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Saturday, August 31, 2019

Naturalism in Jack Londons “To Build a Fire” Essay

Even with our ability to tame some sides of nature, there are still certain conditions and forces which are beyond control; we inevitably are left with no will, powerless against nature’s indifferent influence. This struggle against nature is depicted by many authors of the 19th and early 20th centuries, using key concepts of naturalism and determinism, a key component of naturalist theory, as a foundation and philosophy for many of these stories. Jack London and Stephen Crane are notorious for their writings which have been regarded as cornerstones of naturalist theory in classic American literature. Stories such as â€Å"to Build a Fire†, â€Å"The Bride Comes to Yellow Sky†, convey themes of naturalism and universal determinism in order to show the protagonist’s lack of free will in his constant battle with nature, often foreshadowing catastrophe and displaying natural instinct found within each character. In theory of Naturalism, nature holds certain p recepts that even our own will and integrity cannot bend or break. Charles Darwin, creator of the theory of evolution, believed in patterns of natural selection and that over time our environment will shape our genetics. Even we as humans, in Darwin theory, are susceptible to change as we have no free will and our environment shapes and determine things for us. We in speculation have no control over our own fates; we only have choices that will lead us towards a certain future, one that is decided by nature, and not the individual. In the story, â€Å"To Build a Fire†, London makes us aware that the protagonist is completely unaware of that notion, he believes with his own determination and will he can conquer the deepest hardships of the wild, attempting to defy the words spoken to him by the old man at Sulphur Creek. The adventurer simply believes through his own resolve that this expedition is simply an obstacle to which he can survive, but when set against nature in this environment, survival is the key concept, a profound element when talking about Naturalism. The forces of nature and its destructiveness are beyond the protagonist’s control, and London makes that point when he talks about the cold and its effects on the explorer, saying â€Å"But, rub as he would, the instant he stopped his cheekbones were numb, and the following instant the end of his nose went numb.†(London, pg 1064) Though the man, through his own determination, attempts to warm himself by  rubbing his cheeks and the end of his nose with his mitten, he is unable to fulfill this desire, as nature takes hold of his destiny. This sense that nature prevails can also be read in lines such as â€Å"He pulled the mitten on the right hand, and beat it fiercely against his knee† (London, pg 1064) He is essentially fighting, savagely, against nature though is unable to triumph. It is somewhere between his spittle freezing and his face forming frostbite that the man should come to some conclusion about his place in nature. Yet as London described before, his inability to recognize the â€Å"significance† of nature and her power puts him in an awful position. His conceit will continue to lead him towards a desolate and bleak future, until finally he will become helpless and feeble amongst the supremacy of nature. It is important to note that the first incident sprung on to the character in this story is passed off as something of bad luck, â€Å"He cursed his luck aloud†(London, pg 1063 ). The word luck whether bad or good, implicates his lack of free will, luck is something not controlled by him, as suggested by the naturalist theory. It is even more important to take note of phrasing used in his second and most devastating incident. London uses the phrase, â€Å"It was his own fault or, rather his mistake†(London, pg 1062) when describing the occasion when the spruce tree collapses onto his final chances for survival. London follows fault with mistake in order to convey to the reader that his fault would mean him bearing responsibility, rather it is then stated as a mistake, meaning an incident a bit more outside of his control. In the naturalist theory there are choices, but all choices lead towards certain predetermined futures. The man made the ill-fated decision to build his fire under the tree shrouded in tons of snow, just as all through the story he has been continually attempting to overcome nature’s wrath throughout the story. His conceit had caught up with him as nature took control of the mistake and extinguished his only chances of making it out alive. Survival as mentioned before is a key concept of Naturalism, it is vital in the struggle against nature, in order to beat the unfavorabl e conditions of nature, one must survive. In order to survive one must have keen instincts to thrive in the wild, and in the story, London uses the man’s mammal companion and his owner, in order to show this necessity for instinct. The protagonist has a certain level of intellect, which gets him by, yet he still needs matches to create his fire  and he needs a map in order to guide him to certain locations, all which exercise ones intellect. None of these require instinct, only a certain methodology and knowledge of the items. In the sense of his intellect as opposed to the dog’s instinct, the man’s knowledge of his complicated tools can only take him so far, but eventually lead to error, such as his fingers becoming too numb to strike his matches to create a fire. The dog on the other hand is able to rely solely on instinct in order to overcome the veracity of nature, such as burying itself into the snow when it becomes cold or gnawing the ice between its extremities. Although the man cannot rely on fur in order to keep his warmth, London still shows us that the instinct of the dog prevails the man’s subpar intellect. London even agrees upon the statement, â€Å"This man did not know co ld. Possibly all the generations of his ancestry had been ignorant of cold, of real cold, of cold one hundred and seven degrees below freezing-point. But the dog knew; all its ancestry knew and it had inherited the knowledge.†(London, pg 1061) If the man had similar instinct as the dog and understood the severity of the cold, he could have been more cautious in his approach and possibly survived the misfortunes to come or not even have began the expedition of impending doom. Though the man took his intellect for granted, if his instinct were stronger he would have known not to build his fire under the tree. His method had led him thus far and would eventually lead him to death, as the dog would survive and using his instincts to find the nearest suppliers of food and fire. In Crane’s novel, â€Å"The Bride Comes to Yellow Sky†, Crane has set up an environment which contrast the more natural element of the Yukon in â€Å"To Build a Fire†. The story revolves around a more civil setting, with the town of Yellow Sky which serves as a reflection of the old west. Coming back to the notion of determinism, it can be found that every character has a notable lack of free will amongst society. Even at the beginning of the story the protagonist, Jack Potter, is on a train which is very symbolic of his lack of free will, a continuous and predetermined path. Also we get a sense of the influence of nature on Jack as the story depicts , â€Å"The m an’s face was reddened from many days in the wind and sun, and a direct result of his new black clothes was that his brick-colored hands were constantly performing in a most conscious fashion†.(Crane) As the story progresses the reader is informed of Jack’s current condition, to which he  has claimed to have â€Å"gone headlong over all the social hedges†( Crane ) This custom of going against social norms describes yet another characteristic of naturalism, just as in London’s story, we see a man who defies advice and travels into the heart of the Yukon alone. Also this defiance of social values shows the animal like instinct within Potter, whether he was acting out of lust or loneliness, he resorted to some â€Å"sharp impulse† which presents an instinct within himself, one not well thought out. He is nervous in his approach towards home and his attempt to exercise free will has proved disheartening as he fears what others might think of his illicit behavior. He is confined and his will is broken. As the perspective switches to Yellow Sky we see a town very much stuck in the tradition of the old west. With the social conventions surrounding Yellow Sky, society have again proved as an authoritive and dominating control. The town is almost dictated by societal customs, such as the closing of the saloon when scratchy strolls through befuddled and bellicose. This is routine for the town as the bar tender mentions â€Å"No, he can’t break down that door,† replied the barkeeper. â€Å"He’s tried it three times.†(Crane) Almost satirizing the idea of the old west as nobody is that distraught except for the drummer from the east. This act of Scratchy continuously terrorizing the town gives us the idea of the force of social conventions and their plight upon the town. Determinism dictates the town as they wait while Scratchy displays his power and for their sheriff to eventually show up and smother Scratchy’s hostility. When Jack shows up with his new bride it can be inferred that Crane introduces the hero aspect detailed in the theme of naturalism. Throughout the book we see a man who is quite nervous and hesitant around his bride, but when pitted against his old adversary Scratchy, Jack takes up the role of the hero. When approached by Scratchy he is vulnerable and relates this to scratchy when he says, â€Å"You know I fight when it comes to fighting, Scratchy Wilson, but I ain’t got a gun on me. You’ll have to do all the shootin’ yourself.†(Crane) Throughout the story we see that Jack has a hindered sense of free will as he frets over societies view of himself and it is t hen foreshadowed he will encounter his long time foe Scratchy who dictates Jacks everyday job as Sheriff. But it is here at the end that we see Jack triumph over these social concerns by sacrificing himself and then overcoming Scratchy. By the end of the story we Jack as the ideal naturalist  hero, one who has overcome the dilemmas of the natural world. Naturalism is an idea that can explain many aspects of society. For instance the very reason I write this paper is to earn a degree that I must obtain in order to live a better life in the future, whether or not it is truley what I want to pursue. There are non-fictional accounts of men whom have abandoned the tyranny and mediocrity of their society and entered the wild only to gain a freedom they’ve never had, some of whom are inspired by these naturalistic writers. London and Crane give their readers a sense of what nature holds, often conveying how wonderfully aesthetic the natural world can be. It is possible to learn from naturalism and the literature that surrounds it, to understand how powerful nature is and how corrupt society has become. All of our naturalistic heroes whether fictional or non fictional, depart this life in a similar manner. They pass fighting the wilderness, conquering society, or stepping outside of their own confines and crossing new bounds. When they depart this life it is death by surviving in the natural world, a place where only few truths in this world are found. In the midst of their last moments, they slip into the most comfortable sleep they have ever known.

Friday, August 30, 2019

Modern Hebrew Literature Essay

In addition to writing traditional rabbinic literature in Hebrew, modern Jews developed new forms of fiction, poetry, and essay-writing, which are typically called â€Å"Modern Hebrew Literature.† Eighteenth Century Moses Hayyim Luzzatto’s allegorical drama â€Å"La-Yesharim Tehillah† (1743) may be regarded as the first product of modern Hebrew literature. It has been referred to as â€Å"a poem that in its classic perfection of style is second only to the Bible.† Luzzatto’s pupil in Amsterdam, David Franco Mendes (1713–92), in his imitations of Jean Racine (â€Å"Gemul ‘Atalyah†) and of Metastasio (â€Å"Yehudit†), continued his master’s work, though his works are not as respected as were Luzzatto’s. Alsi in the eighteenth century, the Haskalah (Jewish enlightenment) movement worked to achieve political emancipation for Jews in Europe. Moses Mendelssohn’s translation of the Hebrew Bible into German inspired interest in the Hebrew language that led to the founding of a quarterly review written in Hebrew. Other periodicals followed. Poetry by Naphtali Hirz Wessely such as â€Å"Shire Tif’eret,† or â€Å"Mos iade,† made Wessely, so to speak, poet laureate of the period. Nineteenth Century In nineteenth-century Galicia, poets, scholars, and popular writers who contributed to the dissemination of Hebrew and to the emancipation of the Jews of Galicia included: †¢Nachman Krochmal (1785–1840), a philosopher, theologian, and historian. †¢Solomon Judah Loeb Rapoport (1790–1867), a rabbi, poet, and biographer †¢Isaac Erter (1792–1841), a satirical poet whose collection of essays, â€Å"Ha-Tzofeh le-Bet Yisrael,† is one of the purest works of modern Hebrew literature, attacking Hasidic superstitions and prejudices in a vigorous and classical style. †¢Meir Halevy Letteris (1800–1871), a lyric poet also known for his adaption of Goethe’s Faust into Hebrew. In Amsterdam, a circle of Hebrew-language literary artists emerged in the nineteenth century, including the poet Samuel Molder (1789–1862). Prague became an active center for the Haskalah in the nineteenth century, and the best known among the Haskalah writer s there was Jehudah Loeb Jeiteles (1773–1838), author of witty epigrams (â€Å"Bene ha-Ne’urim†) and of works directed against Hasidism and against superstition. In Hungary, Hebrew-language authors included Solomon Lewison of Moor (1789–1822), author of â€Å"Melitzat Yeshurun† Gabriel Sà ¼dfeld, a poet who was the father of Max Nordau; and the poet Simon Bacher. A notable Jewish author in Romania during the nineteenth century was the physician and writer Julius Barasch. Italian Jews of the nineteenth-century who wrote in Hebrew included I. S. Reggio (1784–1854), Joseph Almanzi, Hayyim Salomon, Samuel Vita Lolli (1788–1843). Another figure of note was Rachel Morpurgo (1790–1860), who was one of the few female writers in the Haskalah movement, and whose poems have been described as characterized by â€Å"religious piety and a mystic faith in Israel’s future.† The best known Italian writer was Samuel David Luzzatto (1800–65) was the first modern writer to introduce religious romanticism into Hebrew and to attack northern rationalism in the name of religious and national feeling. Prominent Hebrew writers in the Russian empire in the nineteenth century included: †¢the poet and mathematician Jacob Eichenbaum (1796–1861) †¢the Haskalah leader Isaac Baer Levinsohn †¢Kalman Schulman (1826–1900), who introduced the romantic form into Hebrew †¢the romantic poet Micah Joseph Lebensohn (1828–52) †¢the Lithuanian author Mordecai Aaron Ginzburg, known as â€Å"the father of prose† †¢Lithuanian poet Abraham Baer Lebensohn, known as the â€Å"father of poetry,† whose poems â€Å"Shire Sefat Kodesh† were extraordinarily successful. †¢Abraham Mapu (1808–67), the creator of the Hebrew novel, whose historical romance â€Å"Ahabat Tziyyon† exercised an important influence on the development of Hebrew. The poet Judah Leib Gordon, also known as â€Å"Leon Gordon† (1831–1892), was a well-known satirical poet who has been characterized as â€Å"an implacable enemy of the Rabbis.† Twentieth Century As Zionist settlement in Palestine intensified at the start of the twentieth century, Hebrew became the shared language of the various Jewish immigrant communities. Eliezer Ben-Yehuda in particular worked to adapt Hebrew to the needs of the modern world, turning to Hebrew sources from all periods to develop a language that went beyond the sacred and was capable of articulating the modern experience. Hayim Nahman Bialik (1873–1934) was one of the pioneers of modern Hebrew poets and came to be recognized as Israel’s national poet. Bialik contributed significantly to the revival of the Hebrew language, which before his days existed primarily as an ancient, scholarly tongue. His influence is felt deeply in all modern Hebrew literature. Bialik, like other great literary figures from the early part of the 20th century such as Ahad Ha-Am and Tchernichovsky, spent his last years in Tel Aviv, exerting a great influence on younger Hebrew writers. The foundations of modern Israeli writing were laid by a group of literary pioneers from the Second Aliyah including Shmuel Yosef Agnon, Moshe Smilansky, Yosef Haim Brenner, David Shimoni and Jacob Fichman. In contrast, Yitzhaq Shami, was a native of Palestine, and he holds a unique place in Hebrew literature, since his work is also recognized as Palestinian literature. In 1966, Agnon won the Nobel Prize for Literature for novels and short stories that employ a unique blend of biblical, Talmudic and modern Hebrew. Literary translators into Modern Hebrew, most notably Leah Goldberg among others, also contributed a great deal to Israeli-Hebrew literature through bringing international literature and literary figures into Hebrew circles through translation. Goldberg herself was also noted for being a prolific writer and pioneer of Israeli children’s literature as well.

Thursday, August 29, 2019

Hills Like White Elephants, Symbolism and Theme, Ernest Hemingway Research Paper

Hills Like White Elephants, Symbolism and Theme, Ernest Hemingway - Research Paper Example The two characters exchanged words without giving a clue to what they were really talking about so that the reader is left to make his/her own story based on the judgment made from the conversations. Looking at the style of Hemmingway in presenting the story, symbolism could be a more magnified element the author wants the reader to be directed to. Analyzing the story, an individual’s attention is brought to the title of the story as well as the mention of the white elephants in the story. The opening sentence ‘The hills across the valley of the Erbo were long and white’, offers symbolisms right away. Valley symbolizes fecundity (Fraim) and hills, with their rising form represent pregnancy. Thus, the story suggests that the woman in the story is pregnant which is of course not specifically mentioned. The theme of the story will be based on such an interpretation as other symbolisms will be noted in the following discussions. According to Buddhism, an elephant symb olizes strength and steadfastness (Choskyi). Thus, it could be said that the theme of the story is about these symbolic characteristics of an elephant as made out from the conversations of the main characters.

Wednesday, August 28, 2019

Homosexuality Research Paper Example | Topics and Well Written Essays - 1750 words

Homosexuality - Research Paper Example Many primitive peoples believed that with his seed man sends the boy to the most valuable properties - bravery, courage, etc. It was thought that it facilitates the growth of boys and that they passed through the mans strength. Symbolic ritual has been the basis of the idea of spiritual through fertilization. In some societies, sexual relations between adolescent boys were considered to be normal and even mandatory throughout the transition age. The oldest forms of homosexuality were related to military training. In ancient Crete, and in 7 BC in Corinth there was a custom of abduction of the boys adult men who entered the teenager in a mans union, sexual initiation was combined with military training, after which the boy that has arms was back home. In ancient Sparta every boy between twelve and sixteen must have an adult patron, military glory of which extends to the boy. If the boy showed cowardice in battle, is punished for his patron. (Burg, 2001, p104) In Athens, the Classical period, when the ancient tradition of male alliances and military fraternity had already been undermined, to the forefront came other values, in particular, emotional closeness. Historians explain this by the hypertrophy of masculinity in ancient Greek culture and the dependent status of women. The ideal of love in same-Socrates and Plato are closely linked with the idea of raising the boy and the transfer of experience of senior men. â€Å"In late antiquity, when the motivation waning or it turns out its elusive homosexual love loses its privileged position and is seen simply as a form of eroticism†. (Burg, 2001, p104) However, homosexual love was not able to be the dominant form of sexuality. First, it is not conducive to procreation. Secondly, it is marginal in relation to the institution of marriage and family values. And third, the male community, as a rule, is

Tuesday, August 27, 2019

Project Management Mock Exam Paper Essay Example | Topics and Well Written Essays - 2500 words

Project Management Mock Exam Paper - Essay Example â€Å"The benefit of utilising and understanding Belbin Team Roles is that not only do we learn more about ourselves, but also a lot about our work colleagues and how to get the best out of them† (â€Å"Belbin Team-Role Theory,† 2011, pgh. 3). In Belbin’s theory, his specified team roles help delineate what kind of worker each person is within a group setting at work. It is obvious from the â€Å"Belbin Team-Role Summary Sheet† that every individual contributing in a group—either as a plant, a resource investigator, a coordinator, a shaper, a monitor evaluator, a teamworker, an implementer, a completer finisher, or a specialist—has particular strengths and weaknesses (2011, pp. 1). ... Teamworkers are People-Oriented Roles. Teamworkers want to make the flow of the group smooth, and will do anything to be cooperative. In fact, they will go out of their way to make any project operate like a well-oiled machine. Teamworkers are diplomatic. Not only do they avoid friction and drama, but they try to build a team instead of break it down. Typical teamworkers will always try to repair any fractures within the infrastructure of the team. Teamworkers are good to have around because they are beneficial alliances in the event that other workers are upset with the manager. Specialists are Thought-Oriented Roles. Specialists are self-starting, dedicated types who evaluates research. Additionally, this person finds specialized information that is difficult to find. The weakness of a specialist is that he or she tends to get weighed down in technicalities. These prevent him or her from becoming an integral part of any team. Although the specialist’s skills are invaluable, he or she might have to be dropped from the team if he or she cannot get past the fact that it is important to coordinate with the other team members. Without doing this, the team will not be supported and could have other additional problems—thus ruining the teamwork. iii) Imagine an unbalanced team was formed in the group project, e.g. lack of one group type in the project team. What happens then? (329 words) Basically, Belbin’s theory of team-roles definitely seemed to make sense. Even in the face of an unbalanced team, various people can step up into place in order to take leadership in the team. One of the group members on the team who would be a specialist—having specific knowledge about the activity trying to be

Monday, August 26, 2019

Are Labor Unions Necessary Research Paper Example | Topics and Well Written Essays - 2000 words

Are Labor Unions Necessary - Research Paper Example Labor unions have been recognized for the unrelenting fight for the social welfare of the workers. In a number of countries, governments have succumbed to the pressure of labor unions to raise the living standards for their workers. In the past, the public sector employees and political parties formed the majority of the labor unions population. Workers in the public sector are many, and they cannot individually fight for their interests at work. This, therefore, necessitates the use of labor movements that act as the representative of their interests. According to the AFL-CIO, trade unions have been experiencing a decline from the onset of the 21st century because many employers, especially in the private sector, have endeavored to provide the best working conditions for the employees. In the public sector, however, trade unions have remained the single fighting voice for most of the employees due to their numbers. Major companies have stressed the need for national governments to r espect the rights of workers, raise their minimum wage rates and provide a better working environment (Meng 1638).These countries include India and China that are currently experiencing an increasing trend in production. Many companies have relocated their manufacturing operations to countries like China because of the low cost of production probably resulting from the low cost of labor (O'Grady et al.). These countries experience more labor union actions than more developed countries because of the dilapidated working conditions.

Sunday, August 25, 2019

Intercultural Conflict Analysis Essay Example | Topics and Well Written Essays - 1750 words

Intercultural Conflict Analysis - Essay Example Millions of immigrants go to foreign nations every year to find work and living. Labor immigration has become an important aspect to discuss in the world today because of the number of people, states and issues surrounding it. Million of foreign workers seek work in foreign countries such as oil-rich Saudi Arabia and Gulf States as well as the United States of America. According to the Bureau of Manpower, Employment and Training in Bangladesh, the number of immigrants migrating to Gulf Cooperation Council between 1976 and 2009 are over 5 million. Saudi Arabia and United States are the topmost destinations. International labor market migration has increased in the recent past with countries such as Japan, Lebanon, Malaysia, Singapore and Mauritius being the newest destination. The rise in international labor market has resulted in an increased complexity with respect to political and human right challenges. As governments struggle in the face of increased political pressure to exercise vigilance in exercising rights and wellbeing of its citizens, conflicts seem to be increasing also. Issues of migrant worker exploitation and increased prejudice against migrant workers, with the later exerting more pressure on the already unpredictable overseas human capital markets. According to International Labor Organization (ILO), the concept of labor exploitation can be understood as rejection of the specific rights pertaining to the immigrant labor in contrast to the guidelines set by National Labor Laws. Labor exploitation includes maltreatment of labor, physical torture & abuse, sexual abuse from employers along with mental and psychological torture among others .

Saturday, August 24, 2019

Idealism vs. Realism Essay Example | Topics and Well Written Essays - 750 words

Idealism vs. Realism - Essay Example The study proposes to employ an analytical descriptive approach to trace the elements of morality and immorality in the views of Niccolo Machiavelli and Martin Luther King with reference to the works mentioned. According to Machiavelli, institutional and dictatorial authorities are part of the ruling of a principality. A leader has to adopt pragmatic solutions to the disruptions among people. His statement that â€Å"all armed prophets have been victorious, and all unarmed prophets have been destroyed† (26) shed light on his belief that it is necessary to resort to force to gain and maintain power. The governance of the populace will thus fall in the hands of the powerful rulers who cater to the needs of the majority in most cases to please them. However, Machiavelli foresees instances where the majority too will have to be suppressed when they rise against the interests of the sovereignty: †¦let it here be noted that men are either to be kindly treated, or utterly crushed, since they can revenge lighter injuries, but not graver. Therefore the injury we do to a man should be of a sort to leave no fear of reprisals (9). The suggestions to use extreme measures to crush the popular movements against the regime and even to behead their leaders (33) to frighten and calm down the followers exhibits the cold, clinical approach Machiavelli adopts to analyze the governance of principalities. The lack of morality owes much to the realist stance he takes on the issues which call for mutual understanding. He is not worried by the idealistic aspects of morality and justice in the deeds of princes, since the ultimate aim of his narrative is to harden the conscience of them so as to procure and sustain power. The amoral, totalitarian views presented in The Prince have in fact attributed a diabolic identity to Machiavelli, underlying his lack of concern for morality. Martin Luther King shows his strong disappointment towards the

Friday, August 23, 2019

Economic Analysis of Patented Drugs vs. Generic Drugs Research Paper

Economic Analysis of Patented Drugs vs. Generic Drugs - Research Paper Example As for example, phenytoin which is the common name and Dilantin is the business name for a single drug. When one drug is in rights security, the company sells it with its business name. When a drug is out of the patent protection (no longer protected by patent), the company may sell the products under whichever name they want common name or business name. Other companies which file for authorization to sell that off-patent drug have to use the similar common name but have the freedom to use their own trade name. This results in drugs to be sold in the same generic name but multiple trade names. (Aronsson et al. 2001) General drugs are remedies that are known by the chemical formulae instead of their brand, or business name. Most of the people, as for example, know the brand title Valium, however the common name of the anxiety defiant drug is diazepam. (Mehta & Mehta, 1997) In the most cases, most drugs are likewise as efficient as brand-name remedies. They too are typically lesser ex pensive than the brand names, frequently as a great deal as 50 % or more. What is the reason behind this? (Mehta & Mehta, 1997; Aronsson et al. Pharmaceutical industries spend a lot of time (usually a decade or more) and cash—generally more money than $300 million—to research, develop, produce, and marketing a brand new drug. Which results in, if the efforts become positive, the brand-name drug which is patented plus sold solely under a particular business name for seventeen years, which permits the industry get back more money than it invested. As a patent runs out, or there is not any patent at all, other industries can produce and market that drug with the drug’s common name or with other brand names. ... As a patent runs out, or there is not any patent at all, other industries can produce and market that drug with the drug’s common name or with other brand names. Other industries don’t need to invest the time and wealth to get the actual drug to the market. Therefore, they can sell the drug at a lower cost. (Mehta & Mehta, 1997; Aronsson et al., 2001) Economic analysis of patent protection versus generic drugs: The limit of the patent security in helping the mechanisms for making novel remedies not supposed to be minimized. To get a fresh prescription remedy in the market, industries of pharmaceutics must beat several obstacles including large investments for researching and development (R&D), authoritarian scrutiny very importantly scientific trustworthiness corresponding the protection and effectiveness of that fresh drug. To attain this, companies continuously search for fresh compounds having medicinal power. When a brand new, hopeful substance is found, the industr y files a request for patent security while it goes through different levels of Research and Development. Current estimations of the expense of developing a fresh drug is ranged between $230 million and $500 million prior to the remedy can be marketed. (Mehta & Mehta, 1997) Getting patent security for a particular remedy, the industry has the power to set the price as per wish; without contest, no descending pressure is there upon the price from different probable drug providers. The monopoly supremacy gained from that patent protection gives inducement for drug industries to put in a big capital needed for Research and Development by permitting them in earning much more than the possible result in more contesting market. With no

LLB Company Law Coursework Example | Topics and Well Written Essays - 2500 words

LLB Company Law - Coursework Example In answering the questions of the case, the paper will first present a thorough view of the form of private limited companies in order to advise Emma. She will be told about the advantages and disadvantages of them, and why it should be opted over partnership. The second part of this paper will advise Chris and David on whether they can go against the articles written down in their Articles of Association. If they can, then how they can go about it and if not, then what other options and alternatives they have will be considered. Private limited companies are often compared with either partnership which is one step behind or public limited companies which are a step forward. This means that if there are two or more people starting a company, they can either opt for partnership or a private limited company. They can also form a public limited company directly but it is ideal and normal to move to a plc from a private limited. Companies are usually started as private limited and then are gone public or 'floated' (Bendrey et al, 2004). A private limited company or Ltd. is a form of organization which is a legal entity. It is not only a legal entity but a separate legal entity. This means that company is separate from the shareholders. In other words, the company exists in its own rights and not through the shareholder (Carysforth, 2004). This is further explained as the concept of Limited Liability which will be discussed in detail later. Furthermore, the owners of the company are also the shareholders of the company (Carysforth, 2004). This means that in order to become owners, shares of the company need to be owned. The amount of shares held in the company can change with time and so can the number of shareholders, with no limit to them (Carysforth, 2009). Shares are sold to raise capital in a Ltd. The name suggests that shares are only sold privately and are not listed on the stock exchange. In order for a company to become a private limited company, many different legal requirements have to be met. Each of the points mentioned above will be discussed in more detail in the following sections. Legal Requirements In setting up a private limited company, Emma, Chris and David must understand that there are more legal requirements than partnership and lesser requirements and paperwork than public limited companies. In becoming a private limited company, the following legal requirements have to be met (Carysforth, 2004): A Memorandum of Association which has details about the company - its name, address, owners, liability, activities, objectives, etc - and an Articles of Associations that establishes how the company will be run by the directors must be produced before a company can become a limited one. There must be at least two people starting the company. In the case of this salon, this requirement is met because there are three partners. However, what is important to understand is that each owner must own shares. They can also add more people as owners by selling shares to them. The specifications which also include the Articles and Memorandum of Associations must be registered with the Registrar of Companies. The Registrar ensures the complete formation

Thursday, August 22, 2019

The Decline of the Roman Empire Essay Example for Free

The Decline of the Roman Empire Essay The Roman Empire gave the world many good things. Rome gave the world Christianity, which is now the worlds largest religion. The Romans also gave the world their language. The Romans spoke Latin, which is the base for most languages used today. Many of these languages include English, Spanish, Italian, French, and Portuguese. This leads to the question. If Rome was such a powerful empire, then what led to the decline of the Roman Empire? The fall of the Western Roman Empire was caused by three of the many reasons internal decay, lack of money, and invading tribes. First, one of the reasons that led to the decline of the Western Roman Empire was cause by inside decay. It has been said that the Romans military crisis was a huge factor in this decay. According to Indro Montanelli, the military crisis was the result of shortage of children. The children in Rome were not old enough at the time to serve in the army this resulted in lack of soldiers. The lack of soldiers meant that the Roman Empire could not defend themselves and did not have a strong army. In that cause Rome had to come up with a plan to solve this problem. This plan was to recruit Germans to serve in the Roman army. But, this was not a well-thought plan, because traders were difficult to detect. Recruiting Germans to serve in the Roman army made it possible for the Germans to easily attack them. Given that they were already in the base of the empire, they did not have to worry about getting into the city. It was said that the military crisis was a huge part in the internal decay, which eventually led to the fall of the Western Roman Empire. The Roman Empire had too much power and wealth. It was a unified attack. Therefore, the lack of money in the Roman treasury caused the fall of the Western Roman Empire. The money mostly went into the army, which has already been described as the government expenses. The lack of money was responsible for the high taxation. This caused the owners to depart their businesses, because they did not want to pay high taxes. The old roman virtues of self-reliance and initiative were lost in the part of the population on relief warfare; the central government undertook such far-reaching responsibility in affairs that the fiber of the citizens weakened. Also while the empire was expanding, its prosperity was fed by plundered wealth and by new markets in the semibarbaric provinces. The decline and fall of the Western Roman Empire was lack of money and invading the tribes in the Roman Empire. The empire did not have anyone to fight for them because the children were too young. The money was mostly invested in the government and not in the overall empire. The invaders came into the region trying to take over the land and destroyed everything in their path, which made the Roman Empire weak. These effects began to make the Roman Empire weak.

Wednesday, August 21, 2019

The Topic Of Brain Fingerprinting Criminology Essay

The Topic Of Brain Fingerprinting Criminology Essay Brain fingerprinting is based on finding that the brain generates a unique brain wave pattern when a person encounters a familiar stimulus Use of functional magnetic resonance imagingin lie detection derives from studies suggesting that personsasked to lie show different patterns of brain activity thanthey do when being truthful. Issues related to the use of suchevidence in courts are discussed. The author concludes thatneither approach is currently supported by enough data regardingits accuracy in detecting deception to warrant use in court. In the field of criminology, a new lie detector has been developed in the United States of America. This is called brain fingerprinting. This invention is supposed to be the best lie detector available as on date and is said to detect even smooth criminals who pass the polygraph test (the conventional lie detector test) with ease. The new method employs brain waves, which are useful in detecting whether the person subjected to the test, remembers finer details of the crime. Even if the person willingly suppresses the necessary information, the brain wave is sure to trap him. Introduction: Brain Fingerprinting is a controversial proposed investigative technique that measures recognition of familiar stimuli by measuring electrical brain wave responses to words, phrases, or pictures that are presented on a computer screen. Brain fingerprinting was invented by Lawrence Farwell. The theory is that the suspects reaction to the details of an event or activity will reflect if the suspect had prior knowledge of the event or activity. This test uses what Farwell calls the MERMER (Memory and Encoding Related Multifaceted Electroencephalographic Response) response to detect familiarity reaction. One of the applications is lie detection. Dr. Lawrence A. Farwell has invented, developed, proven, and patented the technique of Farwell Brain Fingerprinting, a new computer-based technology to identify the perpetrator of a crime accurately and scientifically by measuring brain-wave responses to crime-relevant words or pictures presented on a computer screen. Farwell Brain Fingerprinting has proven 100% accurate in over 120 tests, including tests on FBI agents, tests for a US intelligence agency and for the US Navy, and tests on real-life situations including actual crimes. What is Brain Fingerprinting? Brain Fingerprinting is designed to determine whether an individual recognizes specific information related to an event or activity by measuring electrical brain wave responses to words, phrases, or pictures presented on a computer screen.   The technique can be applied only in situations where investigators have a sufficient amount of specific information about an event or activity that would be known only to the perpetrator and investigator.   In this respect, Brain Fingerprinting is considered a type of Guilty Knowledge Test, where the guilty party is expected to react strongly to the relevant detail Existing (polygraph) procedures for assessing the validity of a suspects guilty knowledge rely on measurement of autonomic arousal (e.g., palm sweating and heart rate), while Brain Fingerprinting measures electrical brain activity via a fitted headband containing special sensors.   Brain Fingerprinting is said to be more accurate in detecting guilty knowledge distinct from the f alse positives of traditional polygraph methods, but this is hotly disputed by specialized researchers. Technique: The person to be tested wears a special headband with electronic sensors that measure the electroencephalography from several locations on the scalp. In order to calibrate the brain fingerprinting system, the testee is presented with a series of irrelevant stimuli, words, and pictures, and a series of relevant stimuli, words, and pictures. The test subjects brain response to these two different types of stimuli allow the testor to determine if the measured brain responses to test stimuli, called probes, are more similar to the relevant or irrelevant responses. The technique uses the well known fact that an electrical signal known as P300 is emitted from an individuals brain approximately 300 milliseconds after it is confronted with a stimulus of special significance, e.g. a rare vs. a common stimuls or a stimulas the prOband is asked to count. The novel interpretation in brain fingerprinting is to look for P300 as response to stimuli related to the crime in question e.g., a murder weapon or a victims face. Because it is based on EEG signals, the system does not require the testee to issue verbal responses to questions or stimuli. Brain fingerprinting uses cognitive brain responses, brain fingerprinting does not depend on the emotions of the subject, nor is it affected by emotional responses. Brain fingerprinting is fundamentally different from the polygraph (lie-detector), which measures emotion-based physiological signals such as heart rate, sweating, and blood pressure. Also, unlike polygraph testing, it does not attempt to determine whether or not the subject is lying or telling the truth. Four phases of Farwell Brain Fingerprinting: In fingerprinting and DNA fingerprinting, evidence recognized and collected at the crime scene, and preserved properly until a suspect is apprehended, is scientifically compared with evidence on the person of the suspect to detect a match that would place the suspect at the crime scene. Farwell Brain Fingerprinting works similarly, except that the evidence collected both at the crime scene and on the person of the suspect (i.e., in the brain as revealed by electrical brain responses) is informational evidence rather than physical evidence. There are four stages to Farwell Brain Fingerprinting, which are similar to the steps in fingerprinting and DNA fingerprinting: 1. Brain Fingerprinting Crime Scene Evidence Collection; 2. Brain Fingerprinting Brain Evidence Collection; 3. Brain Fingerprinting Computer Evidence Analysis; and 4. Brain Fingerprinting Scientific Result. In the Crime Scene Evidence Collection, an expert in Farwell Brain Fingerprinting examines the crime scene and other evidence connected with the crime to identify details of the crime that would be known only to the perpetrator. The expert then conducts the Brain Evidence Collection in order to determine whether or not the evidence from the crime scene matches evidence stored in the brain of the suspect. In the Computer Evidence Analysis, the Farwell Brain Fingerprinting system makes a mathematical determination as to whether or not this specific evidence is stored in the brain, and computes a statistical confidence for that determination. This determination and statistical confidence constitute the Scientific Result of Farwell Brain Fingerprinting: either information present the details of the crime are stored in the brain of the suspect or information absent the details of the crime are not stored in the brain of the suspect. Applications: Counter terrorism: Brain fingerprinting can help address the following critical elements in the fight against terrorism: 1: Aid in determining who has participated in terrorist acts, directly or indirectly. 2: Aid in identifying trained terrorists with the potential  to commit future terrorist acts, even if they are in a sleeper cell and have not been active for years. 3: Help to identify people who have knowledge or training in banking, finance or communications and who are associated with terrorist teams and acts. 4: Help to determine if an individual is in a leadership role within a terrorist organization. Brain fingerprinting technology is based on the principle that the brain is central to all human acts. In a terrorist act, there may or may not be peripheral evidence such as fingerprints or DNA, but the brain of the perpetrator is always there, planning, executing, and recording the crime. The terrorist has knowledge of organizations, training and plans that an innocent person does not have. Until the invention of Brain Fingerprinting testing, there was no scientific way to detect this fundamental difference. Brain Fingerprinting testing provides an accurate, economical and timely solution to the central problem in the fight against terrorism. It is now possible to determine scientifically whether or not a person has terrorist training and knowledge of terrorist activities. With the Brain Fingerprinting system, a significant scientific breakthrough has now become a practical applied technology. A new era in security and intelligence gathering has begun. Now, terrorists and those supporting terrorism can be identified quickly and accurately. No longer should any terrorist be able to evade justice for lack of evidence. And there is no reason why an innocent individual should be falsely imprisoned or convicted of terrorist activity. A Brain Fingerprinting test can determine with an extremely high degree of accuracy those who are involved with terrorist activity and those who are not. Criminal justice: A critical task of the criminal justice system is to determine who has committed a crime. The key difference between a guilty party and an innocent suspect is that the perpetrator of the crime has a record of the crime stored in their brain, and the innocent suspect does not. Until the invention of Brain Fingerprintingtesting, there was no scientifically valid way to detect this fundamental difference. Brain Fingerprinting testing does not prove guilt or innocence. That is the role of a judge and jury. This exciting technology gives the judge and jury new, scientifically valid evidence to help them arrive at their decision. DNA evidence and fingerprints are available in only about 1% of major crimes. It is estimated that Brain Fingerprinting testing will apply in approximately 60 to 70% of these major crimes. The impacts on the criminal justice system will be profound. The potential now exists to significantly improve the speed and accuracy of the entire system, from investigations to parole hearings. Brain Fingerprinting testing will be able to dramatically reduce the costs associated with investigating and prosecuting innocent people and allow law enforcement professionals to concentrate on suspects who have verifiable, detailed knowledge of the crimes. Medical: Brain Fingerprinting is the patented technology that can measure objectively, for the first time, how memory and cognitive functioning of Alzheimer sufferers are affected by medications. First generation tests have proven to be more accurate than other routinely used tests, and could be commercially available in 18-24 months. The 30 minute test involves wearing a headband with built-in electrodes; technicians then present words, phrases and images that are both known and unknown to the patient to determine whether information that should be in the brain is still there. When presented with familiar information, the brain responds by producing MERMERs, specific increases in neuron activity. The technician can use this response to measure how quickly information is disappearing from the brain and whether the drugs they are taking are slowing down the process. Additional Applications: In advertising, Brain Fingerprinting Laboratories will offer significant advances in measuring campaign and media effectiveness. Most advertising programs today are evaluated subjectively using focus groups. We will be able to offer significantly more advanced, scientific methods to help determine the effectiveness of campaigns and be very cost competitive with current methodologies. This technology will be able to help determine what information is actually retained in memory by individuals. For example, in a branding campaign do people remember the brand, the product, etc. and how do the results vary with demographics? We will also be able to measure the comparative effectiveness of multiple media types. In the insurance industry, Brain Fingerprinting Laboratories will be able to help reduce the incidence of insurance fraud by determining if an individual has knowledge of fraudulent or criminal acts. The same type of testing can help to determine if an individual has specific knowl edge related to computer crimes where there is typically no witness or physical evidence. Case studies: The biggest breakthrough, according to Farwell, was its role in freeing convicted murderer Terry Harrington, who had been serving a life sentence in Iowa State Penitentiary for killing a night watchman in 1977. In 2001, Harrington requested a new trial on several grounds, including conflicting testimony in the original trial. Farwell was faced with an immediate and obvious problem: 24 years had passed since the trial. Evidence had been presented and transcripts published long ago; the details of the crime had long since come to light. What memories of the crime were left to probe? But Farwell combed the transcripts and came up with obscure details about which to test Harrington. Harrington was granted a new trial when it was discovered that some of the original police reports in the case had been missing at his initial trial. By 2001, however, most of the witnesses against Harrington had either died or had been discredited. Finally, when a key witness heard that Harrington had passed his brain fingerprinting test, he recanted his testimony and the prosecution threw up its hands. Harrington was set free. In Macon County, Mo., Sheriff Robert Dawson learned about the method from his secretary, who had also seen it featured on television. In 1999, Dawson ordered a test on J. B. Grinder, accused of raping and murdering a 25-year-old woman. Grinder had admitted and denied the allegations so many times that, according to Dawson, We didnt know what to believe anymore. Confronted with the test results, which seemed to confirm one of Grinders many confessions, Grinder pled guilty to the charges and also admitted to killing three other girls in Arkansas. When another murder investigation ran into problems earlier this year, Dawson turned again to brain fingerprinting. He refrained from discussing the details of the case with the suspect and with the media so that the P300 probes would be valid. While the suspect denied knowing anything about the case, Farwells test suggested otherwise. Comparison with other technologies: Conventional fingerprinting and DNA match physical evidence from a crime scene with evidence on the person of the perpetrator. Similarly, Brain Fingerprinting matches informational evidence from the crime scene with evidence stored in the brain. Fingerprints and DNA are available in only 1% of crimes. The brain is always there, planning, executing, and recording the suspects actions. Brain Fingerprinting has nothing to do with lie detection. Rather, it is a scientific way to determine if someone has committed a specific crime or other act. No questions are asked and no answers are given during Farwell Brain Fingerprinting. As with DNA and fingerprints, the results are the same whether the person has lied or told the truth at any time. Admissibility of Brain Fingerprinting in court: The admissibility of Brain Fingerprinting in court has not yet been established. The following well established features of Brain Fingerprinting, however, will be relevant when the question of admissibility is tested in court. 1) Brain Fingerprinting has been thoroughly and scientifically tested. 2) The theory and application of Brain Fingerprinting have been subject to peer review and publication. 3) The rate of error is extremely low virtually nonexistent and clear standards governing scientific techniques of operation of the technology have been established and published. 4) The theory and practice of Brain Fingerprinting have gained general acceptance in the relevant scientific community. 5) Brain Fingerprinting is non-invasive and non-testimonial. Record of 100% Accuracy: At the time of this first field application, Dr. Farwells successes in the scientific laboratory with his invention were already well known. In collaboration with FBI scientist Dr. Drew Richardson, Dr. Farwell achieved 100% accuracy in using Farwell Brain Fingerprinting to identify FBI agents based on their brain responses to words and phrases only an FBI agent would recognize. Tests conducted by Dr. Farwell for the US Navy in collaboration with Navy LCDR Rene S. Hernandez, Ph.D., also resulted in 100% accurate results. In research on contract with a US government intelligence agency, Farwell Brain Fingerprinting achieved 100% accuracy in proving the presence or absence of a wide variety of evidence stored in the brains of individuals involved in over 120 cases. Dr. Farwell has published extensively in the scientific literature and presented his research to many scientific and technical audiences throughout the world . Farwell Brain Fingerprinting has been subjected to rigorous peer review under US government sponsorship, and has been found scientifically viable as well as revolutionary in its implications. Conclusion: Brain Fingerprinting is a revolutionary new scientific technology for solving crimes, identifying perpetrators, and exonerating innocent suspects, with a record of 100% accuracy in research with US government agencies, actual criminal cases, and other applications. The technology fulfills an urgent need for governments, law enforcement agencies, corporations, investigators, crime victims, and falsely accused, innocent suspects.

Tuesday, August 20, 2019

Explaining The Purpose Of The Main Financial Statements Finance Essay

Explaining The Purpose Of The Main Financial Statements Finance Essay A financial statement (or financial report) is a formal record of the financial activities of a business, person, or other entity. In British English-including United Kingdom company law-a financial statement is often referred to as an account, although the term financial statement is also used, particularly by accountants. For a business enterprise, all the relevant financial information, presented in a structured manner and in a form easy to understand, are called the financial statements. They typically include four basic financial statements: Balance sheet: also referred to as statement of financial position or condition, reports on a companys assets, liabilities, and Ownership equity at a given point in time. Income statement: also referred to as Profit and Loss statement (or a PL), reports on a companys income, expenses, and profits over a period of time. Profit Loss account provide information on the operation of the enterprise. These include sale and the various expenses incurred during the processing state. Statement of retained earnings: explains the changes in a companys retained earnings over the reporting period. Statement of cash flows: reports on a companys cash flow activities, particularly its operating, investing and financing activities. For large corporations, these statements are often complex and may include an extensive set of notes to the financial statements and management discussion and analysis. The notes typically describe each item on the balance sheet, income statement and cash flow statement in further detail. Notes to financial statements are considered an integral part of the financial statements. The Balance Sheet The balance sheets purpose is to show the assets of the company. Balance sheets are based on a fix point called a reporting perioda day, a month, a quarter, a year. A quick glance at a balance sheet will show you what the company owns and how much it owes. Balance sheets include assets (property, cash, anything owned of value), liabilities (debt owed) and shareholders equity. Income Statements Income statements show the revenue earned during a reporting period.  Included in this report are the expenses and cost of creating the revenue. Once the expenses and costs are removed from the total revenue, the bottom line of the report reveals whether or not the company lost money or made money. This report is sometimes referred to as the profit and loss statement. Another feature of the income statement is the EPS, or earnings per share. This reveals what a shareholder would receive if you were being paid dividends per each share owned. Cash Flow Statements Cash on hand is important because it supports the daily activities of a business. There must be enough cash on hand to pay expenses and buy assets as needed. Cash flow statements track the inflow and outflow of cash. They reveal whether or not cash was generated by the business. The data for a cash flow statement comes from an income statement and the balance sheet. The cash flow statement reveals net decreases or increases of cash for the reporting period. Retained Earnings Once liabilities and assets are known and a balance sheet is created, it is known whether or not the shareholders have a positive or negative equity. From the equity is taken retained earnings. Retained earnings are broken down and explained in the statement of retained earnings. This statement reveals what the company keeps and does not distribute to the owners and how that amount changes over the reporting period. Losses are called accumulated losses, retained losses or accumulated deficit. Financial Statements Once a set of financial statements are prepared they can be used for loan applications, fund-raising or to place a value on a business. But they are typically used for making business decisions that will affect operations. The numbers and calculations in the financial statements are also used to calculate ratios and make further analysis. Common figures derived are operating margins, debt-to-equity ratio, P/E, working capital and inventory turnover Purpose of financial statements by business entities The objective of financial statements is to provide information about the financial position, performance and changes in financial position of an enterprise that is useful to a wide range of users in making economic decisions. Financial statements should be understandable, relevant, reliable and comparable. Reported assets, liabilities and equity are directly related to an organizations financial position. Reported income and expenses are directly related to an organizations financial performance. Financial statements are intended to be understandable by readers who have a reasonable knowledge of business and economic activities and accounting and who are willing to study the information diligently. Financial statements may be used by users for different purposes: Owners and managers require financial statements to make important business decisions that affect its continued operations. Financial analysis is then performed on these statements to provide management with a more detailed understanding of the figures. These statements are also used as part of managements annual report to the stockholders. Employees also need these reports in making collective bargaining agreements (CBA) with the management, in the case of labor unions or for individuals in discussing their compensation, promotion and rankings. Prospective investors make use of financial statements to assess the viability of investing in a business. Financial analyses are often used by investors and are prepared by professionals (financial analysts), thus providing them with the basis for making investment decisions. Financial institutions (banks and other lending companies) use them to decide whether to grant a company with fresh working capital or extend debt securities (such as a long-term bank loan or debentures) to finance expansion and other significant expenditures. Government entities (tax authorities) need financial statements to ascertain the propriety and accuracy of taxes and other duties declared and paid by a company. Vendors who extend credit to a business require financial statements to assess the creditworthiness of the business. Media and the general public are also interested in financial statements for a variety of reasons. Financial ratio analysis groups the ratios into categories which tell us about different facets of a companys finances and operations. An overview of some of the categories of ratios is given below. * Leverage Ratios which show the extent that debt is used in a companys capital structure. * Liquidity Ratios which give a picture of a companys short term financial situation or solvency. * Operational Ratios which use turnover measures to show how efficient a company is in its operations and use of assets. * Profitability Ratios which use margin analysis and show the return on sales and capital employed. * Solvency Ratios which give a picture of a companys ability to generate cash flow and pay it financial obligations. Differences between the formats of financial statements for 3 different type of business- sole proprietorship, partnership and Limited company Government financial statements The rules for the recording, measurement and presentation of government financial statements may be different from those required for business and even for non-profit organizations. They may use either of two accounting methods: accrual accounting, or cash accounting, or a combination of the two (OCBOA). A complete set of chart of accounts is also used that is substantially different from the chart of a profit-oriented business Financial statements of non-profit organizations The financial statements of non-profit organizations that publish financial statements, such as charitable organizations and large voluntary associations, tend to be simpler than those of for-profit corporations. Often they consist of just a balance sheet and a statement of activities (listing income and expenses) similar to the Profit and Loss statement of a for-profit. Personal financial statements Personal financial statements may be required from persons applying for a personal loan or financial aid. Typically, a personal financial statement consists of a single form for reporting personally held assets and liabilities (debts), or personal sources of income and expenses, or both. The form to be filled out is determined by the organization supplying the loan or aid. Differences between Sole Proprietorship, Partnership Corporation I want to do this! Whats This? There are a number of different types of business organizations an individual or a group can form. However, three of the most common types of business organizations are sole proprietorships, partnerships and corporations. These three types of businesses are similar in some ways, but a number of differences are important to note. Formation A sole proprietorship or a partnership may be formed without filing any formal paperwork. The creators of a corporation, however, must file a document known as the articles of incorporation. Liability The owner(s) of a sole proprietorship or a partnership may be held liable for any business activity and/or obligation. Corporate shareholders, however, usually are liable only for the amount they invested. Record Keeping Corporations are required to keep strict records of meetings and other similar administrative activities, while a sole proprietorship or a partnership typically is not required to do so. Size A sole proprietorship can have only a single owner, but a partnership or a corporation may have any number of owners. Taxes The owner of a sole proprietorship is required only to report the business earnings on her tax return, while a corporation or a partnership must file a separate return for the business. BASIC FINANCIAL STATEMENT FORMAT PARTNERSHIP When preparing financial statements by hand the Income Statement would usually be prepared first because the net income or loss becomes part of the Statement of Partners Capital. The Statement of Partners Capital is usually prepared second because the ending partners capital balances become part of the Balance Sheet. Corporations are subject to income taxes but sole proprietorships and partnerships are not. Otherwise the income statements of each are identical. Income Statement (single-step format): HANSON RETAIL FOOD STORE Income Statement Year Ended December 31, 2006 Net Sales $262,000 Rent revenue 6,900 Interest revenue 1,400 Total Revenue 270,300 Expenses: Cost of Goods Sold $159,000 Salaries and wages 45,000 Advertising 12,400 Freight out 4,000 Depreciation 5,000 Taxes and licenses 3,000 Rent 6,300 Interest expense 350 Loss on sale of assets 250 Property taxes 2,000 Total expense 237,300 Net Income (loss) $ 33,000 ======== Owners equity statements of corporations are called Statement of Retained Earnings, those of sole proprietorships are called Statement of Capital and those of partnerships are called Statement of Partners Capital. Statement of Partners Capital: HANSEN RETAIL FOOD STORE Statement of Partners Capital Year Ended December 31, 2005 John Soo Mary Doe Totals Beginning balance $ 24,000 $ 33,000 $ 57,000 Net income (loss) 16,500 16,500 33,000 40,500 49,500 90,000 Withdrawals 500 1,500 2,000 Ending balance $ 40,000 $ 48,000 $ 88,000 =========== =========== ====== Balance Sheets of corporations have a Shareholders Equity section whereas sole proprietorships have an Owners Capital section and partnerships have a Partners Capital section. Otherwise the Balance Sheets would be identical. Balance Sheet: HANSEN RETAIL FOOD STORE Balance Sheet December 31, 2006 ASSETS Current Assets: Cash $ 3,000 Short-term investments/marketable securities 6,000 Accounts receivable, net 5,000 Inventory 10,000 Prepaid rent 2,000 Office supplies on hand 1,000 Total current assets 27,000 Long-Lived Assets: Long-term investments $ 10,000 Land 35,000 Building 86,000 Machinery equipment 50,000 Less accumulated depreciation ( 23,000) Patents 4,000 Total long-lived assets 162,000 Total Assets $189,000 ======== LIABILITIES Current Liabilities: Accounts payable $ 4,200 Notes payable 15,000 Interest payable 1,000 Wages payable 800 Total current liabilities 21,000 Long-Term Liabilities: Mortgage payable $ 30,000 Bonds payable 50,000 Total long-term liabilities 80,000 Total Liabilities 101,000 PARTNERS CAPITAL John Soo, Capital 40,000 Mary Doe, Captial 48,000 Total Partners Capital 88,000 Total Liabilities and Owners Equity $189,000 TASK 2 Last Year Current Ratio = C.A / C.L = 21 / 15 = 1.4 Acid Test = C.A / C.L = 15 / 15 = 0 Net Profit Margin = N.P / Sales =37/499 =0.07 Gross Profit Margin = G.P / Sales =99/499 =0.20 Return on Capital Employed = N.P / Equit + Debt = 17 / 75 = 0.23 Return on Ordinary Share holder fund = N.P after tax / Ordinary share holder equity = 17 / 14 = 1.2 Average Stock Turnover period = Avg Stock / CGS * 365 = 6 /400 X 365 =5.5 =6days Current Year Current Ratio = C.A / C.L = 11 / 11 = 0 Acid Test = C.A / C.L = 7 / 11 = 0.64 Net Profit Margin = N.P / Sales = 32 / 502 = 0. 06 Gross Profit Margin = G.P / Sales = 132 / 502 = 0.26 Return on Capital Employed = N.P / Equit + Debt = 5 / 79 = 0.06 Return on Ordinary Share holder fund = N.P after tax / Ordinary share holder equity = 5 / 14 = 0.36 Average Stock Turnover period = Avg Stock / CGS * 365 = 4 / 370365 =3.95 = 4 days

Monday, August 19, 2019

How Will Genetic Engineering Impact Our Lives? :: Expository Essays Research Papers

How will our lives change in the future? Are we as a society going to live longer because we have better medical treatments? The answer is most likely, yes, but will our genetic manipulation/sequencing take us to a new level. Instead of living to one hundred, will we be able to live to two hundred? More importantly, is this ethically correct to create a â€Å"fountain of youth† through genetic correction? An article I read recently helped me to draw some understanding. Thus far, researchers have had minimal success in using gene therapy to correct most genetic conditions and no researcher has used gene therapy to correct genetic impairments in a fetus (Parens). Although it is impossible to correct genetic flaws, we have discovered how to test for over 400 conditions, from those viewed as severe, such as Tay Sachs, to those that many might describe as relatively minor, such as polydactyly (a trait involving an extra little finger) (Parens). As it gets easier to test for these genetic disorders, so does the perception within both the medical and broader communities that prenatal testing is a logical extension of good prenatal care. On the other hand, as long as in-utero interventions remain relatively rare, and as long as the number or people seeking prenatal genetic information to prepare for the birth of a child with a disability remains small, prospective parents will use positive prenatal test results primarily as the basis of a decision to abort fetuses that carry mutations associated with disease or disability (Parens). â€Å"†¦There is a sense in which prenatal testing is simply a logical extension of the idea of good prenatal care† (Parens). Whether it is a logical extension or not, using prenatal tests to prevent the birth of babies with disabilities seems to be a good decision to many people (Parens). Even if the testing will not help bring a healthy baby to term this time, it gives prospective parents a chance to try and conceive again (Parens). â€Å"To others, however, prenatal testing looks rather different. If one thinks to appreciate why people identified with the disability rights movement might regard such testing as dangerous. For the members of this movement, including people with and without disabilities and both issue-focused and disability-focused groups, living with disabling traits need not be detrimental either to an individual's prospects of leading a worthwhile life, or to the families in which they grow up, or to society at large† (Parens). How Will Genetic Engineering Impact Our Lives? :: Expository Essays Research Papers How will our lives change in the future? Are we as a society going to live longer because we have better medical treatments? The answer is most likely, yes, but will our genetic manipulation/sequencing take us to a new level. Instead of living to one hundred, will we be able to live to two hundred? More importantly, is this ethically correct to create a â€Å"fountain of youth† through genetic correction? An article I read recently helped me to draw some understanding. Thus far, researchers have had minimal success in using gene therapy to correct most genetic conditions and no researcher has used gene therapy to correct genetic impairments in a fetus (Parens). Although it is impossible to correct genetic flaws, we have discovered how to test for over 400 conditions, from those viewed as severe, such as Tay Sachs, to those that many might describe as relatively minor, such as polydactyly (a trait involving an extra little finger) (Parens). As it gets easier to test for these genetic disorders, so does the perception within both the medical and broader communities that prenatal testing is a logical extension of good prenatal care. On the other hand, as long as in-utero interventions remain relatively rare, and as long as the number or people seeking prenatal genetic information to prepare for the birth of a child with a disability remains small, prospective parents will use positive prenatal test results primarily as the basis of a decision to abort fetuses that carry mutations associated with disease or disability (Parens). â€Å"†¦There is a sense in which prenatal testing is simply a logical extension of the idea of good prenatal care† (Parens). Whether it is a logical extension or not, using prenatal tests to prevent the birth of babies with disabilities seems to be a good decision to many people (Parens). Even if the testing will not help bring a healthy baby to term this time, it gives prospective parents a chance to try and conceive again (Parens). â€Å"To others, however, prenatal testing looks rather different. If one thinks to appreciate why people identified with the disability rights movement might regard such testing as dangerous. For the members of this movement, including people with and without disabilities and both issue-focused and disability-focused groups, living with disabling traits need not be detrimental either to an individual's prospects of leading a worthwhile life, or to the families in which they grow up, or to society at large† (Parens).

Sunday, August 18, 2019

Thousand Acres Essay -- essays research papers

A Thousand Acres, by Jane Smiley, is a story of incest, ignorance, and the imperialistic voice of the almighty man. Ignorance of being lead by a man, particular views of Rose and Ginny, and domesticated to believe that "When we are good girls and accept our circumstances, we're glad about it. . .When we are bad girls, it drives us crazy" (99). The imperialistic voice usually comes from the omnipotent Larry Cook, Rose, Ginny, and Caroline’s father. And the incestuous relations only entangle this dysfunctional family. The eldest daughter, Ginny, is the most loyal and idolizes her father. The second eldest daughter, Rose, is linked to her father through Ginny, who keeps her from losing faith in him. Rose questions whether the loyalty that Ginny shows her father makes her obedient or if her reluctance to judge him proves her ignorance. Rose has two daughters, Pammy and Linda, who are also first hand witnesses to the episodes of the Cook family trauma, but remain dormant to what goes on around them. Caroline, the youngest daughter has left the one thousand acres of land they grew up on to become a lawyer. Caroline is married to Frank Ras, whom also is a lawyer and they do not have any children. The book is narrated from Ginny’s viewpoint. Ginny is married to Ty and they don’t have any children, but Ginny secretively keeps trying. Ginny also has an extramarital affair with Jess Clark, son of Harold Clark the neighbor and best friend of Larry Cook. Jess has just returned to Zebulon County from the food corp. Given the basic character summary, one of the themes or recurrent ideas that was present throughout the whole book was domination. This domination concept was usually brought to life through the character, Larry Cook, over issues like farming, food, appearance or anything else that didn’t sit well with his expectations in life. Being that domination is not something tangible, conflicts such as the above mentioned were used to develop the theme idea into a concrete representation and also illustrate the effects that the domination theme had on the women of Zebulon County. The whole farming conflict begins when Larry Cook impulsively decides to distribute his one thousand acres of farmland to his three daughters and Caroline, the youngest daughter... ... with his opinions. In this male-dominated culture, it’s as if women are material possessions and the place of women is dependent on men. And at first, the women accepted this. Ginny remarks, "of course it was silly to talk about my point of view. When my father asserted his point of view, mine vanished" (176). And so did her dignity. Larry Cook, Farmer of the Year! In conclusion, the above conflicts portray the domination overtones and the effect that the domination had on the women. Larry Cook seems to be a jack of all trades. He is portrayed as being a god, a businessman, and a farmer. But Larry lacks when it comes to the being, Larry Cook, the father. He is so strict about having things done a certain way with little variations that it blinds him to the wants and needs of those around him. Initially the novel, Ginny suppresses her voice and remained an obedient figure. She has been cultured to believe that a woman has to rely upon the masculine authority figure. As Ginny’s character develops, she begins to break through the mental chains of masculine dependency and start a new life for herself without regret.

Sterotyping in The Adventures of Huckleberry Finn and Intruder in the Dust :: comparison compare contrast essays

Sterotyping in The Adventures of Huckleberry Finn and Intruder in the Dust       In the book of Matthew, the Bible states that the second greatest commandment is to love your neighbor as yourself.   When a person holds on to stereotypes and resentments towards his fellow man he cannot possibly love them to the degree called for.   Both William Faulkner and Mark Twain show their characters struggling to progress past their stereotypes and the consequences of clinging on to them.   In The Adventures of Huckleberry Finn by Mark Twain and Intruder in the Dust by William Faulkner the authors show that stereotypes often lead to the inability to see the situation as a whole as well as the internal conflict when these stereotypes are questioned.      Ã‚  Ã‚  Ã‚  Ã‚   The stereotypes that a person harbors can often result in the inability to see the "big picture" in a situation.   Twain showed this result through the duke and king when they are staying at the Wilk's house.   The duke and king pose as the brothers of the deceased Harvey Wilk's in order to claim the fortune that he left behind.   Wilk's will tells them of a bag of gold in the cellar.   When they find the bag, they offer it to the daughters of Harvey Wilk's; however, the daughters suggest that the money would be safer in the hands of the duke and king.   The duke and king hide the money behind a curtain in their room, but then the duke thinks that they did not hide the money well enough.   Huck observes them hiding the money and describes it. "They took and shoved the bag through a rip in the straw tick that was under the feather bed, and crammed it a foot or two amongst the straw and said it was all right, now, because a n_____ only makes up the feather bed, and don't turn over the straw tick only about twice a year, and so it warn't in no danger of getting stole, now." (Twain 235).   The reasoning behind the duke and king's action shows the stereotype that they have towards the Negro slaves.   They think that a Negro will never do a more than adequate job.   Turning over the straw tick represents a job that only a Negro slave would attend to.

Saturday, August 17, 2019

Frequent Shopper Program

Kudler Fine Foods (KFF) is a local upscale specialty food store that is committed to providing customers with the finest selection of specialty foods. In addition, KFF would like to reward their customers for their loyalty by incorporating a frequent shopper program. KFF is planning on developing a system that tracks customer purchases and awards loyalty points for redemption. The system will assist KFF in satisfying their most valued customers.Smith Systems Consulting Firm has been contracted for the development of the system. Smith Systems Consulting has been serving clients since 1994 with high value web and business application services. In this proposal, Smith Systems consulting will propose two alternative methods for completing the frequent shopper application. The advantages and disadvantages for each method and how the firm would conduct testing for each development method will be discussed.Regardless of which method is used, most software process models, follow a similar se t of phases and activities. The difference between models is the order and frequency of the phases. The specific parts of the software process are presented below: 1. Inception – Software product is created and defined.2. Planning – Resources, schedule, and cost are determined. 3. Requirements Analysis – Specify what the application must do. 4. Design – Specify the parts and how they fit 5. Implementation – Write the code 6. Testing – Execute the application with input test data 7. Maintenance – Repair defects and add capability (TechTarget, 2014)The first model that will be proposed is the â€Å"waterfall† process. The â€Å"waterfall† process is the oldest software process model and despite its weaknesses, it is still in widespread use today. The waterfall process requires following the phases in a sequential order where the output for one phase is used as the input for the next. The next phase in the process is not st arted until the previous one has been completed, although a small overlap between phases is accepted. Two advantages and disadvantages of using this model relative to the frequent shopper program will be discussed.The first advantage is the practicality of the process. We have been using this process for many years and have a great deal of experience with it. All individuals involved have and understanding of the process and its execution. The second advantage is the process is simple and easy to use. The criteria of each phase are set and completed sequentially. The order of execution is easy for everyone to comprehend. There is no question on what needs to be completed before the next phase can begin.The first disadvantage is that requirements need to be known up front. KFF currently has a broad range of requirements and every detail is not known. As the project progresses, more details may become known; which could cause the project to be stopped and re-imagined. The second disad vantage is that there is no feedback of the system by stakeholders until after the testing phase. KFF has no way of knowing if the program meets their requirements because the â€Å"waterfall† process does not facilitate intermediate versions.The second method that will be proposed is the agile methodology. The agile methodology proposes alternatives to traditional project management. Agile development focuses on keeping code simple, testing often, and delivering functional bits of the application as soon as they are ready (TechTarget, 2014). One goal of agile development is to build upon small-client-approved parts as the project progresses, as opposed to delivering one large application at the end of the project.One advantage to using agile methodology for the frequent shopper application is the ability to respond to changing requirements. KFF may decide to change the requirements of the project, which can easily be handled using the flexibility of the agile methodology. A second advantage is the face-to-face communication and continues input from customer representatives making sure that there is no guesswork (Buzzle, 2013). The result is exactly what the customer has required.The first disadvantage of the agile methodology is the possibility that the project can be taken off track. KFF is not one hundred percent clear on the final outcome that they want; therefore, the project has the potential to get off track because requirements are constantly changing. Another disadvantage is that it is difficult to assess the effort needed to complete this project at the beginning of the software development life cycle. Since KFF is not specific on the requirements for the project, we cannot plan how much time or the amount of resources we will need to complete the project.Regardless of the method that is used for the frequent shopper application, testing is a necessary component of the process. Testing is conducted differently depending on which software model is used. Since the waterfall method follows a sequential approach, the testing is done so also. The flexibility of the agile method also allows flexibility for the testing process.Using the waterfall method testing would begin during the implementation stage. The work would be divided into modules and the coding would begin after receiving the system design documents. The frequent shopper program would be developed into small programs called units. As an example, there would be a program that handles the input from the customer and another program that would track the employee’s reward points. Each unit is developed and then tested for functionality. Unit testing verifies if the units meet the specifications.The units are then integrated into a complete system during the integration phase and tested to see if all units coordinate between each other and the system functions as a whole per the specification (Onestoptesting, 2014). After testing of the frequent shopper program is successful, the software is delivered to the customer. If problems are found after deployment they are solved immediately. This is referred to be maintenance and sometimes that process is virtually never ending.Agile testing focuses on testing being an integral part of software development rather than a separate phase. (â€Å"Agile Testing†, n.d.) Testing from the beginning of the project and continually testing throughout the project lifecycle is the foundation in which agile testing is built. Agile testing is software testing based on the principles of agile software development.The combined team, including the testing team will take responsibility of analyzing the business requirements of the frequent shopper program. Together the team will define a sprint goal. The testing team will then begin work on the test plan that is validated by the entire team and KFF. As the development team starts the implementation, the test team will begin working on the test case design.Wh en the code is ready to test, the test team will do a quick test on the development environment, in order to identify the early stage defects. Developers will fix the defects on a priority basis. This iteration will continue until the end of the code implementation. In addition after approval from KFF, automated test cases will be run on a daily basis. Because of the frequency of testing using the agile method, automated tests are needed.Smith Systems Consulting needs to choose the methodology that works for them and the client. Since each project is unique, there is not a one-size fit all methodology. Two alternative methods for completing this project were presented and Smith Systems Consulting can make a decision on which to choose.

Friday, August 16, 2019

Ancient Greeks: Theatre as Competition and Ritual

Ancient Greeks: Theatre as Competition and Ritual The ancient Greeks were the inventors of what is today known as â€Å"theater. † Beginning with religious ritual celebrations and competitions, they created an art form which has been parent to the modern theater, as well as television and film. Although the origins of Greek theater are unknown, it is believed that it grew out of the dithyramb, songs and dances honoring Dionysus held at a festival called the Dionysia (Theater of Ancient Greece). Although these uninhibited songs and dances probably grew out of ritual celebrations, they eventually became more formalized and symbolic, eventually evolving into the Greek theater (The Ancient Greek Theatre Page). Theater started as ritual fertility celebrations by the â€Å"Cult of Dionysus† in Athens. These rituals altered over time and became Spring ritual with theater at the center of the celebrations (Drama 30), although it is impossible to know how the rituals separated into comedy and tragedy (Greek Theatre). A lesser festival in honour of Dionysus, The Lenea, became another theater festival/competition halfway through the fifth century BC. The rules of the Lenea were different from those of the Dionysia. In the Lenea, there were only four tragedies, two from each of two playwrights, and five comedies from five playwrights (Greek and British Theatre). According to Aristotle's Poetics, Greek tragedy came before satyr plays and comedies. Tragedy came out of the dithyrambs sung in praise of Dionysus at the Dionysia every year. By the 600's BC, the dithyramb was changed into a formalized narrative sung by a chorus (Greek Theatre). Tragedy lost its Dionysiac associations very early, and only one of the preserved plays, Bacchae by Euripides, has any Dionysiac content, namely the myth of resistance to the introduction of Dionysus's cult to Thebes, and the god's revenge upon the city (Greek Tragedy). In the 500s BC, the poet, Thespis of Attica, is credited with creating a new style in which an actor, called the protagonist, performed the characters' speeches in the narrative, using masks to distinguish between the different characters. The actor spoke and acted as if he were the character, and he interacted with the chorus, who acted as narrators and commentators. Because of this, Thespis is considered the first Greek â€Å"actor,† and his style of drama became known as â€Å"tragedy,† which means ‘goat song,' possibly referring to goats sacrificed to Dionysus before performances, or to goat-skins worn by the performers (Ancient Greek Theater) Aeschylus introduced the antagonist, and Sophocles introduced a third actor. Plays with more realism and dialogue were written by Euripedes and Aristophanes (Drama 30). Theatrical presentations had a religious element and attendance was practically compulsory. Because of this, the builders of Greek theaters had to provide enough space for large audiences . It is believed that the theatrical representations could have arisen from the substitution of an animal for a human sacrifice and, eventually, the formula of the sacrifice was enacted ritualistically without the actual sacrifice of the animal (The Greek Theatre). Plays were produced which could be seen as a formalistic representation of human sacrifice. An example of one of these representational plays is Oedipus the King by Sophocles. In the play, Oedipus becomes the embodiment of suffering and guilt, serving as a way of cleansing the spectators (The Greek Theatre). By the fifth century BC, the theater had become a major part of the culture of Athens. The most important element of the annual Dionysia celebration was the play competition between three playwrights at the Theater of Dionysus. These playwrights each submitted a trilogy of connected tragedies, along with a satyr play which dealt with the same subject matter as the trio of tragedies (Greek Theatre). The competitors were chosen by a government authority called the archon. Wealthy patrons, called choregos, financed the productions. The funding of the arts was a way of tax avoidance, so they were willing to do so. In return for funding a production, the choregos would pay no taxes that year (The Ancient Greek Theatre Page). These men paid for the production of each dramatist's series, the chorus, and other production costs. The actors were paid by the state. The directors of the plays were usually the actual playwrights (Greek and British Theatre). Once many playwrights began writing plays for multiple actors and submitting plays for the Dionysia, competitions began to be held all over Greece. Prizes were given for the best of these and they were written down and saved (Greek and British Theatre). In the competitions, there were ten judges. These judges were taken from each of the Athenian â€Å"tribes,† divisions of the people made for administrative convenience, not actual tribes. Choosing the â€Å"best new tragedy,† which was the purpose for the competition, was taken very seriously. In 449 BC an award for the best leading actor in a tragedy was introduced (Greek and British Theatre). Revivals of popular plays was not allowed in Greek theater. This was to encourage new plays to be written. In fact, a special state decree was issued to allow the Aeschylus's plays to be performed after he died. Until this, revivals had never happened. Revivals did begin to occur in the fourth century when touring companies began to perform in Attica, a rural area, and beyond (Greek Theatre). The ancient Greeks took their theater seriously. Beginning with religious ritual celebrations, the Greek theater evolved into the modern theater that we know today. Plays from those ancient competitions are known and performed all over the world. The Greeks' contribution to the cultural and artistic development of the odern theater is incalculable. Works Cited â€Å"Ancient Greek Theater. † Greek Theater. 6 Oct 2008. . â€Å"Greek and British Theatre† The British Theatre Guide. 6 Oct 2008. â€Å"Greek Theatre. † Greek Theatre. 6 Oct 2008. . â€Å"Greek Tragedy. † Greek Tragedy. 6 Oct 2008.. â€Å"The Ancient Greek Theatre Page. † The Ancient Greek Drama and Theatre History Page. 30 Sep 2008. . â€Å"Theatre of Ancient Greece. † Ancient Greece. 30 Sep 2008. . â€Å"The Greek Theatre. † The Greek Theatre. 6 Oct 2008. â€Å"The Theatre in Ancient Greece. † Ancient Greece. 6 Oct 2008. â€Å"When Did Theatre Begin? † Drama 30. 6 Oct 2008..

Thursday, August 15, 2019

Plyler v Doe Essay

When state and local governments try to pass restrictions for education based on legality of the student they are, for the most part, brought to a halt by the court system. The courts cite Plyler v Doe, but why? What does Plyler v Doe do for undocumented students? Before 1982, the year when Plyler v Doe was put into action, some Texas local governments were denying funding for undocumented students and charging them a tuition fee of $1,000.00 per year. The original policy stated that the school district could withhold funds for educating children who were not legally documented within the United States. It allowed these districts to determine who was denied access to enrollment. The Supreme Court found this policy to be a violation of the children’s Fourteenth Amendment. The fourteenth Amendment states a broad definition of citizenship claiming that children born to immigrants were still citizen’s here. The Supreme Court stated that children were powerless, they had absolutely no control that their parents had crossed the boarder into the country illegally. They also thought that not educating these children would lead to progressively worse problems. Undocumented children have the same right to free public education and are obligated to attend school until they reach the age mandated by the state laws. Plyler v Doe also states that schools may not require children to prove, by document or green card, their legal citizenship but just that they live within the attendance zone of the school district. It also states that schools cannot require a social security number by the children or force them to obtain one. If a school system wants them on file, they may send out a request (in all appropriate languages) stating that if the parents want to put it in their child’s file, they may. Free and reduced lunch is determined based on the income of the family and not the student’s family legal status. In order to obtain free or reduced lunch a student needs the social security numbers of all members in the family 21 years of age and older. If there are members in the family without a social security number they must indicate it with a â€Å"none† on the worksheet. The Family Educational Rights and Privacy Act prohibits outside agencies from getting the information from these lunch worksheets without a court order. Along those same lines, schools are not allowed to give any information to the INS either. If I were to have been one of those voting on Plyler v Doe, I would have been with the five who had decided that it was wrong to deny these children of their education. I also believe that these children had literally no control over their parent’s decisions. If a parent decides that they are going to illegally reside in a country, a child has no vote whether or not they go. Who are we to decide that a child does not get an education? Wouldn’t denying an education cause more harm and more problems than allowing them access to school? I think that all children, no matter their documented status, deserve the same things one of which being an education and the opportunity to better themselves, their families and their future.

Wednesday, August 14, 2019

Bauhaus History of Design Essay

The Bauhaus was the first model of the modern art school. The Bauhaus curriculum combined theoretic education and practical training in the educational workshops. It drew inspiration from the ideals of the revolutionary art movements and design experiments of the early 20th century. A woodcut (shown right) depicted the idealized vision of Walter Gropius, a â€Å"cathedral† of design. Bauhaus 1919-33 The Bauhaus began with an utopian definition: â€Å"The building of the future† was to combine all the arts in ideal unity. In order to reach this goal, the founder, Walter Gropius, saw the necessity to develop new teaching methods and was convinced that the base for any art was to be found in handcraft: â€Å"the school will gradually turn into a workshop†. artists and craftsmen directed classes and production together at the Bauhaus in Weimar. This was intended to remove any distinction between fine arts and applied arts. Of course, the educational and social claim to a new configuration of life and its environment could not always be achieved. And the Bauhaus was not alone with this goal, but the name became a near synonym for this trend. The Bauhaus occupies a place of its own in the history of 20th century culture, architecture, design, art and new media. One of the first schools of design, it brought together a number of the most outstanding contemporary architects and artists and was not only an innovative training centre but also a place of production and a focus of international debate. At a time when industrial society was in the grip of a crisis, the Bauhaus stood almost alone in asking how the modernisation process could be mastered by means of design. Founded in Weimar in 1919, the Bauhaus rallied masters and students who sought to reverse the split between art and production by returning to the crafts as the foundation of all artistic activity and developing exemplary designs for objects and spaces that were to form part of a more human future society. Following intense internal debate, in 1923 the Bauhaus turned its ttention to industry under its founder and first director Walter Gropius (1883–1969). The major exhibition which opened in 1923, reflecting the revised principle of art and technology as a new unity, showcased the full spectrum of Bauhaus work and prototypes. The Haus Am Horn provided a glimpse of a residential building of the future. In 1924 funding for the Bauhaus was cut so drastically at the instigation of conservative forces that it had to seek a new home. The Bauhaus moved to Dessau at a time of rising economic fortunes, becoming the municipally funded School of Design. Almost all masters moved with it. Former students became junior masters in charge of the workshops. Famous works of art and architecture and influential designs were produced in Dessau in the years from 1926 to 1932. Walter Gropius resigned as director on 1st April 1928 under the pressure of constant struggles for the Bauhaus survival, He was succeeded by the Swiss architect Hannes Meyer (1889–1954) whose work sought to shape a harmonious society. Cost-cutting industrial mass production was to make products affordable for the masses. Despite his successes, Hannes Meyer’s Marxist convictions became a problem for the city council amidst the political turbulence of Germany in 1929, and the following year he was removed from his post. Under Ludwig Mies van der Rohe (1886–1969) the Bauhaus developed from 1930 into a technical school of architecture with subsidiary art and workshop departments. After the Nazis became the biggest party in Dessau at the elections, the Bauhaus was forced to move in September 1932. It moved to Berlin but only lasted for a short time longer. The Bauhaus dissolved itself under pressure from the Nazis in 1933. Architecture â€Å"The building is the ultimate goal of all fine art,† the Bauhaus manifesto proclaimed back in 1919. Architecture training at the Bauhaus in Weimar was initially the prerogative of Walter Gropius private architectural practice and for a short time courses were run by his partner Adolf Meyer and in association with the â€Å"Baugewerkschule† (building trades school) in Weimar. The Bauhaus workshops were involved in these efforts through Gropius’s office. This collaboration produced the Haus Am Horn in 1923. Some new methods based on specific types and standardisation were employed not only to produce new architecture but to anticipate a new lifestyle through this architecture. In 1927 Walter Gropius offered Hannes Meyer a position in charge of architecture classes. That year Hannes Meyer began to put together a curriculum which included all relevant subjects such as planning, design, draftsmanship, construction, town planning. Architecture for Walter Gropius and Hannes Meyer alike mainly denoted the â€Å"design of life’s processes†. Hannes Meyer went far beyond Gropius’s â€Å"study of essentials†, which focused too much on the object for his taste, turning his teaching programme into one where the concrete conditions in society and the factors determining architecture and its use formed the starting point for all planning and design. The habits of the future residents of an estate or a house were studied in scientific detail. From 1930 to 1933 Ludwig Mies van der Rohe carried on with much of what had been started under his predecessors. At the same time Mies van der Rohe streamlined the curriculum to produce something like a system of courses which left almost no room for utopian experiments. The majority of the new student intake at the Bauhaus had already completed a course of studies, and the Bauhaus became a â€Å"postgraduate school†. Mies van der Rohe’s teaching focused on the design of specific buildings whose appearance owed nothing to Gropius’s â€Å"study of essentials† or to the collective satisfaction of â€Å"the people’s needs†, but which were to be â€Å"the spatial implementation of intellectual decisions† (Mies van der Rohe) in an aesthetically consummate fashion.