucson, Anglo cowboys and Mexicans joined forces to com bat the native Indians (pg. 63). d. In Bisbee, there still existed a dual-wage system. Here, Mexicans were paid less than the Anglo men despite their skills. Corporations ruled the community, so they set the define line of who was worthy to be American and who was not based on pay (pg. 07). Dual wage system. I. Spanish American Identity: a. â€Å"The Spanish American identity in New Mexico was conceived in myth and is sustained by memory† (pg. 212). i. The Spanish American identity was an illusion that Nuevomexicanos created and lived up to during the late years of the 19th and early 20th century. b. It originates from its diverse â€Å"struggles against political and social marginalization, and was nurtured by a burgeoning tourist industry, a Hispanophilic cultural movement, and locally authored histories and scholarship† (pg. 2). i.The Spanish identity came out of years of political and social suppression. Nuevomexicanos wanted to define their racial identity, and by identifying with their Spanish origins they could argue their â€Å"purity of blood† and distinguish themselves from being â€Å"Indian† or â€Å"Anglo†, claiming identity to their European roots which was racially white, and moving away from their ‘mixed-blood Mexican immigrant identity, yet identify with their attachment to the land (by way of conquest) (pg. 16-17). ii. In summary, there was no such thing as a Spanish American identity.This was a mythical race that Nuevomexicanos created for their benefit. Nuevomexicanos hung to their Spanish roots because it gave them the power to identitify with their European roots, disassociate themselves from their Indian and Mexican immigrant roots, and still gain the privilege of enjoying social and civic equality with Anglo Americans (pg. 16). II. The White perception of Nuevomexicanos during the immediate years following the Mexican-American War. a. Anlgo’s questioned as to whether or not the Mexican-Ame rican people of New Mexico were ‘fit’ enough to be granted full U.S. -citizenship. i. The media of the time was a great example of how Anlgo’s viewed Neuvomexicanos. They mentioned how Mexicans â€Å"still â€Å"professed a deep hostility to American ideas and American policies. † Rather than assimilating into the nation cultural and political mainstream, the newspaper noted, these Mexicans stubbornly clung to their habits, political affiliations, and semipagan religious practices; they abhorred all things â€Å"American† and had little resolve to show their patriotism during the war . . (pg. 1). † 1. Anglo’s felt that Mexican’s would never be able to be loyal to the American government, and therefore they should not be granted U. S. citizenship. The media only added to this notion. b. Mexicans, because they were a mixed race, were also viewed as rebels and ‘political subversives’, and many U. S. officials such as S enator John C. Calhoun felt that they had â€Å"inherited the worst characteristics of both races, and to be â€Å"unfit† for U. S. citizenship or for self-government† (pg. 53). i.To many US Anglos, Mexicans were biologically predisposed to be savages and incapable of being loyal citizens to the United States. III. White’s views of Nuevomexicanos, New Mexico and statehood, and white migration and tourism to New Mexico. a. When Nuevomexicanos began to take claim to their â€Å"Spanish† European race, and attempt to move away from their Indian or Mexican identity, Anglo’s began to be more accepting of the state and its people. i. â€Å"The statehood debate illustrates how racial perceptions and relations played a major role in the formation of the Spanish American consciousness† (pg. 3). 1. Representative Joseph M. Root lobbied for New Mexico to gain statehood and he said how â€Å"Their race or â€Å"blood mixture† was of little conse quence to their ability to govern† (pg. 56). ii. New York Representative William H. Seward was a vocal supporter for New Mexico, and he said a speech referencing Nuevomexicanos to their Spanish roots. 1. â€Å"By praising the Spanish colonial past, Seward implied that New Mexico’s Indians and Nuevomexicanos heralded from a genteel, colonial society characterized by Christianity and racial order† (pg. 7). b. Nuevomexicanos began to redefine themselves as â€Å"Spanish† in ethnic origin and â€Å"American† in nationality (pg. 92). i. Other Anglos who were collaborating with Nuevomexicanos for their acceptance into statehood emphasized their Spanish American identity and â€Å"transformed New Mexico into the tourist capital of the Southwest, a Mecca for â€Å"American† immigrants and visitors who delighted in Spanish and Indian cultures† (pg. 2). 1.By Nuevomexicanos adopting a Spanish American identity, they not only gained support from o ther Anglo leaders, but they were also socially accepted and their ethnic background became a new tourist attraction for other Americans to come and see. IV. Romanticization of the Spanish past by Hispanophilia. a. â€Å"Hispanophilia was born of a desire to return to a simpler way of life that, in fact, had never been all that simple . . . It was an ideology (pg. 147). i. This was a way for the Spanish Americans to be proud of their racial background, yet at the same grounds have the acceptance they desired from the Anglos. . Many US Anglos from other states still feared the rumors about Mexicans and their violent characteristics. In an effort to move away from such misconceptions, Nuevomexicanos with the help of boosters, promoted their Spanish American identity, which then gave birth to Hispanophilia. This notion allowed them to create a â€Å"fantasy heritage† that was acceptable for Anglos and yet gave them the ‘acceptable means of defining their historical identi ty’ (pg. 148) V. Nuevomexicanos and their Spanish American Identity a.Nuevomexicanos used their new Spanish American identity to their advantage, for it was their only way of regaining control over their ‘declining political fortunes, land base, and language’ (pg. 148). i. From Hispanophilia came the birth of Hispanidad. 1. â€Å"Hispanidad entailed claiming ownership, most notably, of Hispanic heritage, language, values, beliefs, and culture† (pg. 171). ii. They also came to use this to their advantage by demonstrating how Spanish Americans were equal to Anglos in racial hierarchy, yet they kept their Spanish distinction from that of the Anglo’s.

Wednesday, July 17, 2019

“A Modest Proposal” by Jonathan Swift Essay

The search, A Modest Proposal by Jonathan sprightly is a satirical composition that discussed, in great detail, the fill ins surrounding eighteenth century society as it pushed frontward development as society turn oered, somewhat(prenominal) techno luculently and socially. The essay contained a low-pitched, albeit radical, project from spry, wherein he tried to provide a rational solution to the problem of change magnitude population, scarcity, and meagerness in his society to a lower place the British rule.Among swifts modest strategys were the imposition of polygamy among humans, wherein one Male sic leave be posterior be sufficient to serve quaternity Females, and the work of bearing children as Food, which he identified to be very comme il faut for Landlords. These propositions provided a glimpse into the social problems nimbles society experienced during his time, wherein despic equal g all overnance, in order to be alleviated, was mulish through what S wift considered to be abnormal and inhumane practices. Proposing these deviant and inhumane practices was a demonstration of the increased demoralization among the citizens of Swifts society, a state which the agent deemed to be overly outrageous to be true plainly is actually occurring.Hence, in order to address these outrageous to that degree unconfronted social problems and issues, Swifts essay generated the attention it deserved and warranted, at that placefore reservation the readers and the essays target audition aw argon of the social state at which their unsophisticated found itself in. Swifts essay, in effect, drove home the detail that in the midst of social progress and development, moral demoralization occurred as a consequence, defeating the purpose of development and progress in the society.A Modest Proposal by Jonathan Swift EssayHow does Swift under spend a penny to make his readers aware of the problems in Ireland with his pathway? To what extent do you think he succeeds? Satire a mode of physical composition that exposes the failings of individuals, institutions, or societies to ridicule and scorn. The modest marriage offer was considered one of the finest frames of satire in almsgiving literature and was published as a piece of ground in 1729 in Ireland aimed at mainly the middle/ upper split of Ireland. The reasons for Swifts outlandish and appalling parcel of land were to argue that the problem of poverty in Ireland give the bounce be outflank remedied by selling the babies of the less fortunate as food for the wealthy.He redact forward his compositions in a pamphlet as this was a common method to publish an argument or in the public treatise arena. There was an issue of in addition m each Protestants becoming quarrelsome over the Irish religious issues and something had to be through to resolve the complaints. This is where Swifts purpose came into action as it addressed the issue and played on peoples prejud ices and stereotypes of the Catholics and the Irish creation inhumane creatures. The proffer rout out be perceived as barbaric, endnibalistic and outrageous whereas some pull up stakes see the logic behind it and how it go forth actually work.In the whole pamphlet he uses irony constantly to enter satire and to horrify the public but sometimes you cannot always see the near behind the writing. Swift sets up the proposal by full-grown the reader an s surfaceness into what someone might see as they walk through a township in Ireland in 1729. He describes the town (Dublin) as great in the origin paragraph but then carries on by saying that the streets are displace with beggars of the female sex, followed by three, four or six children. He is putting the country down by writing slightly the streets swarmed with beggars.This tells the reader that he doesnt compar sufficient where the country is going as in poverty and homeless people. He is very blasi when mentioning th e beggars children as if they take for grantedt care near them and cant even keep hang back of their offspring. He is describing a place where there is a problem and it takes to be fixed. When mentioning the women with several hungry and light children, he trusts the reader to feel sorry for them. If he can engage the reader with moving images then they allow for be keen to agree with the proposal.When talk close to the number of children the women are having he doesnt emergency to make people feel harmonic or even think that they are stupid for having so many children and not macrocosm able to raise them. He is playing on stereotypes of anti-catholic Protestants because Catholics do not believe in contraception so they give conceive more children than Protestants disregardless if they can or cannot support them. Swift is highlighting a problem which he thinks can be resolved.He starts to bod up to the proposal by giving hints along the way like in paragraph 3 when he says and shall take in the whole number at a certain age, who are born(p) of parents in effect as precise able to support them. This sentence must make the reader puzzled as to what is going to follow round poor and helpless children who cannot be raised by their parents. Paragraph 4 is where Swift reveals the base idea of the proposal by talking to the highest degree how much it is to raise a impair until the age of one form for a poor begging family.He says that it would cost no less than 2 shillings as the small fry would feed on its mothers breast milk. When it does match that age then the baby can be s aged(prenominal) to feed and coiffe the many thousand Irish sooner than the child becoming a warhead to its parents as they will not be able to feed them much longer. I think that Swift writes this with a composed tone even though the study he is proposing is a sensitive sphere to the people who are reading it. He could learn utilize some perception rather th an becoming so reserved.In paragraph 5 he starts stating the advantages of the scheme like preventing voluntary abortions and that horrid practice of women murdering their bastard children. For some, this will emphasise the savage animalistic nature of the Irish. This is where Swift becomes high-pressure and tries to persuade the reader that his proposal can solve these unfortunate mishaps right because the families these children are born into cannot support them. In paragraph 6, Swift uses statistics to rationalise his argument. In this character he writes very bluntly without any emotion at all.He starts cipher the keep down of women who will be used as breeders and those who will be able to support their children. He then calculates the amount of breeders in Ireland and minuses the amount of miscarriages. Its tidy that he does use statistics because otherwise the reader will not be able to imagine how you can put this course of study into action to solve the problem of to o many poor Catholics in Ireland. By using statistics he could win the readers over because they are very logical and innocent ways of thinking. He weighs out the factors that could coin the breeders.He uses the term breeders as substitute names for the wives who will be producing the children. This is boisterous and inhumane as you would normally attendant breeders as animals or cattle. If Swift didnt use statistics then the readers would not be convinced as to how such a plan would work. In A modest proposal Swift uses a lot of irony in his writing. rough examples of this is when Swift says that 12 year old boys and girls could be sold as an secondary to deer however the reason he changed his mind was because they wouldnt be charge much money for their join.This is because they will have to be fed alot more than a one year old baby as they are growing and need to have some fat and meat on them to be used as food. They would be expensive to breed, clothe and feed. He neer gives the full proposal in the basic paragraphs which builds suspense as you want to know more and ask questions about why he is doing what he is and when will this happen. Swift reveals his proposal in paragraph 9 and 10 by mentioning a very knowing American of my experience in London which implies that he is blaming the theory on someone before he even starts.He says that this man told him that a young healthy child well nursed, is, at a year old, a just about delicious nourishing and solid food. This root would have most probably shocked all readers because they would never think of eating babies however Swift would see it as comical because it is a ridiculous idea in the first place. He then adds to the fearful idea of eating children by listing some of the ways to cook them This is where Swift is being satirical and humorous because he would never cook a child in a fricasie, or a ragout. It was just to shock the audience.In paragraph 10 he tells you how he would go abou t reserving women for breeding purposes only and how the males will be made to breed and not be allowed to create a bond with the women. It would be like a production line which would be similar to sheep, black cattle, or swine. He refers to them as savages which is very cauterise and unsympathetic. Swift then talks about how many people one baby will feed and how many it will entertain. He says that a child will make two dishes for friends and for a family meal they can use the fore hind quarter will make a reasonable dish.He talks about the baby as if it is any piece of meat. He wants the audience to feel that he is very blasi about the situation and that he doesnt care that he is dehumanising the Irish in such a horrific way. I think that the way he is so unloving about the women being used as baby machines is marvellous but the only reason he is removing the love is to show the lack of humanity given to the Irish. The objective is to lessen the amounts of papists which is an opprobrious and racist term given which plays on peoples prejudices of the Irish. He takes anti-catholic/Irish sentiment to its logical conclusion.