Saturday, August 31, 2019

Trace the treatment of the Jews by the Nazis between 1933-45

During the hegemony that engulfed Europe between 1939 and 1945, millions of civilians were murdered, outside of the usual battles of war. The hegemony was unprecedented in the annals of history in that the murder of these civilians had its roots not in the causes of the war, but simply in the prejudice that lay at the heart of the political system that had spawned the war, namely the Nazi ideology formed in the insane minds of Adolf Hitler and his henchmen. To that ideology, the creation of a master race of Aryans with all other â€Å"lower† races becoming servile to that master race was logical and a side product of that ambition was the ethnic cleansing of Europe. The initial plan was to move eastwards all such lower races. In due course however, as the ambitions of the Nazis were initially fulfilled, the problem increased. The pathetic irony for Hitler and his cronies was that the very success of their armies brought under their control even more of the undesirables whom they wished to expel from Germany, so that ultimately far from making the Jewish problem disappear, they brought under their control a further 5,000,000 Jews even before the proposed invasions of Russia and Great Britain, the entire gypsy community of Europe and millions of Slavs in the eastern countries of Europe. The problem was to be solved by the â€Å"Final Solution†. Initially the attentions of the Nazis in the immediate years after their ascendancy to power was directed at a widespread cleansing of Germany. This included primarily Jews and communists, Romany (gypsy) people, homosexuals, those who were mentally and / or physically handicapped and those deemed to be â€Å"politically undesirable†. The initial beatings and tirades against these sections of German society however in due course gave way to a more systematic and co-ordinated campaign designed to enable the authorities to rid society of these â€Å"undesirable† elements. Propaganda under the control of Josef Goebbels was employed to ostracize these elements within German society and make their removal both logical and welcome to the average German citizen. Hitler's satanic vision of â€Å"ethnic purity† was based on the idea of levels of genetic value in people. To fulfil Hitler's dream, the Nazi's established comprehensive systems to segregate and later to execute millions of people designated to be less pure. After the succession to power by Adolf Hitler in 1933, an internal security apparatus in the form of a secret police force was designed and continually refined to result in an iron control of the lives of the citizens within Germany. Perfected, this orderly, internal reign of terror spread, as Hitler's forces extended across national borders and with the relatively easy absorption of what had been part of Czechoslovakia, the annexation of Bohemia and Moravia by Germany in 1938. Slovakia, another region of Czechoslovakia, became a state tightly controlled by the Nazis through the Munich Pact signed with the British Government, which naively believed that this concession would mark the end of Hitler's ambitions. On the evening of November 7, 1938, the Nazi regime co-ordinated attacks against the Jewish communities of Germany. Nearly 180 synagogues were burned and destroyed. Hundreds of Jewish men were rounded up and imprisoned on false charges. Jewish-owned businesses throughout Germany were destroyed, damaged and looted. Thousands of windows in synagogues, Jewish businesses and homes were broken giving this night its name – â€Å"Kristallnacht† or the Night of the Broken Glass. This horrific assault was reported in headlines in newspapers around the world. It was taken correctly by some as a signal of what was yet to come and many Jews, taking the warning seriously, emigrated while they still could. However only the United States of America and to a lesser degree Great Britain were prepared to admit Jews seeking sanctuary. Certain countries, notably Switzerland and France were not keen to allow the refugees to stay within their borders. The fact that no country wished to admit the Jews, seemed to validate Hitler's actions in treating them increasingly more harshly. Visas were hard to come by, but bribery and connections still worked in limited ways. Tragically, most Jews remained, believing Germany was democratic, a country for whom many had served with honour and distinction in World War I. They refused to believe that it would turn against them and harm them. They were fatally mistaken and a massive percentage of the entire German Jewish community suffered horribly, dying in the extermination camps before the end of World War II. By September 1, 1939, contrary to the protestations, the completely restored military force of Nazi Germany smashed across the Polish border, overrunning the weak Polish army and cavalry, still equipped for World War I. By the end of the month all of Poland had fallen. Now 3,000,000 Jews came under the control of the swastika, 20 per cent the Polish population in 1939. Almost immediately, these Jews were placed into ghettos in Warsaw, Kracow, and other large Polish cities and towns, with little sanitation and access to medical facilities. Stopped from trading and effectively cut off from the rest of the world, these communities were effectively isolated, being prepared and â€Å"softened up† for further more drastic treatment. Concentration and labour camps were initially established for punishment for those who offended Hitler or did not fit his ideal Nazi regime. As early as 1933 in Germany, Sachsenhausen and Dachau were places of dread but families were still able to â€Å"bribe† their loved ones out of the camps. Following the invasion of Poland the Nazis were faced with resolving the â€Å"Jewish Problem†. The solution was entrusted by Hitler to Heydrich and Eichmann, both virulent anti-semites, the former a soldier, the latter an administrator. The concentration camps, now full following larger and larger transports of Jews and large numbers of Russian prisoners of war, Polish resistance fighters and others, had to be emptied. Natural wastage by death from disease, malnutrition and beatings would not result in a fast enough solution. Mass murder by bullets or lethal injection was expensive and wasteful in terms of resources, and had a morale depressing effect on the soldiers employed. To accommodate Hitler's demonic vision, On January 20, 1942, a conference was convened under expressed orders from Nazi leadership under the chairmanship of the brilliantly evil Rheinhardt Heydrich. With tea and crumpets, in fewer than two hours of deliberation at the former Jewish-owned Wansee chateau in the outskirts of Berlin, the Nazi officers, including Aldolph Eichmann, created the policy to assure the systematic destruction of Europe's Jewish population. A Final Solution had been formed which was unchangeable. The solution chosen was the creation of mass Extermination Camps, mainly in Poland to which would be transported all the Jews of Europe. Killing began in earnest on or near the homes of the populations, which the Nazis had targeted. Within a short time, the small camp of Auschwitz was enlarged into Auschwitz-Birkenau) a massive death camp in which Jews were gassed and their bodies cremated in a nearby area known for its birch trees, (Birkenau in German). Thus, the infamous death factory at Birkenau was created with the huge crematoria nestled among the groves of once beautiful and peaceful birch trees. Five other sites were chosen for additional death camps. Auschwitz-Birkenau, as the huge complex was to become known, was by far the largest in which well over one million and a half people, nearly 90 percent of whom were Jewish, were put to death and cremated. Notwithstanding the need to continue the huge war effort against the Allied Forces, which included the massively powerful American war machine the Nazis vigorously pursued their plan to destroy every Jew within Europe. As a result, one third of the entire world Jewish population was killed during the Holocaust. The few gates of escape to Allied countries, were systematically closed: the United States, Canada, Australia, Britain, parts of Latin America and elsewhere. The lucky few who could find a way out often survived without the rest of their family. By 1944, the height of the extermination of the Jews, there were over 650 death, labour, concentration, camps and ghettos. Of the millions of Jewish people so imprisoned a very small percentage survived to give testimony to the unimaginable crimes which had been committed. Those who did so survive, faced the prospect of reconstructing their lives, more often than not with no money, family, possessions or state. Hitler had identified the â€Å"problem† in Mein Kampf, had thought that he had solved the problem by expelling the Jews of Germany, but ultimately had found that his success in battle multiplied his problem, from which there was to be only one route for the Nazis to take – the eradication of European Jewry by extermination.

Lebanese Women Rights

Lebanon more established extremelydifficult political circumstances that result in war quite just once that deteriorated the state and every one laws and created an environment wherever violating human rights is well reached. though Asian country was one in all the member states behind the universal declaration of the human rights that was custom-made by the global organization general assembly on Gregorian calendar month 1948(Charafeddiene, 2009). Lebanon could be a various society that a good variety of voters was raised in well developed countries, besides quite seventy p. of the individuals square measure educated and a good variety of thinkers rose up from Asian country, still human rights aren't revered and particularly women’s rights, thus as girls across the globe take a flash to celebrate their various achievements in Asian country still fight for theirs in associate degree unrelenting patriarchic society(Castle 2009). And in an exceedingly country wherever women†™s rights looked as if it would be revered, still girls cannot pass their status to their broods; government has its reasons however girlssquare measure adhered to their right.The Lebanese status is transmitted by paternity (father). However, this offers the proper to Lebanese to transmit citizenship to their youngsters and foreign wives. (Lebanon: provide girls equal citizenship rights to men beneath the status law 2013 ) the main needs to the Lebanese needs could be a Lebanese father, according to the United Nations this can be thought-about discrimination and it's any upheld by Lebanon's reservation on Article two of paragraph nine of the United Nations Convention of the Elimination of All varieties of Discrimination against girls, signed in 1996. his can be the most conflict by that Lebanese girls square measure hard-to-pleaseto regulate this law and to present Lebanese girls there rights en passant status to their spouses and husbands. Kleib 2 Samira Soueidan's the Burj Hammo ud resident fell smitten, married and began a family. When her husband kicked the bucket in 1994, Soueidan was left with four youngsters the Lebanese state viewed as foreigners. Her crime? Soueidan had married associate degree Egyptian. hereas Lebanese law permits men to expire their status to their non-Lebanese wives and kids, it prohibits Lebanese girls married to non-Lebanese from doing constant. ( One Woman's Fight Against Lebanese status Law, 2013) â€Å"It's extremely ironic that we tend to faux to be the foremost liberal country within the region once we are the most patriarchic and booth at constant time,† (Abou-Habib 1994). the most right girls square measure hard-to-pleaseis that the equality and therefore the full citizenship and to be within the same category as men not a secondary category.Lebanese law discriminates girls and deprives girls from their rights, giving men additional rights. girlsneedto interrupt this masculine society that contradicts with Lebanese constitution and conjointly contradicts with several of national human rights standards â€Å"Convention on the Elimination of All varieties of Discrimination against girls â€Å"(CEDAW). girls have masses additional reasons to regulate the law.Adding the proper of the spouses has the proper to carry the status of their mother, this can be his identity, his mother and grandparents were raised in an exceedingly country that he will visit it as a guest, neglecting the very fact that he belongs to the current space, what is more he would are living within the country till he's over-the-hill, culture, traditions, friends, family land recollections were all gained in Asian country, and a jiffy be treated as a guest or a interloper desires a permission to go to the place he/she was raised in. ut broods that lived off from the country have the proper to go to wherever Kleib 3 their mother was raised and even additional the proper to freely selectwhereverto measure. consistent with Dr. A man Kabara this law affects not solely girls however rather the full family negatively (Mahdawi 2013).The socio-economic scenario has effects on the full family, families of Lebanese girls square measure needed to pay annual residency allow fees of around $1,200 per individual, endure regular medical check-ups and blood tests, and face wide difficulties in accessing or reasonable education, besides they can't profit social insurance and government subsidies, and health-care in Asian country isn'treasonablewhile not the social insurance program. what is more non-Lebanese cannot attain legal job neither public sector nor within the non-public sector unless they need a permission from the labor ministry.Samira value-addedâ€Å"My youngstersestablish as being 100% Lebanese, they are doing not have the other status. They love their country considerablyand that they were born and raised here entirely. â€Å"( One woman's fight against Lebanese status law 2009). May Kingall hopped to exa mine a law before she dies and tell her story â€Å"adding she had struggled for years to pay the residency fees for her half-Irish female offspring, currently over forty years previous.Kinghall aforesaid her female offspring, despite having a Lebanese Baccalaureate and a degree from the yankee University of capital of Lebanon, had to go away Asian country as a result of, while not a Lebanese passport, was unable to figure. â€Å"I'm still fighting to induce the proper of status for my kidUN agency was born here, raised here and UN agency feels she belongs here,† Kinghall value-added with exasperation Kleib 4 our kids square measure watched as aliens to the state. Hundreds of Lebanese girls demand equal right to expirestatus 2009) Problems that girls talked regarding were various consistent with the study of the global organization. they're issues that folksof various cultural, social levels and political orientations stumble upon. They shed the sunshine on the human rights of all voters If human rights guarantee to a personal the elemental rights, as an example right to figure, health care, environs and property, the rights of citizenship renders the optional matter a necessary one. girls square measure equal voters with men. Thus, why square measure they missing human rights?There square measure extravariousissuesexplanation from thisstatus Law, among thatthe texture of non-belonging that convoys lives of families and therefore the deep concern going hand in hand with details of everyday life. If the sensation of estrangement is that the least imperative in an exceedingly society that's as open because the Lebanese society, the children’s worries concerning the longer term and for the longer term, that they get from their folks, flip misery into pains that mother voiced with some tears that attended their confession of ignoring this law and therefore the ensuingissues it brings to their families. Charafeddiene, 2009) The minstrel committee eve n this difference by reasons that were almost like jokes as activists aforesaid. the foremost important reason was the demographic balance between Muslims and Christians that is hooked up to a additionaldifficult issue that is giving status to Palestinian refugees in Asian country. This last issue was major Kleib 5 reason within the continuous civil clashes for fifteen years, and still not resolved till of late and should stir up the war once more.The committee suspect that an oversized variety of Palestinians within the refugee's camps square measure married to Lebanese Sunni girlsattributable to the massive interaction between Muslim Sunni and therefore the Palestinians and the common faith. queries were asked regarding proportion|the share|the proportion} distribution of marriages consistent with faith and weather this percentage is decent to deny the women’s right fully citizenship. The statistics of the interior and municipality’s ministry, and therefore the Musli m courts and therefore the Christian church was that eighty seven. % marriages square measure Muslims and twelve. 5% square measure Christians, and by sects fifty one for Muslim Sunni, and if we tend to take the share by country of the husbands particularly Palestinians husbands square measure twenty first and ninety one of those twenty one square measure Muslim Sunni. Those statistics will support their purpose of read in unbalancing the demographic distribution unless we all know the share in numbers that eighty,000 square measure ones served by this Law that is a smaller amount than a hundred and twenty fifth of the Lebanese population that is negligible for the balance.Even additional the law was adopted before the immigration of Palestinians’ to Asian country (the law of status was adopted in 1925 and therefore the Palestinians immigrated in 1948 to Lebanon). thus this law was born filled with discrimination and difference. Men also are marrying non-Lebanese and consiste nt with the Lebanese general security, share of men marrying non-Lebanese is quitegirls marrying non-Lebanese and this could threaten the balance additional. Kleib 6The minstrel committee had additional excuses to support their purpose of read, either than the political problems demographical balance, it had been the difficult economic scenario in Asian country, and therefore the committee aforesaid that Asian country cannot hold additional responsibilities on different voters, and therefore the subsidies and social insurance cannot cowlextravariety of voters, and it'll be obligatedto hide the Palestinian refugees beneath this law. This reason was unimportantconsistent with the activists since these square measure active votership that may profit the country like several different citizens. oreover in traditional conditions Lebanese government isn't holding responsibilities, voters square measure fighting to possess their rights and that they square measure managing. Hundreds of gir ls activists square measure protestantto achieve their rights fully citizenship and to achieve different girls rights, a number of the organizations political figures in Asian country supported them, and that they draft a replacement citizenship law that respects girls rights and respect the gender equality. he primary Lebanese woman and therefore the Lebanese President is supporting the move, however still the govt isn't issuance this draft law, ladengirlsonce interviewed couldn’t continue the interview while not crying, that’s a good proof on what quantity these girls square measure neglected. girlsassociate degreed human rights believers ought to take an action and support those families to achieve this right, and begin the modification in Asian country on completely different sides.This was acceptable once a lady required a defender and once her capacities and potentials failed to alter her invariablyto form the proper decisions and choices. However, oncegirlsthese days square measure additional educated surpassing those of Kleib 7 males, meeting capacities in body and political opinions thatgirlsare aloof from,. (Charafeddiene 2009).And knowing that Asian country is one in allthe foremost political difficult countries and has endless difficulties, still the beginning ought to be by giving rights to any or all voters and equality ought to be noninheritable . Lebanese individuals says proudlyregarding freedom and rights in Asian country, this pride ought to push to support the hard-to-pleasefor ladies rights. Read more at http://smallseotools. com/article-rewriter/#qjZSvHQXilDiPq0b. 99

Friday, August 30, 2019

Сivic Sense

As you look around you, you are surrounded by the latest technology and everything seems to be more modern and mature. But, according to me the citizens of India are not mature enough when it comes to civic sense. This is the only thought that is lacking in the attitude of people. They are so focused towards their own goals that civic sense has become a matter of low priority to them. So, what is civic sense? It is nothing but social ethics. A lot of people assume that civic sense is just about keeping the roads, streets and public property clean.But civic sense is lot more than that; it has to do with abiding to the laws, respect for fellow citizens and maintaining decorum in public places. A lot of foreign countries function in a smooth manner because of the strong civic sense amongst its citizens. Even the schools do not give much importance to civic behaviour. Only a couple of lessons focus on this topic and it is out of the students’ mind the next day. Not even the parent s at home give much importance to civic sense.They do not understand that preaching their children about civic sense can make a difference to the country as well as their lives. Vandalism, separation, road rage are the few of the many examples of lack of civic sense. Riots take place as people do not respect each others religions and culture and infact, these are the people that lack civic sense. As you visit different cities of India, you will find one thing in common, roadsides or public places littered with garbage and people spitting in different places.This makes us think that India has been turned into a garbage dump. This is all because of lack of civic sense among us. The other foreign countries are not so poorly maintained and are ten times cleaner and hygienic than India because the citizens of those countries have a stronger civic sense than those of India. They pay a hefty fine for vandalism, road rage and other examples of lack of civic sense.

Thursday, August 29, 2019

Managing the employment relationship Essay Example | Topics and Well Written Essays - 1000 words

Managing the employment relationship - Essay Example Under this situation, it is highly likely that the new and experienced staff would find it hard to continue performing their tasks in a professional manner. Till this point of time, both Harvey and Wong have not been able to provide any practical human resource policy. In a closer analysis of the case study, it can be easily deduced that the organization is more interested to expand business and to look for new business opportunities in Europe and Asia as well instead of giving fair time and attention to both internal and external issues. From a business perspective, this expansion policy is commendable step. However, giving insufficient time and the absence of any policy to the internal matters makes it hard for them to achieve their business and performance objectives in a timely and professional manner. As a result, both Harvey and Wong face the problem of grumbles and it further intensifies as no formal mechanism has been put in place to address the concerns of employees. Demotivation among other employees will be increasing. It is a normal practice that employees share their feelings and grievances with colleagues in the workplace. More specifically, the employees do not find it reasonable to hide their grievances instead they find it as a way to forward their concerns to appropriate authority through sharing their employment problems with their colleagues and friends as well. As far as the current situation is concerned, it is highly likely that the employees are not satisfied but highly worried about their employment issues. Moreover, if the grievances of one employee are not addressed on time, it cannot be ruled out that the employees find little motivation to complete their assignments and tasks enthusiastically. Employee productivity and motivation go hand in hand. Employee productivity refers to the output produced by

Wednesday, August 28, 2019

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

Economy - Essay Example Thus, this chapter discusses both the supply-side and demand-side factors that lead to differences in occupations and earnings. The authors, based on statistical analysis, note here that occupational segregation has declined over the past 30-40 years as women increasingly aspire for better education and have become more competitive than before. They however warn that despite these latest trends, gender disparity continues to be noticeable among different occupations. For example, Women comprised over 95% of nurses and constituted over four-fifths of all schoolteachers during the mid-nineties. Men, on the other hand, were dominant in the manufacturing sector. Blau et al note that gender and wage differences have remained existent for long periods as both groups have restricted themselves to such specific professions. They further attribute gender differences as the primary reason for discrepancies in job hierarchies, promotions and pay and analyze these factors to highlight their indi vidual and collective impact on the male and female workforce. Chapter 6: Differences in Occupations and Earnings: The Human Capital Model This chapter introduces the role of various factors like educational attainment, productivity and training in narrowing the gap in pay based on gender differences. The authors contend that rising educational qualifications among women has resulted in subtle cracks in the glass ceiling that is apparent in most corporate organizations, and explain it using the Human Capital Model. The authors study the relationship between labor longevity and investment in higher education and argue that women tend to invest in the latter as they see better prospects for staying within the workforce for longer durations. They further noted that women prefer on-the-job training citing better employment prospects and as a way to reduce any potential barriers to career advancement. These trends reflect on declining barriers to career opportunities besides throwing lig ht on changing practices among educational institutions with regards to admission policies and inclusion of a higher percentage of women. The authors also cite several legislations such as the Title IX of 1972 as additional reasons for reduction in gender-based discrimination among educational establishments. For instance, the percentage of women in institutions of higher education has risen from a meager 7% during the 1960s to as much as 35-40% across all professional fields and courses of study. The authors also discuss in length about the ‘Index of Segregation’, which measures the extent of segregation on the basis of gender across several hundred occupations. Numerically, this index estimates the percentage of each sex who must change jobs in order for the professional distribution amongst the two groups to reach equilibrium. Over the years, the Index has reduced from a massive 67% (in terms of women) to nearly half by the turn of the century. Chapter 7: Differences in Occupations and Earnings: The Role of Labor Market Discrimination Through this chapter, the authors primary demonstrate that discrimination within the labor market does exist when two similar individuals with equal qualifications, experience and profiles are

Tuesday, August 27, 2019

Ladders and stairways safety Essay Example | Topics and Well Written Essays - 1750 words

Ladders and stairways safety - Essay Example Stairway or ladder is considered as essential to provide to the employees when nineteen inches or more elevation has to be made without any ramp, embankment, runway or personal hoist. It should be kept in mind that it is mandatory for the employers to provide its employees a ladder or a stairway in every such point of transition. If the two levels are joined by only one point of transition employers should keep that point clear of any obstacles so that the employees are ensured of a free passage of movement. However even after taking adequate precaution if that transit point gets clumsy so that the movement of the employees gets severely restricted, the employer should prepare a second point of transition between the same two levels and provide its access to their employees. Furthermore if on from the very beginning or in the course of work a certain working place gets more than once access point between two levels the employers have to ensure that one of the transit point must be open for all the time and it should be cleared of any obstacle as well. A culmination of cautiousness, precaution and technology has to be used to ensure ladder safety at work place. To avoid slipping hazards ladder should be kept free of any slippery materials such as oil, grease and other form of oily element. Even to maintain a ladder use of all these products are strictly prohibited. Even after taking all the precautionary measures, if somehow the surface of the steps catches oil immediate wipe is strictly recommended. Each type of ladder is constructed with a certain objective and using them for their particularly purpose would not only ensure their longevity but it will also keep away several unwanted incidents. While putting a ladder into use the surface quality must be carefully watched. If the surface is uneven or slippery it may easily

Monday, August 26, 2019

The clinical Leaning environment Essay Example | Topics and Well Written Essays - 250 words

The clinical Leaning environment - Essay Example The relationship of the teaching staff has a significant impact on the quality of nurses, it is one of the most crucial factors that are necessary for a positive learning environment. Teachers are also a channel towards better learning opportunities and many students identify that the attitude of teachers towards students and access to better learning are very important towards their development. Another factor which in my opinion is extremely important for proper clinical placement is proper professional orientation. Many nurses are being ill-treated in different clinics because of less staff, work load and many a times, the staff feels threatened by the nurses. All these problems were not encountered by me during my work here. Also, in this hospital, the staff was very resourceful in terms of their knowledge and experience. It was encouraging, supportive and acceptable towards minor mistakes. The entire experience of your clinical placement is shaped by the overall culture of the ward. It gets uncomfortable when students face unfamiliar patients and hard to follow schedules. If students are accepted wholeheartedly in the ward and are appreciated for their interest in the field, the clinical experience becomes better. Hence professional, educational and learning influences do impact on one’s overall clinical experience. Although in my opinion, my CLE was near perfect, but here was one area which i felt needed improvement and that was the proper training for those nurses who enter the Intensive care Unit or ICU. This unit is one of the most sensitive units in the hospital and one should be subjected to some special learning procedures in order to become a master at those skills. This problem is not only pertinent to this hospital but worldwide also; there are really few publications that focus on those nurses who are entering the ICU for the first time. So I think this area needs a little bit

Sunday, August 25, 2019

Trend of Food Truck in University city of Philadelphia Research Paper

Trend of Food Truck in University city of Philadelphia - Research Paper Example result, communities across the country from Philadelphia to Los Angeles have become a crucial part of the ongoing movement of finding out better ways of managing and regulating mobile vending (Spelman, 2010). Lifestyle and policies are found to be the key elements that have led to the tremendous increase in the number of food trucks in the city. Most of the people in the city prefer fast foods especially considering the fact that the city has a consistently growing population of students because of the two major universities (Stadd, 2011). This can be supported by the fact that most of the food trucks in the city have been on campus stalwarts for many years though their numbers has dramatically increased in the recent past. This means that majority of the people eating in food trucks are youths and a persons who are below 40s who are usually casually dressed. Lack of clear policies regulating the business is also believed to be another key attribute of the immense boom of this business (Edge, 2012). Food trucks in the University City are more popular than the ordinary restaurants because of the variety of foods they offer at relatively lower prices. Most of them use large vehicles that are installed with high-tech cooking gadgets as well as sanitation devices that provide sophisticated and safe cuisine commonly prepared to order rather than being precooked. This gives food truck an upper hand in the food and service industry compared to ordinary restaurants. Therefore, local governments should introduce favorable policies that would regulate food trucks and that will incorporate food trucks into the fabric of the city (Ercolani,  2013). The proposed research study will be conducted using both quantitative and qualitative research methods, meaning that the researcher will use qualitative and quantitative research concepts. The targeted respondents in this case include 50 customers of the food trucks and 10 food truck companies. Using a hybrid of these two

Saturday, August 24, 2019

God of Small Things by Arundhati Roy - Dramatic Monologue Essay

God of Small Things by Arundhati Roy - Dramatic Monologue - Essay Example Do you think that you alone are the protector of Purity of the future generations! Purity! What sins you all continue to commit in the name of Purity! You’re so ruthless against Velutha as if he were no human being at all! You are a liar and commit perjury, and you brag about your self-righteous actions! You always deal with me with your famous double standards! Chacko marrying an English woman is an adventure and my marriage to a Bengali and Hindu is a sin according to your caste mentality! You cruelly dislike my children for being Hindu hybrids! You condemn me and condone Chacko! Why do you go hysterical for my being with Velutha? Does he not have man’s needs? Who are you to impose restrictions on my biological needs, my progression and regression? You call me an animal just because I refuse to be docile and submissive? I hate your ideal role models of women like Sita or Parvati. I want to walk out to a better, happier place with Velutha. You attack my life like a sui cide bomber bent on destroying me—emotionally! I am not willing to stay on the dividing line based on castes! You are out to destroy my only future—Velutha—and for that you plan to murder him legally, through the brutalized police department. You have broken him and me physically and mentally at the altar of phantasms of purity. I hate your maternal and martial conventionality from the bottom of my heart, and you have no business to lock me up at the altar of love defined as per your wicked mathematics, and I will continue to resist you for your efforts to destroy my identity. Cannot an ‘untouchable’ pursue happiness? I consider it my duty to love him and support his love for me by challenging these humiliating political and social structures. We both seek emancipation from the exploitation of the worst order. Rahel and Estha look up to Velutha as a father-figure. What’s wrong about it? They are unfortunate to have been denied love from their father.

Friday, August 23, 2019

Land law Essay Example | Topics and Well Written Essays - 2000 words

Land law - Essay Example He also explained that in 1995 he bought a twenty-year lease of the flat from the then owner. The owner later sold the house to Anjum in 2002. Ned produced a document signed by him and by the previous owners, setting out the terms of the lease. The document is dated 1 June 1995. Mishal and Rick do not have a copy of the document and cannot recall if the signatures were witnessed. Ned also explained that they had had an agreement with Anjum that if Ned gives Anjum ?15,000 he will have procured the option of purchasing the house for ?300,000 at any time between 1 December 2013 and 30 November 2014. He had a document duly signed by Anjum and him for that effect and was dated 1 December 2012. Mishal and Rick do not have a copy of this agreement. Anjum sold Ned the option because she needed the cash. Ned has saved enough to purchase the property and now wants to purchase it. 1. Mishal and Rick are entitled to evict Ned Mishal and Rick have a proprietary interest in the property that they have purchased from Anjum. Their interest is registrable in accordance with s.27 of the Land Registration Act 2002. Mishal and Rick registered the property shortly after completion. This section demands that any transfer of a freehold, whether by value, gift or death, be registered. If such a disposition is not registered then it does not operate at law (Feinman, 2010). Since the land title was absolute title, it was clear that had there been any other interest in the land, and house, it would have been registered with the registrar of land. An absolute title means that there is nothing dubious about the title. Ned bought a lease for 20 years from 1995. Since the lease period is above seven years, Ned should have registered this interest, but he did not since the absolute title did not have a record of another interest against it. The Law of Property (Miscellaneous Provisions) Act1989 clearly states in section 2 that for a contract of sale or other disposition of an interest in land to be valid all the terms must have been made in writing and all terms incorporated in one document, or where contracts are exchanged, in each. Therefore, the documents that Ned produced, purporting to have entered into contracts with the two previous owners does not hold under the law because they are not in the same legal document which should contain all the material terms. This point was made in Keay v Morris Homes (West Midlands) Limited [2012] EWCA Civ 900 where a document purporting to be a contract that complies with the provisions of s.2 of LPMPA 1989 but did not include all the expressly agreed terms was not considered as a contract at all. In the ruling, the judge mentioned the Grossman Point by referring to the Grossman case. In this case, Mr. Hooper bought a property in his sole name. Miss Grossman had beneficial interest in the property. After 10 years their relationship deteriorated and they parted ways with signing of a document of informal agreement transferring th e property to Miss Grossman. The document expressly provided that now Miss Grossman will take charge and responsibility of repaying the mortgage secured against it. After she contended it was held that the document was void as a contract as it did not comply with s.2 which directs that the all the express terms be included. The need to clearly state in writing the all the express terms is also evident in North Eastern Properties Limited v Coleman Limited and another [2010] EWCA Civ 277 and First

Examine from an economic perspective Scotlands position in Europe in Essay

Examine from an economic perspective Scotlands position in Europe in relation to the recent Scottish independence referendum. Based upon your analysis which way should we have voted - Essay Example To begin with, the Scotland’s referendum vote in 2014 was a historic turning point for the entire Britain and Europe as a whole. Many political leaders and other influential leaders stood up to oppose the independence of Scotland, pointing out the negative impacts that this could cause to the European economy (Castells 2014, p. 23). For instance, this response was motivated by many leaders due to the fear that separation of Scotland from Europe would worsen the economic predicaments not only in Europe but also drag the entire United Kingdom. Amid predicted that a Yes Vote to Scotland’s independence would result in a decrease in the pound’s value to 15 percent, which is approximately 17 billion pounds of UK shares (Tindal, McCollum & Bell 2014, p. 89). Bonds as well as other financial assets were already sold by investors, thus negatively affecting the European economy at large (Furby 2012, p. 67). For instance, the Times revealed that the fear of Scotland’ s independence resulted in sell-off of many British investments. One of the impacts of independence referendum is all about oil production. U.K is the leading producer of oil in Europe and most of its oil comes from areas that Scotland’s independence claimed. The independence of Scotland from this perspective would cause a lot of harm to the economy of Europe. United Kingdom is likely to grab a share of the current oil production and reserves. This will result in Scotland remaining with oil that is worth  £1.5 trillion. Secondly, massive financial industry of Scotland seems ready to collapse if voters could prefer a Yes vote. The biggest banking and insurance companies such as RBS (Royal Bank of Scotland) had decided to move their headquarters, including other departments of their operations to England if the voters of Scotland had chosen independence. The financial sector offers employment to approximately 100,000

Thursday, August 22, 2019

The End of Western Roman Empire Essay Example for Free

The End of Western Roman Empire Essay The Roman Empire, perhaps the strongest, most evolved and most consistently fascinating empire has been the subject of historical research and discourse than any other empires that the history of the world has seen. Its birth and its rise was a complex process involving a multitude of factors that came together to create a super-power the world had never seen; its decline – more complex still. It is difficult for historians and researchers to pin down the exact chief reason of its decline and highlight the one major cause that led to the downfall of the giant. From foreign invasions to incompetent emperors, from internal strife to crippled economy – all have been cited time and time again as the real culprits. The views are vast and varied and invariably historically supported by facts from the annals of history. However, the causes of Roman decline still remain debatable. Wickham (184) and Goffart (1981) have grappled with the issue of Roman decline in their own separate ways. While the former has recounted the changing economy of the Empire as a chief cause among many, the latter has listed foreign invasions as a major culprit. Wickham, in his article ‘The Other Transition: From the Ancient World to Feudalism’ has delineated the slow but sure changes in the economic fabric of the Roman society as it neared its downfall and the impact these changes had on the social, political, national and ideological front. The Roman Empire’s shift from an empire that thrived on taxes, to an empire that became dependent on the feudal system of governance for its sustenance, is the prime focus. Wickham has analyzed the underlying economic currents that shaped the Roman governance, and ultimately the Roman society, and concentrated solely on the economic process of change and its implications. The mode of production of the Roman Empire was perhaps one of the most important aspects in its economy and its shift from the slave traditions to serfdom and tenancy had deep ramifications. The writer has referred to a valid point once raised by Bloch who discussed how the number of slaves in the Roman Empire did undeniably increase during the great wars of the fifth to sixth centuries A. D but the increase in the number of slaves did not necessarily lead towards increased number of slave plantations. These slaves were primarily forced to participate in wars instead and the view that growing slavery in fifth and sixth century must naturally point towards a strengthening of the slavery structure is essentially flawed. In the early stages of development, Rome had become an exploitative state by nature where the government wealth came to be collected from tributes and taxes from cities, neighbouring states and the general public. This gradually developed into what Wickham calls ‘a wholesale taxation network’ coupled with slave plantations. By the end of the third century however, slave plantations had disappeared and the agrarian production depended more on tenants and the feudal mode of production. However, the Roman Empire, with its mind-boggling vastness, still depended on taxes for its support rather than land rents or serfdom. ‘The dominant source of surplus extraction in the late empire was not rent, but tax. ’ Taxation commanded the economy and was the economic foundation for the Roman State. By the fifth century however, things began to take a slow but decisive turn. The landed gentry, and even the general public for that matter, came under increased pressure as heavy taxes were imposed to not just take care of wartime expenses resulting from skirmishes with the Barbarians, but also to fill the pockets of the urban governments. The private land owners realized that the Roman patronage was too expensive as armies, bound to offer protection against the Barbarians, began to lose ground and military expenses bloated. Peasants too began to adopt rent-paying to powerful land-owners as opposed to paying taxes directly to the State. Wickham writes, ‘Benefits from the state had never justified the weight of taxes in the eyes of peasants, and nor did they any longer for landlords. ’ Hence, both the peasantry and the aristocrats sought refuge in a system that saved them from the back-breaking weight of taxes. When the aristocracy lost interest in the state and developed their own preoccupations, maintaining a feudal system on their lands, the state suffered enormously and when not supported by the peasantry – a group equally wary of taxation systems, the Roman Empire felt the reverberations. Walter Goffart (1981), on the other hand, focuses on an entirely different aspect of Roman decline in his work ‘Rome, Constantinople, and the Barbarians. ’ He admits, and sufficiently cites respected historians to strengthen his case, that the rise of Christianity and the Barbarians had undeniable, deep impact on the last few centuries of the great Rome and elects to focus on only one aspect out of the two. In Goffart’s opinion, the Barbarians put Rome in a complex quandary, yet it was the Romans who shaped the relationship and dictated the terms on which the mutual encounters were formulated. For Goffart, it is crucial to understand the dynamics of the Roman-Barbarian relationship by viewing it from the Roman side of the border. It is important to keep in mind, points Goffart, that the Barbarians were never ill-equipped to handle the Roman Empire and had continuously and with single-minded determination inflicted heavy damages to the vastly superior Roman army, yet it was the Roman Empire itself that gave them numerous openings to inflict losses. Gaining advantages from the internal strife and the preoccupation of the Emperors with politics and inner problems, the Barbarians shrewdly targeted an army that though well-equipped and colossal, was still insufficient to safeguard the vast borders. In addition, the mounting expenses of the armies made emperors reluctant to unleash brutal force on the war-mongering Barbarians as they realized that the tax-payers might be unable or unwilling to pay for wars on the frontier. In addition, as internal strife and rebellion increased, Barbarians were promptly employed by either the Emperor or the usurper to fight the wars on their behalf as Goffart comments, ‘Political competitors invariably occupied a higher place on the agenda than alien enemies; barbarians were the natural allies of emperors and usurpers alike in their fratricidal struggles for power. ’ Interestingly Goffart claims that the ability of the barbarians to assert themselves ‘hinged far less upon their strength and wishes than upon the response that the Roman government could make to them in the short and long run. ’ Even though addressing the causes of the fall of the Roman Empire is a common concern for both historians, it is the approach taken by them that differs. Where on the one hand Wickham believes that the shift in the economic setup of the Roman Empire from revenue-based governance to feudal form of governance brought about major changes and somehow contributed to the decline, Goffart, on the other hand insists that the long winding, never ceasing strife with the barbarians chipped away at the roots of the powerful empire. Admittedly, both agree that the causes delineated by them individually are not the sole ones but chief reasons among countless others. Both writers insist that the decline of the great empire was a slow process and was brought about gradually rather than suddenly. For them, destruction of an empire as vast as the Roman Empire could not have possibly been a sudden incident brought about by calamities or foreign aggression. Both have laid stress on the importance of social, cultural, geopolitical and economic changes brought about by changing internal or external realities to be the real culprit. For the historians, the system of governance and the mindsets of the ruling elite had a lot to do with the decline and waning of glory. For instance, discounting the importance of increasingly aggressive neighbours, internal strife, palace conspiracies or agrarian instability as sole causes, the writers hold that the last nail was hammered down by the supreme powers and their critically strategic mistakes, as in the words of Goffart, ‘The critical element, however, was neither Gothic strength nor deficient Roman means; it was a scale of imperial priorities in which the repose of the many had an absolute preference over the safety of a few. ’ Where on the one hand, both the historians have relied on famous classical historians such as Polybius, Cassius Dio, Herodian, Tacitus etc. , they have on the other hand cited extensively respected contemporary scholarship on the Roman history. Historians such as Piganoil, Haverfield, Haller and Dannenbauer, Hindess and Hirst, Perry Anderson and Finley etc. all are generously cited to support the theses. It is interesting to note that the reasoning employed by both historians is uniquely independent as they have drawn their own conclusions and at times chosen to take entirely differing views from previously accepted notions. For instance, Goffart claims that the common perception that the barbarians migrated towards the Mediterranean as a means of escaping the unfriendly Baltic regions is a flawed perception based solely on misguided views and shaky historical claims. The writer has also stressed on the need for objective analysis and has expressed open approbation of Sulpicius Severus, a much less noted historian, over the more widely respected Polybius, as a more dependent source. Both writers have shed light on issues hitherto neglected and taken a decidedly different stand on issues. Negating the widely held belief that the barbarians were in a way responsible for Roman downfall, Goffart insisted and proved by means of historical evidence that it was in fact the weakness and procrastination of the Emperors, who chose to first give precedence to warring with usurpers and rebels and employed the same barbarians in their internal strife instead of taking a stronger stand and not settling with cutting off portions of the territory in lieu of shaky peace. It was not the barbarian aggression, as is widely believed, that the Romans could not stand but their own errors that weakened them. Accounting the shift from the tax system to the feudal system, Wickham has demonstrated a fresher insight into the long-held and cemented perceptions regarding the economic realities of Rome between the third till the sixth century. Pointing out how the peasants began to avoid state taxes and sought refuge in the feudal system, Wickham has demonstrated the break that happened between the state and the aristocracy, as they now adopted the feudal system as undoubtedly profitable for them. References Goffart, W 1981, ‘Rome, Constantinople, and the Barbarians Author,’ The American Historical Review Vol. 86, No. 2, pp. 275-306. Wickham, C 1984, ‘The Other Transition: From the Ancient World to Feudalism Author,’ Past and Present, No. 103, pp. 3-36.

Wednesday, August 21, 2019

Effectiveness Of Kinesio Taping Method Health And Social Care Essay

Effectiveness Of Kinesio Taping Method Health And Social Care Essay Kinesio taping was invented in the 1970s in Japan by Dr. Kenso Kase. Dr. Kase was intrigued with kinesiology and conservative ways of treating traumatized soft tissue. Through his new tape and technique development, Dr. Kase accomplished his goal:  to have patients experience immediate improvement after one visit (21). Through ongoing work in 1984 Dr. Kase was able to establish the Japanese National Kinesio Taping Association and started using the method for the first time with the Japanese National Volleyball Association in 1988 Olympics. Moreover, it was formally used for the first time in the US with the National Athletic Trainers Association. Physical therapists professionals started using it in 1997. Dr. Kase finally took approval from Medicare billing code for taping in 2001 (21). Now kinesio taping is most commonly used in sports treatment centers, also physical therapists use it for muscular pain, joint pain and related ailments because it is effective treatment for muscle and joint dysfunction (21). Kinesio taping, created by Kenzo Kase, is a specialized thin, elastic tape that can be stretched up to 120% ~ 140% of its original length making it quite elastic compared with the conventional taping (12). According to the Japanese National Kinesio Taping Association, the Kinesio Taping Method is defined as one that enhances the bodys natural healing process and provides support through the muscles (21). Kinesio tape has a physiological mechanism and is effective on soft tissue, muscle, and joint. Mechanism of kinesio tape method KT%20on%20skin.jpg The kinesio tape method has a good effect on the human body and most importantly it influences the musculoskeletal system, which makes this method very beneficial for physical therapists. There are many effects for this method. The three main principles that kinesio tape depends on are space, movement and cooling (21). Inflamed muscles are painful and swollen which causes a lack in space. The kinesio taping technique is applied to produce space but also leads to the prospect of improved movement without affecting circulation. This space and movement then allows for cooling of the affected muscles, and in certain cases cryotherapy is used with the tape (21). Another good reason to use this taping is that it acts as a pain relieving agent and, focuses on balancing muscles and enhances the function of the muscle smoothly up to an efficient level. The kinesio tape has physiological mechanisms that give the therapeutic benefits of reducing musculoskeletal disorders. These physiological me chanisms are: Aligns fascia tissue in its desired place. Reducing pressure over the lymphatic channels giving a path for the elimination of exudates. Providing a positional stimulus to the skin. Lifting the skin over areas of inflammation, edema, and pain. Increasing stimulation of the mechanoreceptors to either stimulate or limit movement. The key feature that allows athletes to continue their training and sporting activity with kinesio taping is that it gives muscle support without affecting circulation or range of motion. Now to apply kinesio tape therapists must pre-assess the athlete. (8) Pre-applied Kinesio taping method training and practice are requiring appropriate assessment. Assessing and evaluation the patients condition and looking at both the symptoms, is the only way to provide successful treatment because each individual patients condition is different (10, 21). There are certain screening tools that should be used to evaluate the patient, such as manual muscle testing, range of motion testing, gait assessment, and any other orthopedic special tests that the practitioner may deem necessary (10,21). This clinical assessment dictates the specifics of the Kinesio Taping Method application and other possible treatments or modalities (10).There are different applications to apply kinesio tape after pre- applied examination. Kensio Tape application The specifics of the Kinesio Taping Method application and other possible treatments depend on the condition of the athlete and patient. The mechanism of kinesio taping method utilizes only I strips or modifications in the shape of an X, Y or extra or new specialized shapes that conform to muscles insertions and origins, or calibrating the direction and quantity of stretch placed on the tape at time of application (21).The application of kinesio taping has hundreds of ways. This ways has the capability to re-educate the neuromuscular system, reduce pain and inflammation, provide support for joint, prevent injury or related injury and encourage good circulation and healing. The applications adapt to sit of injuries (21).sports0_gifts_tape_11_20.jpg One article that illustrates the effectiveness kinesio tape effect on forearm extensors on collegiate tennis: This study shows the effectiveness of kinesio tape on musculatur of the forearm extensors on collegiate tennis athletes. The study takes fourteen participants (8 female and 6 male) who exhibit a 40% to 50% chance of being diagnosed with lateral epicondylitis at some point in their occupation, to determine if kinesio tape used in healthy collegiate tennis athletes is effective at decreasing fatigue by maintaining strength of the forearm extensors, which are frequently related with lateral epicondylitis. The outcomes of this study show that Kinesio Tape, when applied to healthy colligate tennis players, helps to sustain the strength of the forearm extensors. (11) Kinesio taping techniques of collegiate tennis: on this study, The kinesio tape group received the application for lateral epicondylitis of the elbow using black 2 inch (5 cm) Kinesio Tape. The subjects forearm was prepared for Kinesio Tape application with alcohol pads. The Kinesio taping Y strip was applied from insertion to origin, to reduce muscle function in acutely over-used muscles, with paper-off tension, which refers to application of the tape directly to the skin from the paper backing. The Kinesio Y strip is made from a single strip of tape with a cut down from middle to produce 2 equal size strips. This application decreases the strain placed on the over-used muscle by assisting with muscle contraction. The base of the Y strip was placed near the region of the radial styloid process with no added tension 0% and rubbed in place to activate glue adhesion. The position of elbow slight flexion with the wrist in neutral was located. (11) Example of applied kinesio tape Kinesio taping application for shoulder impingement syndrome: From Clinical therapeutic applications book by Dr. Kenso Kase, the kinesio taping method were applied (10). The increased space is believed to reduce pressure by lifting the skin. By using the lymphatic correction technique, Kinesio tape decreases the pressure beneath the Kinesio tape strip that acts as channels to direct the exudates to the next-door lymph duct. This technique also works to maintain the scapulothoracic stability by the mechanical correction with applied the kinesio taping to three muscles supraspinatus, deltoideus, and teres minor. Kinsio tape was started with the supraspinatus muscle which generally provides scapular stability and placed the bottom of the strip 3 cm under the greater tubersity of the humerus with no tension with some friction to activate the glue. Next, the patient adducted the shoulder with lateral neck flexion to the opposite side. The remainder of the strip was applied the length of the spinous process of the scapula with some of tension as 15-2 5% of the full stretch application which is100% with some friction to activate the glue. Then, the new piece of taping was applied to the deltoideus muscle. The base of the Y-shaped strip was located 3 cm under the deltoid tuberosity of the humerus with tension o% with some friction to activate the glue. Both anterior and posterior tails were applied with new pieces of taping light 15-25% tension with some friction to activate the glue. The anterior and posterior tails were positioned along the external borders of the anterior and posterior deltoid muscle with no tension0% with some friction to activate the glue. The new piece of taping was performed on the teres minor muscle. The -I- shape type strip was located on the lower facet of the greater tuberosity of the humerus without any tension 0% with some friction to activate glue. Lastly, the patient should abducted arm and the shoulder should be in horizontal flexion with internal rotation and then placed the remainder of the strip along the axillary border of the scapula with radiance 15-25% tension with some friction to activate glue.(9,10) Conclusion kinesio tape, which is specialized tape that is thin, elastic and can be stretched up to 120% ~140% of its original length, making it quite elastic, is one of the effective items used for treatment or prevention of injury for athletes and patients. The following conditions: proprioception in pediatrics (15), patients with acute patellar dislocation (17), stroke (16),different injury in ankle like ankle sprain (18), shoulder pain (7), shoulder impingement syndrome (9), breast cancer related lymphedema (14), care of an infant with gastroesophageal reflux (19),and trunk dysfunction (20), the kinesio tape Deals with it. The Kinesio tape method plays an important role that is affected physiological mechanisms on the site of injure. These physiological mechanisms have a therapeutic benefit to improve muscular skeleton disorder and focus on space, movement and cooling. The specifics of the Kinesio Taping Method application and other possible treatments depended on the condition or the resul t of pre applied, which is a full assessment of patient condition and athlete condition. The application of kinesio taping has hundreds of ways which I strips or modifications in the shape of an X, Y or or extra can be used, and has the capability to re-educate the neuromuscular system, reduce pain and inflammation, provide support for joint, prevent injury or related injury and encourage good circulation and healing. Addition with the paper contains a photo display of the overview for kinesio taping method and practical demonstration for neck painà ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦10349365-example-of-kinesio-tape-for-neck-pain.jpg

Tuesday, August 20, 2019

Application of the marketing mix

Application of the marketing mix INTRODUCTION The marketing mix is among the most widely accepted marketing concepts in the world of business (McCarthy 1960; Bartels 1983; Shapiro 1985). However, over the years the marketing mix has come under intense scrutiny from both academics of the marketing discipline and practitioners alike. This feeling was captured by Constantinides when he stated: Few topics of the commercial theory have so intensively inspired as well as divided the marketing academia as the 4Ps Marketing Mix framework (Constantinides, 2006: p.407) This essay aims to critically assess the relevance of the marketing mix for the current marketing approaches. To accomplish this, an overview of the marketing mix is given. This is followed by an exploration of some of the contemporary approaches to marketing which will lead to a consideration of the arguments in support of the marketing mix and the criticisms against it. Finally, in the light of the arguments and criticisms the relevance of the marketing mix for contemporary approaches to marketing will be appraised. OVERVIEW OF THE MARKETING MIX The marketing mix can be defined as the controllable and tactical marketing tools that the firm combines to achieve the desired response in its target market. It comprises all the measures the firm can employ to stimulate the demand for its goods and/or services (Kotler and Armstrong, 2008). The ultimate goal of any firm is to create a product or service that will be perceived as unique in the eyes of prospective consumers so that they will prefer it to other competing brands. In creating this unique selling proposition (USP), the marketers can blend four basic ingredients in a number of different ways to obtain different results. These four ingredients are usually referred to as the 4Ps and comprise- product, price, place (distribution) and promotion (Baker, 2007). Costantinides (2006) and Gronroos (1994) trace the origin of the marketing mix to the 1960s when Neil Borden identified twelve controllable marketing components that would yield profit if properly managed. Borden considered the marketing mix to be a concise, realistic and vivid expression of the admixture of the marketing ingredients, techniques and processes chosen by a marketing manager to create a marketing plan (Banting and Ross, 1973; Waterschoot and Van den Bulte, 1992). It was later reduced to four factors by Jerome McCarthy (McCarthy, 1964 cited in Constantinides, 2006) and this simplified version became the most widely accepted definition of the marketing mix (Judd, 2002). The 4Ps marketing mix commanded utmost respect in the minds of both marketing scholars and practitioners for decades that in the words of Gronroos (1994) and Kent (1986) it was considered heresy to challenge its position as the basic foundation of all marketing thinking. This belief strongly reinforces the dominance of the marketing mix during this period and suggests that there was a need for a theory that could be applied for the solution of most marketing management issues. According to Harker and Egan (2006) certain economic conditions contributed to the perceived superiority of the marketing mix paradigm. Harker and Egan (2006) opine that a key feature of the United States domestic market after the Second World War was homogeneity of products which resulted in increased demand for standardised consumer products and the rise of the USA as the dominant marketing culture. The demand, notwithstanding, there was need to ensure that consumption matched output (Packard, 1957 cited in Harker and Egan, 2006). Thus, a formal and reliable marketing approach was required to provide this fit (OMalley and Patterson, 1998). The popularity and dominance of the marketing mix paradigm was further enhanced by its simplicity and ease of communication (Waterschoot and Van den Bulte 1992; Constantinides, 2006; Harker and Egan, 2006). From the above submission, it can be argued that the marketing mix paradigm was borne out of necessity- a necessity for a simple, realistic and reliable framework that could be applied for the solution of general and specific marketing problems that arose in that era. Considering the under-developed marketing structure and knowledge gap that existed at that time, the formulation of the 4Ps marketing mix paradigm could not have come at a better time. Thus, it goes without saying that the relevance of its application to the transactional marketing approach- the primary approach to marketing in the 20th century-is indubitable. However, due to the shortcomings of the transactional approach to marketing, there was the need for a paradigm shift from a product-oriented approach to one that focused on the customer. Thus, the academia and marketing practitioners began to question the efficacy of the marketing mix framework as the answer to all marketing problems. The 4Ps were considered too narrow to adequately address the many aspects of marketing management and laid excessive emphasis on the product and processes with little or no thought for the customer. The increased sophistication of customers and the dynamic nature of the business environment meant that organisations had to adapt regularly to the changes that occur in the environment or risk losing market share with the consequence of possible liquidation. This situation led to the emergence of several modern marketing approaches that shifted attention from the product to the customer thereby ushering in the era of market orientation. Some of the contemporary approaches to marketing that emerged as a response to the continuous evolution of the business environment include Relationship marketing, Interaction marketing and Network marketing (Constantinides, 2006; Coviello et al, 1997; Gronroos, 1997). These modern approaches demanded a re-thinking of the marketing process in order to achieve effective and efficient implementation. Based on this need for a re-definition of the marketing process, it was inevitable that the marketing mix paradigm would come up for debate with regards to the relevance of its application to the aforementioned marketing approaches. Relationship marketing involves the development and maintenance of mutually satisfying exchange relations with customers and other parties at a profit, so that the objectives of all the parties are realised (Gronroos, 1994; Baker, 2007, Coviello et al, 1997). The implication of this viewpoint is that every organisation must cooperate with other parties within its business environment and beyond in order to achieve its ultimate aim. The 21st century market is replete with opportunities and challenges that were relatively unknown in the 20th century. To harness the opportunities and overcome the challenges effectively and efficiently entails building up a long-term relationship with the customers and all other stakeholders that directly or indirectly influence an organisations operations. This situation suggests that certain changes would have to occur in the organisations overall business processes, especially the marketing processes, to ensure a seamless implementation of relationshi p marketing. Gronroos (1994), Gummesson (1994, 1997) and Goldsmith (1999) argue that firms practising a transactional marketing approach stand to benefit most from a traditional marketing mix approach because of the absence of personal interactions with their customers and emphasis on mass markets. However, the marketing mix tends to be restrictive for a relation-oriented firm. The most significant customer interactions from a marketing success perspective are outside the scope of the marketing mix and marketing specialists. The customer decides whether to maintain business relations with a firm based on the effect of his/her contacts with the people, technology, and operations and other non-marketing functions. This position is supported by Ailawadi et al (2001) who doubt the impact of promotion and advertising as marketing tools for customer retention. This proposition suggests that the customers interactions with any firm transcends the marketing functions and includes all indirect transaction s with the non-marketing functions within the firm. Relationship marketing advocates the inclusion of all the functional units in any organisation towards creating value for the customer. The effective and efficient implementation of this customer-oriented approach requires that certain critical changes occur within the organisation. These requisite changes will cut across the whole organisation, but will focus more on the marketing functions because of the direct and frequent interactions with the customers. The change in the marketing functions will lead to a complete shift or modifications in the methods tools adopted by the organisation in creating value for the customer. This, invariably, would necessitate a review of the organisations marketing mix. Such reviews have surfaced in Kotlers redefinition of the 4Ps to the 4Cs namely, customer solution, customer cost, convenience and communication (Kotler et al., 1999 cited in Kruger et al., 2003 and Ashcroft and Hoey 1999). This re definition suggests a shift from the era of product-orientation to customer-orientation which is the essence of relationship marketing. However, it also suggests that the marketing mix is still relevant but there is need for some modification to suit the dynamic marketing environment. Judd (2002) proposes an expansion of the 4Ps marketing mix by including the employees of any organisation as the fifth P. This viewpoint is supported by the fact that the employees are an integral part of any organisation. They are the point of contact between the organisation and its customers. However, like Kotlers 4Cs, this proposed expansion of the 4Ps to 5Ps also points to the relevance of the marketing mix, but with some modification to suit appropriate markets. This argument is supported by Groonroos (1994) when he opines that relationships do not operate in isolation. Relationships function in combination with the other marketing tools already in operation within a given organisation in order t o successfully create value for both the customer and the organisation. The application of the traditional marketing mix elements of product, price, promotion and place would be necessary at some point in the interactions between the customer and the organisation. This standpoint implies that, notwithstanding the criticisms of the traditional marketing mix paradigm, its elements still contribute in one way or the other in the effective implementation of the relationship marketing approach. Criticism of the marketing mix has also arisen in the area of social marketing. Murphy et al., (1978) argue that the implementation of certain marketing strategies is unethical especially in the area of packaging, promotion, price and distribution channels. This argument tends to suggest that the marketing mix is responsible for the unethical practices that may occur during implementation. However, responsibility for the implementation of the marketing mix is within the purview of the marketing and non-marketing functional units within the organisation. They are responsible for any unethical practices that may occur in the course of implementing the marketing strategies and not the marketing mix. Also, the marketing mix has been applied by social marketing in the public health sector. Montoya et al, (2005), Pirani and Reizes (2005) and Grier and Bryant (2005) agree that the application of the marketing mix is essential in the role of social marketing in public health. The elements are combined in different ways to bring about the desired change in the target market. Attempts have been made to incorporate the marketing mix theory into other non-marketing sectors. Lees-Marshment (2001) suggests that political parties have adopted a marketing-orientation with significant electoral success. Lloyd (2003) suggests the application of the marketing mix to the political arena by recommending the development of a political marketing mix that comprises five components namely, services offering, representation, accommodation, investment and outcome. The implication of the aforementioned suggestions is that the marketing mix can contribute enormously to the smooth operation of political parties in particular, and the government in general. CONCLUSION Though the marketing mix has been criticised as being too narrow and product-oriented, it is still relevant in contemporary marketing approaches. As has been discussed above, there is need for some modifications in the mix portfolio. Redefinition of the marketing mix does not reduce its relevance; it only serves to shift its focus to the modern trends in the market place. Also, the relevance of the marketing mix is reinforced by its application to non-marketing sectors such as politics and the public health sector. This shift suggests that with the right modifications, the marketing mix can be applied in any area of human endeavour. REFERENCES Ailawadi, K. L., Lehmann, D.R. and Neslin, S.A. (2001), Market response to a major policy change in the marketing mix: learning from Procter Gambles value pricing strategy. Journal of Marketing, Vol.65, No.1, pp.44-61. Ashcroft, L. and Hoey, C. (2001), PR, marketing and the Internet: implications for information professionals. Library Management, Vol.22, No. 1/2, pp.68-74. Banting, P.M. and Ross, E.M. (1973), The marketing mix: a Canadian perspective. Journal of Marketing Science, Vol.1, No.1, pp.1-11. Bartels, R. (1983), The development of marketing thought. Ohio: Grid Publishing. Constantinides, E. (2006), The marketing mix revisited: towards the 21st century marketing. Journal of Marketing Management, Vol.22, pp.407-438. Coviello, N.E., Brodie, R.J. and Munro, H.J. (1997), Understanding contemporary marketing: development of a classification scheme. Journal of Marketing Management, Vol.13, No.6, pp.501-522. Goldsmith, R. (1999), The personalised marketplace: beyond the 4Ps. Marketing Intelligence and Planning, pp.178-185. Grier, S. and Bryant C.A. (2005), Social marketing in public health. Annual Review Public Health, Vol.26, pp.319-339. Gronroos, C. (1994). From marketing mix to relationship marketing: towards a paradigm shift in marketing. Management Decision, Vol.32, N0.2, pp.4-20. Gronroos, C. (1997). From marketing mix to relationship marketing: towards a paradigm shift in marketing. Management Decision, Vol.35, No.4, pp.322-339. Gummesson, E. (1994). Making relationship marketing operational. International Journal of Service Industry Management, Vol.5, No.5, pp.5-20. Gummesson, J. (1997). Relationship marketing as a paradigm shift: some conclusions from the 30R approach. Management Decision, Vol.35, No.4, pp.267-272. Harker, M. and Egan J. (2006), The past, present and future of relationship marketing. Journal of Marketing Management, Vol.22, pp.215-242. Judd, V. (2002). Achieving a customer orientation using people-power, the 5th P. European Journal of Marketing, Vol.37, No. 10, pp.1301-1313. Kent, R.A. (1986). Faith in the 4Ps: an alternative. Journal of Marketing Management, Vol.2, No.2, pp.145-154. Kotler, P., Armstrong, G., Saunders, J. and Wong V. (1999), Principles of marketing. London: Prentice Hall. Kotler, P. and Armstrong G. (2008), Principles of marketing. New Jersey: Pearson Prentice Hall. Kruger, C.C., Lu, N. and Swatman, P.M.C. (2003), Success factors for online music marketing- e-transformation: from the four Ps to the four Cs, pp. 1-16. Lees-Marshment, J. (2001), The marriage of politics and marketing. political studies, Vol.49, 692-713. Lloyd, J. (2003), Square peg, round hole? Can marketing-based concepts such as the product and the marketing mix have a useful role in the political arena?. pp. 1-24. McCarthy, E. (1960), Basic marketing: A managerial approach. Illinois: Irwin. Montoya, J. A., Kent, C. K., Rotblatt, H., Mccright, J., Kerndt, P. R., and Klausner, J. D. (2005), Social marketing campaign significantly associated with increases in syphilis testing among gay and bisexual men in San Francisco. Sexually Transmitted Diseases, Vol.32, No.7, pp.395-399. Murphy, P. E., Laczniak, G. R. and Lusch, R. F. (1978). Ethical guidelines for business and social marketing. Journal of the Academy of Marketing Sciences, Vol.6, No.3, pp.195-205. O Malley, L. and Patterson, M. (1998). Vanishing point: the mix management paradigm re-viewed. Journal of Marketing Management, Vol.14, pp.829-851. Pirani, S. and Reizes, T. (2005). The turning point social marketing national excellence collaboration: integrating social marketing into routine public health practice. Journal of Public Health Management, Vol.11, No.2, pp.131-138. Shapiro, B. (1985). Rejuvenating the marketing mix. Havard Business Review, pp. 28-34. Van Waterschoot, W. and Van den Bulte, C. (1992). The 4P classification of the marketing mix revisited. Journal of Marketing, Vol.56, No.4, pp.83-93.

Monday, August 19, 2019

A Literary Analysis of Robert Cormiers The Chocolate War Essay

A Literary Analysis of Robert Cormier's "The Chocolate War" The Chocolate War is a story which takes place in New England in the 1970's. Most of the events happen in a Catholic school. Since this school was exclusively for boys, they were constantly trying to prove their power over each other. The story is told in third person omniscient. The story's mood is suspenseful. With each page turn one wonders if Jerry will take or refuse his chocolates. The protagonist of this story is Jerry Renault and the antagonist in Archie Costello. Jerry is a very quiet fifteen year old boy. He is also the quarterback for the Trinity High junior varsity football team. He is a very troubled individual due to his mother's death. He appears to be angry toward the whole world. Jerry is very ordinary and wants more change in his life instead of the same old thing. Archie Costello is 17 year old boy who is a member of the high school's very prestigious club called The Vigils. Archie is the "assignment giver". He gives assignments to the younger class men to do very mischievous things; for example, loosening all screws on desk chairs and chalkboards so that they will fall apart when students and teachers touch them. Archie is very clever and conniving. Many other characters contribute to the excitement of this story. Obie, another member of The Vigils, is Archie's sidekick. He helps Archie carry out all of his assignments. Obie has hostile feelings towards Archie because Archie gets all the glory while Obie does all the hard work. Obie is very soft spoken; he will not speak out against Archie about his anger. Brother Leon is the assistant headmaster of Trinity High School. He is very evil and... ... his groin but tries to defend himself. This is against the rules. After this a "free for all" begins. The lights are turned off by Brother Jacques, who is trying to stop all the madness. The story ends as Jerry is lying almost unconscious in his friend Goober's arms. Archie is taking pleasure in the whole scene, and Brother Leon is standing alone, watching this whole production as the ambulance draws near. The theme of The Chocolate War would have to be, being a nonconformist can make you an outcast by most people, and it can sometimes even bring harm to you. But if you are being a nonconformist with good reason, then you have to be willing to take the abuse. In Jerry's case it almost got him killed, and he still could not understand everyone's cruelty; but he knew that what he was doing was right in his heart.

Sunday, August 18, 2019

Economics, Winning Bolivias Drug War :: essays research papers

Economics is Winning Bolivia’s Drug War   Ã‚  Ã‚  Ã‚  Ã‚  A 1998 article from the New York Times reported that Bolivia was winning its war against drugs as a result of two factors that influence the market for coca, which is used to make cocaine. First, Bolivian soldiers raided a number of coca plantations and destroyed the crops. Second, Colombians began growing more of their own coca and, as a result, now buy less from Bolivia than in the past. I am proposing that the basic principles of supply and demand are what helped to solve the drug problem. The following paragraphs will support my argument.   Ã‚  Ã‚  Ã‚  Ã‚  Figure 1 shows the supply and demand curves before and after the changes occurred in Bolivia. As you can see, after the coca plantations were raided, the supply of cocaine was cut short, thus shifting the supply curve to the left. Also, because Colombians began growing their own coca, demand decreased for the cocaine from Bolivia, shifting the demand curve to the left also. To sum up, supply decreased from S to S1, because of the raids, and demand decreased from D to D1 because Colombians began to grow their own coca and didn’t need to rely as much on Bolivia. The diagram clearly shows that the quantity sold at P* decreased from Q* to Q** due to these two changes.   Ã‚  Ã‚  Ã‚  Ã‚  According to the article in the New York Times, the Bolivian government hopes these changes in the coca market will motivate coca growers to switch to a substitute crop such as pineapple. This is a possibility if the price of coca falls. If the price of coca falls, supply will also decrease because it won’t be as profitable to farm coca as it was before. The falling price would then trigger farmers to switch to another crop such as pineapple.   Ã‚  Ã‚  Ã‚  Ã‚  The Bolivian government, hoping to eliminate the cocaine problem, indirectly turned to economics for a solution. That solution is a simple tale of cutting supply in a way that leads to a decrease in demand. That decrease came because Colombians couldn’t get the supply they wanted at the price they wanted to pay so they grew their own and helped eliminate coca growth within Bolivia. They can further solve the problem by perhaps raising the price paid for other crops so farmers will switch from growing coca to growing something else for a bigger profit.   Ã‚  Ã‚  Ã‚  Ã‚  Although farms in other South American countries grow acres and acres of coca plants, the raw material from which cocaine is made, today, Columbia is the leading Economics, Winning Bolivias Drug War :: essays research papers Economics is Winning Bolivia’s Drug War   Ã‚  Ã‚  Ã‚  Ã‚  A 1998 article from the New York Times reported that Bolivia was winning its war against drugs as a result of two factors that influence the market for coca, which is used to make cocaine. First, Bolivian soldiers raided a number of coca plantations and destroyed the crops. Second, Colombians began growing more of their own coca and, as a result, now buy less from Bolivia than in the past. I am proposing that the basic principles of supply and demand are what helped to solve the drug problem. The following paragraphs will support my argument.   Ã‚  Ã‚  Ã‚  Ã‚  Figure 1 shows the supply and demand curves before and after the changes occurred in Bolivia. As you can see, after the coca plantations were raided, the supply of cocaine was cut short, thus shifting the supply curve to the left. Also, because Colombians began growing their own coca, demand decreased for the cocaine from Bolivia, shifting the demand curve to the left also. To sum up, supply decreased from S to S1, because of the raids, and demand decreased from D to D1 because Colombians began to grow their own coca and didn’t need to rely as much on Bolivia. The diagram clearly shows that the quantity sold at P* decreased from Q* to Q** due to these two changes.   Ã‚  Ã‚  Ã‚  Ã‚  According to the article in the New York Times, the Bolivian government hopes these changes in the coca market will motivate coca growers to switch to a substitute crop such as pineapple. This is a possibility if the price of coca falls. If the price of coca falls, supply will also decrease because it won’t be as profitable to farm coca as it was before. The falling price would then trigger farmers to switch to another crop such as pineapple.   Ã‚  Ã‚  Ã‚  Ã‚  The Bolivian government, hoping to eliminate the cocaine problem, indirectly turned to economics for a solution. That solution is a simple tale of cutting supply in a way that leads to a decrease in demand. That decrease came because Colombians couldn’t get the supply they wanted at the price they wanted to pay so they grew their own and helped eliminate coca growth within Bolivia. They can further solve the problem by perhaps raising the price paid for other crops so farmers will switch from growing coca to growing something else for a bigger profit.   Ã‚  Ã‚  Ã‚  Ã‚  Although farms in other South American countries grow acres and acres of coca plants, the raw material from which cocaine is made, today, Columbia is the leading

Saturday, August 17, 2019

Organic food Essay

We asked Food Scientists a simple question: â€Å"What foods do you avoid? Experts from different areas of specialty explain why they won’t eat these eight foods. Food scientists are shedding light on items loaded with toxins and chemicals–and simple swaps for a cleaner diet and supersized health. Experts from different areas of specialty explain why they won’t eat these eight foods. Clean eating means choosing fruits, vegetables, and meats that are raised, grown, and sold with minimal processing. Often they’re organic, and rarely (if ever) should they contain additives. But in some cases, the methods of today’s food producers are neither clean nor sustainable. The result is damage to our health, the environment, or both. So we decided to take a fresh look at food through the eyes of the people who spend their lives uncovering what’s safe–or not–to eat. † Their answers don’t necessarily make up a â€Å"banned foods† list. But reaching for the suggested alternatives might bring you better health–and peace of mind. 1. The Endocrinologist Won’t Eat: Canned Tomatoes Fredrick Vom Saal, is an endocrinologist at the University of Missouri who studies bisphenol-A. The problem: The resin linings of tin cans contain bisphenol-A, a synthetic estrogen that has been linked to ailments ranging from reproductive problems to heart disease, diabetes, and obesity. Unfortunately, acidity (a prominent characteristic of tomatoes) causes BPA to leach into your food. Studies show that the BPA in most people’s body exceeds the amount that suppresses sperm production or causes chromosomal damage to the eggs of animals. â€Å"You can get 50 mcg of BPA per liter out of a tomato can, and that’s a level that is going to impact people, particularly the young,† says vom Saal. â€Å"I won’t go near canned tomatoes. † The solution: Choose tomatoes in glass bottles (which do not need resin linings), such as the brands Bionaturae and Coluccio. You can also get several types in Tetra Pak boxes, likeTrader Joe’s and Pomi. Exposure to BPA Causes Permanent Damage In OffSpring 2. The Farmer Won’t Eat: Corn-Fed Beef Joel Salatin is co-owner of Polyface Farms and author of half a dozen books on sustainable farming. The problem: Cattle evolved to eat grass, not grains. But farmers today feed their animals corn and soybeans, which fatten up the animals faster for slaughter. But more money for cattle farmers (and lower prices at the grocery store) means a lot less nutrition for us. A recent comprehensive study conducted by the USDA and researchers from Clemson University found that compared with corn-fed beef, grass-fed beef is higher in beta-carotene, vitamin E, omega-3s, conjugated linoleic acid (CLA), calcium, magnesium, and potassium; lower in inflammatory omega-6s; and lower in saturated fats that have been linked to heart disease. â€Å"We need to respect the fact that cows are herbivores, and that does not mean feeding them corn and chicken manure,† says Salatin. The solution: Buy grass-fed beef, which can be found at specialty grocers, farmers markets, and nationally at Whole Foods. It’s usually labeled because it demands a premium, but if you don’t see it, ask your butcher. 3. The Toxicologist Won’t Eat: Microwave Popcorn Olga Naidenko, is a senior scientist for the Environmental Working Group. The problem: Chemicals, including perfluorooctanoic acid (PFOA), in the lining of the bag, are part of a class of compounds that may be linked to infertility in humans, according to a recent study from UCLA. In animal testing, the chemicals cause liver, testicular, and pancreatic cancer. Studies show that microwaving causes the chemicals to vaporize–and migrate into your popcorn. â€Å"They stay in your body for years and accumulate there,† says Naidenko, which is why researchers worry that levels in humans could approach the amounts causing cancers in laboratory animals. DuPont and other manufacturers have promised to phase out PFOA by 2015 under a voluntary EPA plan, but millions of bags of popcorn will be sold between now and then. The solution: Pop organic kernels the old-fashioned way: in a skillet. For flavorings, you can add real butter or dried seasonings, such as dillweed, vegetable flakes, or soup mix. Make it organic and use coconut oil. If You’re Still Eating Microwave Popcorn, You’re Not Fully Grasping The Health Consequences 4. The Farm Director Won’t Eat: Nonorganic Potatoes Jeffrey Moyer is the chair of the National Organic Standards Board. The problem: Root vegetables absorb herbicides, pesticides, and fungicides that wind up in soil. In the case of potatoes–the nation’s most popular vegetable–they’re treated with fungicides during the growing season, then sprayed with herbicides to kill off the fibrous vines before harvesting. After they’re dug up, the potatoes are treated yet again to prevent them from sprouting. â€Å"Try this experiment: Buy a conventional potato in a store, and try to get it to sprout. It won’t,† says Moyer, who is also farm director of the Rodale Institute (also owned by Rodale Inc. , the publisher of Prevention). â€Å"I’ve talked with potato growers who say point-blank they would never eat the potatoes they sell. They have separate plots where they grow potatoes for themselves without all the chemicals. † The solution: Buy organic potatoes. Washing isn’t good enough if you’re trying to remove chemicals that have been absorbed into the flesh. Budget tip: Organic potatoes are only $1 to $2 a pound, slightly more expensive than conventional spuds. 5. The Fisheries Expert Won’t Eat: Farmed Salmon Dr. David Carpenter, director of the Institute for Health and the Environment at the University at Albany, published a major study in the journal Science on contamination in fish. The problem: Nature didn’t intend for salmon to be crammed into pens and fed soy, poultry litter, and hydrolyzed chicken feathers. As a result, farmed salmon is lower in vitamin D and higher in contaminants, including carcinogens, PCBs, brominated flame retardants, and pesticides such as dioxin and DDT. According to Carpenter, the most contaminated fish come from Northern Europe, which can be found on American menus. â€Å"You could eat one of these salmon dinners every 5 months without increasing your risk of cancer,† says Carpenter, whose 2004 fish contamination study got broad media attention. â€Å"It’s that bad. † Preliminary science has also linked DDT to diabetes and obesity, but some nutritionists believe the benefits of omega-3s outweigh the risks. There is also concern about the high level of antibiotics and pesticides used to treat these fish. When you eat farmed salmon, you get dosed with the same drugs and chemicals. The solution: Switch to wild-caught Alaska salmon. If the package says fresh Atlantic, it’s farmed. There are no commercial fisheries left for wild Atlantic salmon. Farmed Fish vs. Wild Fish: How Healthy Is The Fish At Your Favorite Grocery? 6. The Cancer Researcher Won’t Drink: Milk Produced With Artificial Hormones Rick North is project director of the Campaign for Safe Food at the Oregon Physicians for Social Responsibility and former CEO of the Oregon division of the American Cancer Society. The problem: Milk producers treat their dairy cattle with recombinant bovine growth hormone (rBGH or rBST, as it is also known) to boost milk production. But rBGH also increases udder infections and even pus in the milk. It also leads to higher levels of a hormone called insulin-like growth factor in milk. In people, high levels of IGF-1 may contribute to breast, prostate, and colon cancers. â€Å"When the government approved rBGH, it was thought that IGF-1 from milk would be broken down in the human digestive tract,† says North. â€Å"There’s not 100 percent proof that this is increasing cancer in humans,† admits North. â€Å"However, it’s banned in most industrialized countries. † The solution: Buy raw milk or check labels for rBGH-free, rBST-free, produced without artificial hormones, or organic milk. These phrases indicate rBGH-free products. Why Do Humans Still Drink Milk? 7. The Biotech Specialist Who Won’t Eat Conventional Soy: GMO Unfermented Soy Michael Harris is biotech specialist who has directed several projects within the biotech sector including those for genetically engineered food. He has been a consultant, manager and director for companies such as Xenon Pharmaceuticals and Genon Corporation. The problem: Genetically engineered food is a cause of great concern due to the manipulation of DNA and genetic code including transfers from one species to another. Fermented Soy Is The Only Soy Food Fit for Human Consumption and since almost 90% of soy in the world is genetically modified, if you are not ensuring sources are organic, long-term health problems are inevitable, especially since soy has been found to affect hormonal balance and even cause cancer. The solution: Check labels to ensure soy is Non-GMO or organic and never consume unfermented sources. If possible contact the company to find out exactly where the Non-GMO soy was obtained. 8. The Organic-Foods Expert Won’t Eat: Conventional Apples Mark Kastel, a former executive for agribusiness, is codirector of the Cornucopia Institute, a farm-policy research group that supports organic foods. The problem: If fall fruits held a â€Å"most doused in pesticides contest,† apples would win. Why? They are individually grafted (descended from a single tree) so that each variety maintains its distinctive flavor. As such, apples don’t develop resistance to pests and are sprayed frequently. The industry maintains that these residues are not harmful. But Kastel counters that it’s just common sense to minimize exposure by avoiding the most doused produce, like apples. â€Å"Farm workers have higher rates of many cancers,† he says. And increasing numbers of studies are starting to link a higher body burden of pesticides (from all sources) with Parkinson’s disease. The solution:Buy organic apples or apples from a farmer that you trust!

AP US History †Factors of the Immigration Act of 1924 Essay

Although the Immigration Act of 1924 was mainly the unfortunate result of discriminatory racial theories of nativism and antiforeignism, other factors influenced also Congress to pass the restrictive act, including the rising Red Scare and the spread of the new Ku Klux Klan. The largest factor in the Congressional passing of the Immigration Act of 1920 was the fundamental American belief that native Americans were superior to foreigners, including the 800,000 immigrants who flooded the country in 1920-1921. About two-thirds of them were from southern and eastern Europe. The one-hundred-percent Americans, recoiling at the sight of this resumed New Immigration, were disgusted at the influx of sickly Europeans. Senator Ellison D. Smith expressed his nativist concerns in his 1924 Congressional Record by stating, I think we now have sufficient population in our country for us to shut the door and to breed up a pure, unadulterated [Anglo-Saxon] American citizenship It is for the preservation of that splendid stock that I would make this not an asylum for the oppressed of all countries. Congress temporarily plugged the breach with the Emergency Quota Act of 1921, which restricted European immigration in any given year to a definite quota of 3 percent of the people of their nationality who had been living in the United States in 1910. However, this national-origins system was relatively favorable to the immigrants from southern and eastern Europe, for by 1910 immense numbers of them had already arrived. According to the United States Bureau of the Census, southern and eastern European immigration reached 1,250,000 in 1905 and a considerable 700,000 in 1910. Thus, the Emergency Quota Act of 1921 was replaced by the Immigration Act of 1924. The United States Bureau of Immigration explained in its Annual Report of the Commission-General Immigration of 1924 that the number of each nationality who may be admitted annually is limited to 2 percent of the population of such nationality resident in the United States according to the census of 1890 (when comparatively few southern Europeans had arrived). Southern Europeans bitterly denounced the device as unfair and discriminatory, but their complaints were drowned out by the triumphant cheers of the nativists who believed that blue-eyed and fair-haired northern Europeans were of better blood. The purpose was clearly to freeze Americas existing racial composition, which was largely northern European. A flagrant discriminatory section of the Immigration Act of 1924 slammed the door absolutely against Japanese immigrants. Henry P. Fairchild explained in Immigration that the new immigrants come because they believe that the wage which they can receive in America can establish a higher standard than the one to which they have been accustomed and this wage for which they are willing to sell their labor is in general appreciably below that which the native American workman requires to support his standard which means that the American workman is continually underbid in the labor market by vast numbers of alien laborers. So antiforeign were the Americans that they virtually hung a No Vacancy sign on the Statue of Liberty, claiming that the nation was filling up. Antiforeignism grew to an unparalleled height when the Bolshevik revolution of 1917 spawned a tiny Communist party in America. Tensions were heightened by an epidemic of strikes that convulsed the Republic at wars end; upstanding Americans jumped to the conclusion that labor troubles were fomented by bomb-and-whisker Bolsheviks from red Russia. A general strike in Seattle in 1919, though modest in its demands and orderly in its methods, prompted a call from the mayor for federal troops to head off the anarchy of Russia. In the same year, the Philadelphia Enquirer printed a political cartoon depicting an evil-looking bearded man wielding a large sword labeled BOLSHEVISM and a flaming torch labeled ANARCHY, burning the United States flag. Apparently, the evil Bolsheviks posed an immediate danger against the very core of Americas beliefs. Threatened by the Red Scare, evangelist Billy Sunday described a Bolshevik as a guy with a face like a porcupine and a breath that would scare a pole cat and stated that he would fill the jails so full of them that their feet would stick out the window. The American Legion, superpatriotic voice of veterans, even joined the anti-Bolshevik chorus by zealously attacking political leftists in the United States as enemy reds. In 1924 Mr. Moran Keaton sent a telegram to Honorable John E. Raker expressing his 100 percent [support] in your fight to make this coast a white mans country. Naturally,  the American Legion was listed as an organization in favor of the bill to limit the immigration of aliens into the United States in the 1924 Congressional Record; other groups included Native Sons of the Golden West and the Patriotic Order of the Sons of America. A 1920 editorial from The Saturday Evening Post stated that [Americans] see the negro problem; but they cannot grasp the Russian problem. They do not understand that many of these alien peoples are temperamentally and racially unfitted for easy assimilation. It seemed that fear was fueling the close-mindedness of a large section of America. Unfortunately, the inflamed antiredism and antiforeignism translated into a bigoted aversion to immigrants, contributing significantly to the passing of the Immigration Act of 1924. Spawned by the postwar reaction, a new Ku Klux Klan mushroomed fearsomely in the early 1920s. Spreading anti-foreign, anti-Catholic, anti-black, anti-Jewish, anti-pacifist, anti-Communist, anti-internationalist, pro-Anglo-Saxon, pro-native American, and pro-Protestant sentiments, the Klan led an extreme, ultraconservative uprising against many of the forces of diversity and modernity that were transforming American culture. The KKK spread with astonishing rapidity, especially in the Midwest and the Bible Belt South, wielding potent political influence and an attachment of nearly 5 million dues-paying members. As Hiram W. Evans explained in The Klans Fight for Americanism from The North American Review, we are intolerant of everything that strikes at the foundations of our race, our country or our freedom of worship. Evans felt threatened by any attempt to use the privileges and opportunities which aliens hold only as through our generosity as levers to force us to change our civilization. The Klan was indeed an alarming manifestation of the intolerance and prejudice plaguing people anxious about the dizzying pace of social change in the 1920s; the last thing they wanted was unrestricted immigration. The Ku Klux Klans spread did not reach the North and the East as much as it reached the Midwest and South, as revealed in the 1924 Congressional Record. Of the sixty-two members of the House of Representatives who voted nay on the Immigration Act of 1924, only one was from the South (W. Turner Logan from South Carolina). American sectionalism unsurprisingly showed its patchy  face; the North has usually been more morally superior and tolerating of different cultures, so naturally the North would vote against an anti-immigration act. The fear of Communists and the degradation of one-hundred-percent Americans far outweighed the desire to be hospitable. The passing of the Immigration Act of 1924 demonstrated that the Red Scare, combined with nativism, could produce barefaced bigotry. Ironically, the Americans attempt to preserve their splendid stock resulted in the blatant violation of the fundamental American principle of welcoming foreigners. Genuinely frightened for their livelihood, the American people switched into survival mode and tried to save themselves with little disregard for the immigrants, whose welfare was not a priority. The poem at the base of the Statue of Liberty may be etched in stone, but even such prominent idealism becomes trivial when Americans feel that their well-being is at risk. Sources: * The American Pageant Textbook* 1973 DBQ