Tuesday, October 29, 2019

Privacy Laws related to Information Technology use Research Paper

Privacy Laws related to Information Technology use - Research Paper Example In this regard, it is arguable that the privacy of individual data depends on the ability of organizations to employ security measures for the protection of individual information and private data (Kerr, 2004). The various online companies and websites such as Facebook, Google, LimkedIn, Yahoo and Skype are mandated by the law to protect the privacy of individuals. Regardless of the provisions of the law, it is notable that many online organizations and companies have disclosed private information to third parties such as advertisers who use it without the consent of the holders of the information. Sensitive information such as financial records, bank and credit card details are also protected by the legal framework. This is due to the need for the security of personal data and the consequent prevention of possible fraud (Gillmor, 1998). The modern computing and transactional environments are characterized by online shopping and banking. This means that the users of the online bankin g services are predisposed to the risk of disclosure of their private information to organizations (Messmer, 2001). Additionally, digital records of employees within various organization is at a risk f unauthorized access and use. ... that organizations and individuals are protected from unauthorized use of private information by internal or external intruders to information systems (Miller and Tucker, 2007). The law also protects individual information from misuse by government agencies and the media (Sullivan, 2005). According to the fourth amendment, individual data and information must be kept private and free from unauthorized access and use (Lock, Conger and Oz, 1998). This illustrates the role of the law in ensuring that organizations keep the information on their employees and clients as private as necessary (OConnor and Matthews, 2011). Infringement of the privacy of individual information is thus a legal felony (Thibodeau, 2001). Sometimes governing authorities such as the police perform thorough surveillance of a suspect’s private information and activities. Regardless of the justification that the governing authorities give for the infringement of individual privacy, such actions are legally wro ng (Lock, Conger and Oz, 1998). The emergency of creative, innovative and up to date technological tools represents the challenge which many individuals and organizations face in trying to achieve adherence to information privacy laws. Nonetheless, the application of information systems within organizations and institutions is attributed to the increased challenge of securing private information (Canoni, 2004). However, organizations have laid security policies which are geared at promoting the enforcement of legal framework on the privacy of private information (Bernstein, 2007). Information security policies play a significant role in defining the procedure of access, retrieval, modification and use of private information with a view of ensuring preservation of individual rights to privacy

Sunday, October 27, 2019

Working With Sexual Abuse Victims Social Work Essay

Working With Sexual Abuse Victims Social Work Essay Sexual abuse has been a growing concern in our society. The statistics on sexual abuse in America are alarming. According to Finkelhor (1994) approximately 150,000 confirmed cases of child sexual abuse were reported to child welfare authorities in the United States during 1993 (p.31). Lucinda stated, I have worked with children who have been sexually abused and it is a devastating experience for the individual. Working with an individual who has a history of sexual abuse would be very difficult. The individual will likely be guarded and possibly closed off from the surrounding environment. He or she may not want to talk about what happened in their past, and want to shut it away so they never have to relive the horror that happened to them. Since this abuse is not as visible as physical abuse, it is harder for people outside the abuse to recognize it. The individual in the abuse may feel that it is their fault, or they are inviting the abuser into the relationship. The abused individual may also feel that when speaking about the abuse to another person, that person will judge them think it is the fault of the abused. Core Issues Some of the core issues in treatment while working with someone diagnosed with a history of sexual abuse is gaining the clients trust so that they may disclose their history of being sexually abused and feeling safe and not being judged. Lucinda stated, For me, the most important factor for the clinician is to gain the trust of the individual first before the client feels safe enough to share such an experience with a total stranger. Sexual abuse is a touchy subject to some and some individuals do not disclose having been sexually abused because they feel ashamed or guilty or they fear being judge has damaged goods. According to Levs post, 88% of cases of sexual abuse are never disclosed by the child. In agreement, Alaggia (2005) states, 50% to 80% of victims do not purposefully disclose childhood sexual abuse before adulthood (p.454). Another core issue is the ability to gain that initial trust between the client and the clinician. For someone that has had a history of sexual abuse this can be a hard aspect to have happen. This is understandable because at some point in that persons life they lost the ability to trust when someone took that opportunity away from them. Its like that individual had their bond of trust violated and that may carry over as an adult for the ability to trust their own feelings and judgment. Additional core issues noticed with those sexually abused would be placing the blame on themselves or taking the responsibility for what has occurred to that individual. Also, having a constant fear instilled in them that something is wrong with them. Perhaps even issues with power and control because one may feel that was stripped away from them. An abused child will not open up unless they can trust again (trust is obviously something that is tarnished and even lost through the abuse). Another core issue in treatment while working with someone diagnosed with a history of sexual abuse is using memory to work through the trauma. As Courtois (1992) points out, Therapy is geared not only to the retrieval of autobiographical memory, but towards the integration of affect with recall to achieve resolution of the trauma. Because so many feelings, emotions of the memories are difficult to deal with on a day to day basis, many victims of sexual abuse tend to dissociate and therefore can suffer from dissociative disorder and PTSD. I think it is extremely important to address sexual assault of males. So often is hard to come forward about the assault but as Hopper (2010) addresses, Approximately one in six boys is sexually abused before age 16. He goes on to talk about the long lasting affects of sexual abuse and how it can become a perpetuated cycle of being hurt: Avoiding getting close to people and trying to hide all of ones pain and vulnerabilities may creating a sense of safety. But this approach to relationships leads to a great deal of loneliness, prevents experiences and learning about developing true intimacy and trust, and makes one vulnerable to desperately and naively putting trust in the wrong people and being betrayed again. A core factor for many that are abused is that they are not alone. Many times knowing that others are dealing with a similar situation can make a huge difference. Therapeutic Models The types of therapeutic modality that works best for someone who has been abused should be determined based on the individual and the therapist preference. In the article by Courtois (1999) discusses that the resolution of sexual abuse trauma requiring retrieval of memory and the working through of the associated affect. This is important so the individual can heal by having fully acknowledged what has occurred to them in the past. The article further states, memory retrieval is an important component of the therapeutic process. As a therapist, an essential task when working with the client, would be having them acknowledge the abuse that has happened to them and be able to retrieve the full memory to proceed in the healing process. Courtois (1999) notes how memory deficits are quite characteristic of trauma response and are utilized in the interest of defense and protection. This is an essential point for the clinician to understand in working on trauma resolution in general and me mory retrieval in particular. The strengths perspective acknowledges the client as the expert, which allows the memory retrieval to be a lot easier, and to be more accurate from the client. It is crucial that clinicians be educated when working with individuals who have a history of childhood sexual abuse. Stearn (1988) states, to diagnostically assess and treat clients in the most effective manner, social workers need to discover how each sexual abused clients views himself or herself, significant others, and the world (p.466). Jennings (1994) examines ways of using a broad spectrum of creative approaches, such as art, play, dance, music and drama, and combinations of those, to work with people who have been traumatized by experiences of sexual abuse (p.471). Lucinda stated, In my opinion, the best therapeutic modality that would work best with clients who have a history of childhood sexual abuse is using the strengths perspective. The client is the expert on his or her own experience because only they know how they felt and what actually occurred during those moments. Bell (2003) believes the strengths perspective involves turning away from rational, empirical models that order and codify reality, toward a constructivist view, which holds that the identification of human problems reflects not objective reality, but the perspective of the one doing the looking. With this constructivist understanding, three assumptions emerge from the strengths perspective. First, clients have personal and environmental strengths and are more likely to act on those strengths when they are affirmed and supported. Second, the strengths perspective views the client as the expert on his or her own experience. Third, the roles of the social workers shift from expert and fixer to collaborator who respects and fosters the strengths of the client (p.513). Lucinda stated, I feel that being empathetic, understanding, and compassionate are important in working with these clients. According to Calof (1993) listening to their stories and helping them explore the truth of their experiences has enabled many to turn their lives around (p.45). Family therapy is also important. Acknowledging the important and loving family members and their role in the victims life can help. With their love and support, the abused can work with the family to form treatment plans and other means of support. As social workers, we have to not only listen to what our clients are saying but also read their body language as well as anything else they give us as clues. They are children who have been violated and are reluctant to speak because in their minds they did something wrong. We have to work collaboratively with the non-offending family (if that is obvious), schools, doctors, and other professionals so that we can get a full picture of the childs symptoms, behaviors, and problems. Once we establish there has been abuse and from whom, we must remove the abuser if that has not already been done. Only then will we be able to work with the child towards a state of healing. Healing cannot happen when someone is still being abused. However literature does state most do not disclose what has happened until they are adults. Sometimes, it is not possible to remove the abuser if nothing is said about the abuse. As social workers, we would have to take every incident as it comes and deal with it as soon as possible. Unfortunately and sadly, most sexual abusers get off with a slap in the hand while the children they abuse suffer for the rest of their lives. Essential Task for Therapists An essential task for the therapist is providing a safe environment. Ensuring that a victim of sexual abuse feels comfortable in their setting is a pertinent factor in providing treatment. Also, maybe the sex of the therapist will matter. If the victim is female and was sexually abuse by a male, she may only feel comfortable speaking with another female. Lana stated, The women in my placement have expressed many times their fears and anxieties when in groups with men after sexual assaults that they faced both as children and adults. As therapist we should not only be treating for sexual abuse, we should also be doing more about prevention and education to all young children. It should not take years for a person to disclose that they were abused as child without having the ability to address the abuse. They should not have to go through the feelings that it was their fault or the one to blame. Laura stated, I think it is very important for children to understand that it is often an adult that they know who becomes an abuser. Schools teach stranger-danger, and to fear the stranger, when often the threat comes from an individual close to or seen by the child. Children need to be aware that there are monsters who can appear as nice people, who are not only strangers, and the only way to make something bad go away they have to talk. Some ways to do this is by using examples of what is appropriate from different people is the best way to get things across. Also, using child-like language is very important as well. U sing characters from TV and books can be used as examples of love and family as long as the child can relate and understand in a certain way. A therapist of someone who has a history of sexual abuse would need to patient and empathetic, while urging the individual to share their story. The individual has likely lived many years of hiding the abuse and trying to act like it never happened, while trying to live a normal life. This is not possible, as the horrible history will present itself in varying disorders, such as borderline personality disorder, dissociative disorder, and posttraumatic stress disorder and create upset in their life. The therapist must create an era of trust and safety in which the individual can feel comfortable and able to speak about their past. I think the therapist needs to ease into the revelations in order to help the individual to feel more comfortable; with each small piece, followed by safety and reassurance, another may follow, allowing the individual to reveal their past. This is really the ideal, and the therapist will need to be able to help the person overcome the varying disorders and o ther issues in their life.

Friday, October 25, 2019

Java Programming Language Essay -- Computers Technology Programming La

Java: It's not just for breakfast anymore! The World-Wide Web as it is today reminds me of a bad date I had once; boring, flat, and unexciting. It does absolutely nothing for me. The pages are limited by the specifications of HTML which calls for a two-dimensional layout and a static page. I for one am looking for some new element. A new angle if you will. Something to jolt some life into The Web. Sun Microsystem's Java will bring a new interactive element to the Web. It is designed to enhance the browsing experience and take us into the next generation of The Web. "Java is an object-oriented language that adds animation and real-time interaction through in-line applications (called applets)." (Network Computing) So you are asking yourself, What is Java? How does it work? "Java is a simple, object-oriented, multithreaded, garbage-collected, secure, robust, architectural-neutral, portable, high-performance, dynamic language. The language is similar to C and C++ but much simpler. I think Eric Schmidt, Sun's Chief Technical Officer, put it best when he said, "Java is C++ without the guns, knives, and mace. It was designed for a consumer devices market, to allow applications to move among the devices in a secure manner." (P.C. LETTER) Java programs are compiled into a binary format that can be executed on many platforms without recompilation." (Dr. Dobb) It works by converting the code into a format the Java interpreter can understand. The code or "applets" can be embedded in any standard HTML page. An applet can do most anything a regular C program can do. It is equally complex as C for any given task. For the technically impaired, Java is a highly flexible product for developing programs for The Web. It is capable of carryi... ...5, v20 n8 p56-62 "Java and Internet programming: similar to C and C++ but much simpler" van Hoff, Arthur INFOWORLD; May 1995, v17 n22 p16 "Netscape inks pact with Sun, Macromedia" Wingfield, Nick LAN TIMES; June 1995, v12 n12 p44 "Sun, Netscape to wake up Web users" Raynovich, R. Scott MacUser; Sept 1995, v11 n9 P31 "The Internet becomes multimedia-savvy:Macromedia, Sun nab Netscape Navigator" Snell, Jason Network Computing; August 1995, v6 n9 p48-49 "Next generation Web Browsing" Kohlhepp, Robert Newsbytes; July 1995, pnew07180011 "Sun Microsystems Intros First Java Application" Bowers, Richard P.C. Letter; June 1995, v11 n9-10 p5 "Sun's Schmidt explains Java strategy" Author not given PCWEEK; June 1995, v12 n22 p14 "Sun's Java technology perks up WWW; Java language and HotJava browser provide extensiblity to the World-Wide Web" Sullivan, Eamonn

Thursday, October 24, 2019

Crically Evaluate the Claim That Infants Have an Innate Knowledge of Object Properties. Use Evidence to Support Your Argument

Critically evaluate the claim that infants have an innate knowledge of object properties. Use evidence to support your arguments. Object properties have been systematically associated with the Piagetian approach of cognitive development and in particular the sensorimotor period. Until the 1970’s, Piaget’s influential stance that knowledge of object properties is only learned from around nine months old had not been questioned.However, due to more contemporary studies there have been claims that not only do younger infants exhibit behaviours suggesting that Piaget’s assumptions may underestimate cognitive abilities but some studies have controversially suggested that newborns have shown to have a certain amount of innate knowledge. This has lead to claims that there are some innate or core cognitive abilities for dealing with object properties, in contrast to Piaget’s view that ‘humans do not start out as cognitive beings’ (Berk, 2009).It is im portant to state the significance of grasping the notion of object properties because according to Piaget this represents the start of symbolic thought or mental representation – an expression of intellectual behaviour (Davies & Houghton, 1991). However, this claim is a subject of dispute for investigators, who disagree on the degree of this inbuilt knowledge. This essay shall be using relevant research to critically evaluate the claim that infants have an innate knowledge of object properties, concentrating on the notion of object permanence.Piaget theorised that knowledge of object permanence does not begin until the coordination of secondary circular reaction substage of sensorimotor period. He provided evidence for his assumptions, such as obscuring an object from an infant using a hand and seeing whether the child would reach for the object. Piaget concluded that the lack of searching by the infant implied a lack of object permanence, but Bower (1971) criticised Piagetâ €™s use of search tasks because infants could be lacking the performance ability for reaching rather than competence to understand object permanence.Therefore, studies were conducted using visual methods, whereby the infants’ looking was used to measure object permanence (Bower et al, 1971, 1972) to address the flaw in Piaget’s method by bypassing the need for the infant to perform the reach. Bower (1971) conducted a study showing infants a moving object disappearing behind a screen, and the results suggest infants from four to six months old show evidence of object permanence and as early as eight weeks old in a few participants, thus strongly contradicting Piaget’s assumptions.In addition to this visual method, Baillargeon (1985; 1987) used habituation as it is concluded that infants spend longer looking at new stimuli, therefore infants are familiarised with it. Baillargeon and DeVos (1991) habituated infants to a small carrot, then a tall carrot moving s ide to side behind a screen, alternately. Violation-of-expectation test trials were conducted, whereby the screen that had previously hidden the carrots changed in colour and included a window. The infants were shown the small carrot trial which follows physical laws, and were then shown the tall carrot trial which violates physical laws.Results showed that infants as young as two and a half months looked longer at the tall carrot event than the short carrot event, suggesting that younger infants have some understanding of object properties. However, there have been criticisms of both the habituation technique and the violation-of-expectation-method. Bogartz (2000) is suspicious of the use of the habituation technique as he states that infants will react with interest to any novel stimuli. He also criticised the way the results were analysed separately, suggesting they should have been analysed together.Further, the violation-of-expectation method has been labelled as only measuring some sort of implicit understanding of object properties rather than the fully-conscious understanding that Piaget was referring to in his theory (Berk, 2009). Nevertheless, Baillargeon insists that the consistent findings from this and other studies use essential controls that aren’t included in opposing studies (Bogartz, Shinskey & Schilling, 2000), and also uphold that the findings can be generalised to lots of object related unexpected events (Berk, 2009).Interestingly though, some researchers do not halt at the suggestion that Piaget underestimated younger infants cognitive abilities, but instead refute Piaget’s assumption that ‘humans do not start out as cognitive beings’ (Berk, 2009) and in fact have some innate cognitive abilities. There have been suggestions that knowledge of object properties depends on visual information relating to perceptual abilities of the infant, addressed in a study by Valenza, Zulian and Leo (2005). They tested infantsâ €™ ability to recognise a correspondence between one version of a simple shape with another.Results showed infants recognised a correspondence more between a partly occluded shape and a non occluded shape than a non occluded shape and an unoccluded shape with a gap, implying that there may be some innate ability. The importance of the simplicity of the shapes used in Valenza et al’s study (2005) had been addressed by other researchers such as Kellman and Spelke (1983) who stated that the type of visual information used by younger infants differs from the visual information used by older children, therefore implying that there may be different thresholds of information needed for different ages (Johnson, 1995).A study was conducted using a rod and box display with additional motion cues on two and four month olds. Despite the first experiment showing that infants at two months old held no preference for the disjointed rod, when the proportion of the box occluding the rods was decreased the two month olds showed a preference for the broken rod display over the complete rod display, therefore suggesting that there may be an innate low level representation of object properties (Kellman & Spelke, 1983).This and further studies (Kamawata et al, 1999) lent support to Johnson’s (1995) threshold model where visual information must match the perceptual abilities of infants in order to show knowledge of continuous object properties along with attending abilities. However, some researchers take on a more reserved view, giving potential alternative explanations for the innate knowledge of object properties.For example, following on from certain studies using darkness to hide objects resulting in evidence that infants search in the darkness earlier than they search for objects hidden by an occluder (Bowers and Wishart, 1972), Shinskey and Munakata (2003) conducted a study comparing the two conditions. Infants were given toy and no-toy trials in both the da rkness and the occluder (a cloth) conditions. Results support the notion that infants are ore sensitive to searching for objects in darkness compared to objects hidden by an occluder. Researchers gave three potential explanations for this dissociation. Firstly, a means-end explanation was given, stating that they simply searched more in the dark because they don’t have the physical ability to retrieve the occluder, lending support to Piaget’s concept that the ability to problem-solve lays with means-end action sequences (Berk, 2009).Secondly, graded representations may explain why infants’ representations can resist an interference of darkness to allow reaching but the interference may be too severe when an object is occluded. The results also introduced the notion of interruption of a plan to reach for the object due to a one second delay before the infants’ arms were released which may have led to less searching on occluder trials (in addition to anothe r object in the way).The researchers seemed to conclude that this study has supported the concept of a genuine sensitivity to objects hidden in darkness and that the origin of this dissociation between an occluder and darkness lies with the complications of retrieval. However, another potential explanation could be linked to Piaget’s observation that when one object is placed on top of another the infant cannot distinguish one from the other, leading back to idea that it can be representatively complicated.On the whole, a large section of the research on knowledge of object properties conflict with Piaget’s assumptions. Findings show his theory underestimates the abilities of infants (Bower, 1971; 1972; Baillargeon, 1985; 1987; 1991), and although these studies are not free from criticisms (Bogartz, 2000), support of these findings is abundant, along with some controversial findings which suggest low level innate knowledge of object properties.Valanza, et al (2005) stu dy was supported by others (Kellman & Spelke, 1983; Kamawata et al, 1999) and the threshold model was proposed (Johnson, 1995). Nevertheless, other studies showing dissociations between abilities of searching for objects using darkness and occluders are less willing to settle for the explanation of innate knowledge and provide alternatives, including a means-end explanation, the notion of graded representations and interestingly the concept of interruption of a plan (Shinskey & Munakata, 2003).In conclusion, while there is convincing evidence that Piaget strongly underestimated the abilities of younger infants, the claim that infants have an innate knowledge of object properties remains questionable, as although evidence for it introduces some potentially interesting advances, there is simply not enough known, specifically into where the complications of the knowledge lies and if this were ascertained then a greater understanding could be reached. References Berk, L. E. (2006). Chil d Development (7th ed. . Needham Heights: Allyn & Bacon Davies, R. & Houghton, P. (1991). Mastering Psychology, The MacMillan Press Ltd: London Kellman, P. J. & Spelke, E. R. (1983). Perception of partly occluded objects in infancy. Cognitive Psychology, 15, 483-524. Shinskey, J. L. , & Munakata, Y. (2003). Are infants in the dark about hidden objects? Developmental Science, 6(3), 273-282. Valenza, E. , Zulian, L. , & Leo, I. (2005). The role of perceptual skills in newborns' perception of partly occluded objects. Infancy, 8(1), 1-20.

Wednesday, October 23, 2019

Psychology Lab Ted Bundy

Ted Bundy screamed in horrible pain and pleaded his innocence as he was killed by the electric chair. He was so evil that he tried to use one of his victims to try to stop the killing. This plan failed and we all saw how evil he truly was. The government considers Ted Bundy a serial killer, rapist, kidnapper, and necrophilia. He assaulted and murdered many women and young girls through the says.Some people believe Ted Bundy may have started sooner. Ted Bundy spent almost a decade declining that he killed people. After a long period of time Ted confessed to thirty homicides. These thirty deaths spread over seven states in the United States. Since Bundy s death the total number of casualties has risen to thirty-five. Ted Bundy personality is believed to be affected by his life as a child. Ted Bundy was raised with the belief that his grand parents were his parents. He was also told his mother was his older sister. Because of this Bundy was known as awkward or weird around girls in scho ol.He always said he had trouble building long-term relationships. As a child he was very intrigued in the idea of sex and violence. Because of his good looks Bundy succeeded in college. He became obsessed with a girl named Stephanie Brooks. Brooks did not feel the same way back this resulted in her and Bundy breaking up. This affected Bundy greatly, he dropped out of college by the break up. With bad anxiety and anger toward women this is what drove him to madness. I believe this is what became the fuel that made Bundy kill. This feeling of rejection is what Bundy never forgot.For the Essence model I believe Ted Bundy fits the role of a Melancholic person. He was very quite and for the most part very unsociable. He was reserved most of the time. To add to this he also showed crazy mood swings and signs that he was very anxious. What is crazy about Ted Bundy is that he fits in to of the categories in the Essence model. He also fits the category as a Phlegmatic person. When he was tr ying to get women. He was passive and very peaceful. He seemed like a calm and great guy. He would later become very thoughtful with his planning in capturing women.He would also control them and manipulate them to the end. Ted Bundy I believe featured two of the five personality traits. I believe he has Openness, Conscientiousness. Ted Bundy had openness because openness involves sensitivity and attentiveness to inner feelings as well as intellectual curiosity. Believe Ted Bundy was a very closed and to him self- person. On the flip side he was very open and caring person when around women. He falls into the Conscientiousness category because he had a good eye at being careful and seemed like he always wanted to do a task well.Ted Bundy always showed this trait throughout his entire life. He found a way to cover up multiple murders for long periods of time. To do this you need to be very crazy but also very cleaver. From doing the classroom assignments before this paper I believe T ed Bundy has Bipolar Disorder or better described as Manic Depression. Ted Bundy could go from very happy and open to very closed and quit in seconds. Being able to do this so easily and so often believe he has Bipolar Disorder. To add to the Bipolar I also believe he was Manic Depressed.I believe cause of his young life and how his childhood happened I think this is why he went down this path. These disorders are what lead Ted Bundy from a candidate for a Governor position to one of the greatest killers in United States History. I believe multiple Situational influences affected Ted Bundy. Being lied to all of his childhood greatly affected him. His sister being later revealed to be his mother Was also a major blow in Ted Bundy s life. What think really pushed him off the edge was his break up with his girlfriend Stephanie Brooks. Brooks was the love of his life.Bundy was so obsessed with her that he grossly exaggerated his own accomplishments. By 1968 she broke up with him because she believed he was not good husband material. This broke Bunny's heart and this obsession drove his life for years. If I could plan a therapy for Ted Bundy I would have him locked up in a Psychiatric ward for six months so we can observe and diagnose him. After we diagnose him we will have a therapist talk to him six times a week to work on his past problems. The problems we will be focusing on his you childhood life and the reality that his mother is his older sister.Another place of concern is the break up of his high school sweetheart Stephanie Brooks. These are the points would focus on so we can tackle the real reason why Ted Bundy became one of the greatest killers in the history of the United States. To help rehabilitate Ted Bundy he will be placed in a Half way house for multiple years. The meetings with the therapist will decrease to five times a week. In Tee's spare time he will be writing and explaining why he thinks he killed multiple women. After this confession Ted w ill be given mood stabilizers to work on his bipolar behavior.To add to the stabilizers he will also be given multiple anti depressants to work on tackling his huge depression problem. The odds of Ted Bundy healing fully are slim to none. I believe that his time in a horrible state of mind will be to hard to fix with medication and work with a therapist. Do believe he will show signs of growth but he will revert back to his old mindset. I do believe that Ted Bundy can become a man who understands what he did was wrong and he needs to change. But I don't believe he will ever become good enough to live in the real world among normal people.

Tuesday, October 22, 2019

International Trade Essays

International Trade Essays International Trade Essay International Trade Essay Free trade is an understanding between two or more states to extinguish duties on all trade minutess that are taking topographic point between them. The recent sorts of understandings do non merely restrict the intervention of authoritiess that are responsible for imposing the assorted duties and revenue enhancements. but there are more committednesss included in the understandings such as imposts co-operation. the protection of rational belongings. foreign direct investing and other factors that will heighten commercialism between those that sign the freed trade understanding ( FTA ) ( Groomsman and Helpmate. 1995 ) . Among many advantages such understandings usher in. it had been possible to incorporate the economic systems of the participants of the free trade understandings that will avail common benefits such as increased export picks. Importing states will besides hold more picks of merchandises to import. Furthermore. the jurisprudence of co-operative advantage provinces that participants in FTAs ever attain common addition from interchanging goods and services ( Krugman. 1991 ) . When there is a free trade understanding between two or more states. what takes topographic point is the monetary value the members of the participant states are paying are the result of existent supply and demand. in their bend they would be responsible for finding what sort of resource allotment should be employed. One thing that distinguishes free trades from other sorts of trades is none of the participants are allowed to present any sort of unreal pricing because of protectionism inclination. where authoritiess can non step in to set supply and demand by presenting limitations that could raise or convey down the monetary value of goods and services. The chief purpose of free trade is to extinguish such protectionism inclinations so that what will find what should be bought and sold and at what monetary value would be demand and supply ( Landsburg. 2005 ) . When that is non the instance authoritiess can ever step in by presenting subsidies. duties. revenue enhancements. and non-tariff barriers where they can present statute law or quotas. or it is possible for two or more authoritiess to come up with bilateral or many-sided understandings that allow a discriminatory intervention for the participants merely. by forbiding others to take advantage of what such understandings entail. When there is a bilateral or many-sided understanding between states the first measure is extinguishing all revenue enhancements and duties ( Hoda. 2002 ) . However. bilateral understandings that take topographic point between two states do non use for other states where if the two states could hold among themselves about what sort of duty and revenue enhancement to present. those understandings apply merely to those two states. If the understanding is many-sided and between three or more states the agreed upon duties and revenue enhancements apply merely to those take parting states. whereas others whether it is a bilateral or many-sided understanding are non participants will ever pay the on a regular basis needed duties and revenue enhancements. The authoritiess of such states that have FTA between them are free to present any sort of trade barriers on others for any ground that serves them a intent. Therefore. it is possible to look at many bilateral and many-sided understandings around the universe where for illustration the US and Canada used to hold a bilateral understanding between them before Mexico was added and the understanding called NAFTA came into the image which was a many-sided understanding between the three states. This does non intend other bargainers that are merchandising with these three states will acquire similar sort of discriminatory intervention such as no barriers on trades and services between the three states. the execution of trade falsifying policies such as the debut of revenue enhancements. subsidies. Torahs and ordinances that will avail particular advantages for the members of one of the bargainers. These three trading spouses have free entree to each other’s market. which does non intend others will hold a similar entree. It does non intend the many-sided understandings between the three states will forestall them from making another bilateral or many-sided understandings with other states since for illustration the US has many bilateral and many-sided trade understanding with states that do non hold any geographical propinquity to it demoing that bilateral and many-sided understandings are non limited by part ( Reizeman. 1999 ) . Other comfortss such merchandising spouses have at their disposal. whether they are bilateral or many-sided. in add-on to holding free entree to each others’ markets. strictly based on demand and supply they could besides let each other to hold entree to a free market information. which is critical to doing informed determinations. Governments of trading members are non allowed to prosecute in a government-imposed monopoly or oligopoly power. although private sectors can hold a monopoly or oligopoly harmonizing to what the anti trust Torahs allow. Other development among such states is there is a free motion of labor. every bit good as capital. Therefore. when looking at the unsimilarities of bilateral and many-sided understandings there are many factors that drama functions. because most of all. what sort of discriminatory intervention the participants are leting each other is the make up ones minding factor ( Goyal and Joshi. 2006 ) . This means that two bilateral states could strip that discriminatory intervention to other states. but if they are in many-sided understanding. they can non distinguish among the member no affair how much their figure is. If a state is a member of the World Trade Organisation that requires all its members to let each other a discriminatory intervention in order to ease trade has no pick other than to let to all members similar discriminatory intervention. However. the exclusion is that for illustration based on geographical part or otherwise if there is a bilateral understanding they could give particular discriminatory intervention for the trading spouse if they found it good to make so without availing the same discriminatory intervention to their other bilateral. many-sided or WTO members spouses. This means that both bilateral and many-sided understandings based on any common benefit for the participants are allowed by WTO for its members. the lone demand being a voluntary presentment of the being such an understanding so that some sort of transparence of what is taking topographic point will predominate. Consequently. there are bilateral understandings that take topographic point between two states. many-sided understandings that normally require more than two states and the rank of WTO is besides many-sided since the obvious figure of the participants is many. This means that except that a bilateral understanding is a really simple signifier of such free trade understandings. there is nil that makes it different in complexness than similar many-sided understandings ( Friedman. 1997 ) . A good illustration to mention is monetary value where in a bilateral understanding the available demand and supply determine the monetary value of goods and services. The lone job with such an understanding is if there is another state that sells what a given state buys from a bilateral spouse much cheaper. In a state of affairs like this it is a given that the other state wants to take advantage of the inexpensive monetary value. but since there is no understanding there are duties and revenue enhancements to add on the market monetary value of the goods that will still do the bilateral spouses goods and services preferred because of the absence of duty and revenue enhancement. In order to take advantage of that inexpensive monetary value the peculiar state might desire to get down a free trade understanding with the other spouse that will be complicated and clip consuming. This shows that one state can hold a bilateral understanding with two or more states or it is possible to make a many-sided understanding among all participants and this sort of understanding is common among those that live in a given geographical part. as attested by the figure of regional free trades ( Bhagwati. 2002 ) . But that does intend free trade is limited to a certain form since it can take many signifiers. It can be bilateral based on what the two states agree. many-sided based on the participating states agree that do non needfully should hold geographical propinquity such as the US has a bilateral understanding with Israel. Jordan. Chile. Singapore. Australia and more and Australia has many bilateral trade understanding with many Asiatic states that does non impact the relation it has with other states because each participant gets certain advantage from the bilateral trade they are doing. The most common FTA used to be among states in the same part but that is altering ( Levy. 19997 ) . Looking at international many-sided understandings such as the members of the WTO reveals that there are more than 160 states that have eliminated trade barriers among themselves and are leting similar discriminatory intervention for each other. while they are allowed to travel into any sort of bilateral or many-sided trade agreement with other states and make discriminatory intervention that they do non hold to let to the other members of WTO. where what is non allowed is non to know apart among members ( Pugel. 2003 ) ( Aghion et al. 2007 ) . One other unsimilarity will be the competition will be different when many-sided states are merchandising with each other with no revenue enhancement and duty barriers based on demand and supply. where the picks of the participants will be more and can purchase from those who are offering the lowest monetary value without prosecuting in dumping ( Bagwell and Staiger. 1997 ) . Dumping ever creates troubles since it is ever the result of subsidies that largely originate from authoritiess that had signed non to step in in the market by any agencies ( Brander and Krugman. 1983 ) . World Trade Organisation ( WTO ) WTO is an international administration that promotes free trade by working with its members to enable them abolish duties and revenue enhancements so that there will be unhindered trade among states. The chief responsibilities of the administration are it polices the free trade understandings among states. and it settles whatever differences ensue among the take parting states and their authoritiess. Whenever there is a difference with two trading states that are members it is its occupation to decide the difference and is empowered by its members to implement its determinations by presenting countenances on those who have breached the agreed upon regulations. WTO had replaced another administration called the General Agreement on Tariffs and Trade ( GATT ) in 1995. GATT came into being in 1948 when 23 states agreed to convey down their duties and revenue enhancements among the trading spouses. The difference between GATT and WTO is the later has more range and oversees more trade subdivisions other than trade in goods and services entirely such as banking. telecommunications and rational belongings rights. WTO has 160 states that allow each other a discriminatory intervention or a favoured trading spouse position. The administration provides a model others can use to negociate and organize trade understandings. while at the same clip it oversees the signed understandings ratified by the parliaments of the member states are purely observed. The administration. for the most portion. focuses on trade dialogues such as the Uruguay Round ( 1986-1994 ) and presently the defunct dialogue called Doha Development Agenda known besides as Doha Round that tried in 2001 to raise the overall position of poorer states that make up the bulk of the universe population. This peculiar dialogue had been derailed by the same group that the dialogue was seeking to heighten their just representation that demanded to see in topographic point a particular safeguard step that will screen husbandmans from import implosion therapy. The peculiar administration is under the administration of ministerial conference that takes topographic point every two old ages and has a general council in charge of implementing whatever understanding the conference arrives at and for administering the twenty-four hours to twenty-four hours concern. while it is represented by a director-general. The WTO works hand-in-hand with other administrations such as the World Bank. Intentional Monitory Fund. International Trade Organisation etc. that go much further than concentrating on trade and trade in countries that are related to merchandise indirectly such as employment. investing. assorted sorts of loaning. ordinance concern practises that do non adhere to the regulations and assorted understandings covering with how to pull strings trade goods. The GATT is really of import in such a manner that if the WTO was non formed. GATT would hold been reigning still functioning the same intent the WTO started functioning. because it was the lone many-sided understanding between states get downing from 1948. There had been seven unit of ammunitions of dialogue under the GATT that were working to convey down duties among states. The Kennedy Round in the 1960ss raised the inquiry of antidumping where when states are caught in the action of selling goods well less than they are selling in their ain market. In the 1970ss. the Tokyo Round started to look at other barriers that are non tariff related where it was non easy to acquire consequences. because of the controversial nature of what were taking topographic point since some of them known as plurilateral understandings were non approved by all participants. However the Uruguay Round had amended some of them subsequently and they had become many-sided understandings. The Uruguay Round that took topographic point in 1986 had introduced new countries such as including services and rational belongingss in the understandings. The Uruguay Round besides dealt with trade reforms in the country of agribusiness and fabric that were ever sensitive countries. Finally in 1994 the Final Act concluded what the members started in the Uruguay Round and established the WTO that took topographic point at the Marrakech Agreement. This means that WTO does non hold its ain authorization boulder clay day of the month and it is still utilizing GATT as its umbrella pact. although the Final Act at Marrakech had added new 60 understandings adopted into the authorizations of the administration. Consequently. the major countries the WTO oversees among its international members are to supervise how goods and investing are traversing the boundary lines of member states. including the assorted services. rational belongings. difference colony and reexamining the trade policies the assorted member authoritiess are presenting from clip to clip. There had been several ministerial conferences since the WTO was formed that came up with assorted policies to cover with the assorted jobs at manus at the clip the assorted conferences were taking topographic point. The major rules of the WTO refering trade are non-discrimination that has two cardinal constituents. the most favoured states and national intervention. The former requires member to handle every member every bit where if they create a favorable status for a given member they have to make to all members. a demand that is possible to overrule among bilateral and many-sided understandings. The national intervention requires that goods and services imported should have similar intervention with what are locally available.

Monday, October 21, 2019

Person who i admire essays

Person who i admire essays The person who i admire most is Juana INes de la criz. She was born in Mexico. She was a smart girl. When she was four years old she learned how to read. When she grew up she was showing all talents and also her beliefs.She was a poet and also the first woman to open the school for women. I think her best qualities are that she was a fighter, she was brave and the she never gave up. Juana Ines de la cruz was a fighter. She fought for women. She wanted and made equal rights for them. She wanted women to study and go to school like the men did. In those days the school was just for the men, and no women were allowed. They thought the women were just for cleaning the house and taking care of their children. But Juana though differently. She thought the womenhad the same rights and opportunities as the men. So she kept studing and studing and when she tried to get in to college they told her that it was just for men. So she entered the college dressed as a man and acting like a man, but they disciovered her and she was expelled from the college. She never gave up. After she was expelled from college she got into a convent with nins. So that way she kept studying and did not marry. That is where she started writing poems about like, how the men and all the society were unfair with the women. One of her poems i like most is called "Hombres Necios." Thas means "Ignorant men." It talks about what the men let women do and what they don't. i think is a grat poem because it says a lot true things about men, women and life. Sge demostrated how brave she was. The society where she lived was ahainst the poems she wrote and her beliefs, but atthough the people were against her, she kept with her own beliefs. She did not stop, until she proved that shool was also for women. sor Juana Ines de la Cruz was a fighter, brave and, the kind of woman that admire her because she is the woman who fought for the freedom of women and for e...

Sunday, October 20, 2019

The Meaning of Social Order in Sociology

The Meaning of Social Order in Sociology Social order is a fundamental concept in sociology that refers to the way in which the various components of society- social structures and institutions, social relations, social interactions and behavior, and cultural features such as norms, beliefs, and values- work together to maintain the status quo. Outside the field of sociology, people often use the term social order to refer to a state of stability and consensus that exists in the absence of chaos and upheaval. Sociologists, however, have a more complex understanding of the term. Within the field, it refers to the organization of many interrelated parts of a society. Social order is present when individuals agree to a shared social contract that states that certain rules and laws must be abided and certain standards, values, and norms maintained. Social order can be observed within national societies, geographical regions, institutions and organizations, communities, formal and informal  groups, and even at the scale of global society. Within all of these, social order is most often hierarchical in nature; some people hold more power than others in order to enforce the laws, rules, and norms necessary for the preservation of social order. Practices, behaviors, values, and beliefs that are counter to those of the social order are typically framed as deviant and/or dangerous  and are curtailed through the enforcement of laws, rules, norms, and taboos. Social Order Follows a Social Contract The question of how social order is achieved and maintained is the question that gave birth to the field of sociology. In his book  Leviathan, English philosopher Thomas Hobbes laid the groundwork for the exploration of this question within the social sciences. Hobbes recognized that without some form of social contract, there could be no society, and chaos and disorder would reign. According to Hobbes, modern states were created in order to provide social order. People agree to empower the state to enforce the rule of law, and in exchange, they give up some individual power. This is the essence of the social contract that lies at the foundation of Hobbess theory of social order. As sociology became an established field of study, early thinkers became keenly interested in the question of social order. Founding figures like Karl Marx and Émile Durkheim focused their attention on the significant transitions that occurred before and during their lifetimes, including industrialization, urbanization, and the waning of religion as a significant force in social life. These two theorists, though, had polar opposite views on how social order is achieved and maintained, and to what ends. Durkheims Cultural Theory of Social Order Through his study of the role of religion in primitive and traditional societies, French sociologist Émile Durkheim came to believe that social order arose out the shared beliefs, values, norms, and practices of a given group of people. His view locates the origins of social order in the practices and interactions of daily life as well as those associated with rituals and important events. In other words, it is a theory of social order that puts culture at the forefront. Durkheim theorized that it was through the culture shared by a group, community, or society that a sense of social connection- what he called solidarity- emerged between and among people and that worked to bind them together into a collective. Durkheim referred to a groups shared collection of beliefs, values, attitudes, and knowledge as the collective conscience. In primitive and traditional societies Durkheim observed that sharing these things was enough to create a mechanical solidarity that bound the group together. In the larger, more diverse, and urbanized societies of modern times, Durkheim observed that it was the recognition of the need to rely on each other to fulfill different roles and functions that bound society together. He called this organic solidarity. Durkheim also observed that social institutions- such as the state, media, education, and law enforcement- play formative roles in fostering a collective conscience in both traditional and modern societies. According to Durkheim, it is through our interactions with these institutions and with the people around us that we participate in the maintenance of rules and norms and behavior that enable the smooth functioning of society. In other words, we work together to maintain social order. Durkheims view became the foundation for the functionalist perspective,  which views society as the sum of interlocking and interdependent parts that evolve together to maintain social order. Marxs Critical Theory of Social Order German philosopher Karl Marx took a different view of social order. Focusing on the transition from pre-capitalist to capitalist economies and their effects on society, he developed a theory of social order centered on the economic structure of society and the social relations involved in the production of goods. Marx believed that these aspects of society were responsible for producing the social order, while others- including social institutions and the state- were responsible for maintaining it. He referred to these two different components of society as the base and the superstructure. In his writings on capitalism, Marx argued that the superstructure grows out of the base and reflects the interests of the ruling class that controls it. The superstructure justifies how the base operates, and in doing so, justifies the power of the ruling class. Together, the base and the superstructure create and maintain social order. From his observations of history and politics, Marx concluded that the shift to a capitalist industrial economy throughout Europe created a class of workers who were exploited by company owners and their financiers. The result was a hierarchical class-based society in which a small minority held power over the majority, whose labor they used for their own financial gain. Marx believed that social institutions did the work of spreading the values and beliefs of the ruling class in order to maintain a social order that would serve their interests and protect their power. Marxs critical view of social order is the basis of the conflict theory perspective in sociology, which views social order as a precarious state shaped by ongoing conflicts between groups that are competing for access to resources and power. Putting Both Theories to Work While some sociologists align themselves with either Durkheims or Marxs view of social order, most recognize that both theories have merit. A nuanced understanding of social order must acknowledge that it is the product of multiple and sometimes contradictory processes. Social order is a necessary feature of any society and it is deeply important for building a sense of belonging and connection with others. At the same time, social order is also responsible for producing and maintaining oppression. A true understanding of how social order is constructed must take all of these contradictory aspects into account.

Saturday, October 19, 2019

EFG Eurobank Corporate Strategy Essay Example | Topics and Well Written Essays - 3500 words

EFG Eurobank Corporate Strategy - Essay Example More recently, strategy implementation has been heralded as the key to corporate strategic success (Ulijn and Amant, 2000). However, corporate strategy regardless of how elegantly conceived, how comprehensive its scope, or how forward-looking its thrust, does not provide competitive advantage until it is communicated, understood, valued and acted upon by a variety of key corporate stakeholders. Employees must understand, accept and internalise corporate strategy if the strategic blueprint is to be transformed into positive strategic results. Suppliers, strategic partners and customers must have a basic understanding and appreciation of the firm's strategic direction if these stakeholder relationships are to flourish and be productive. The financial community must be aware of a company's strategic intentions in order to properly evaluate a firm's current value and prospects for the future. Only when the corporate strategy message is communicated in a clear, concise, timely and persuasive manner to key corporate stakeholders does the firm have an opportunity to achieve competitive advantage. This paper will serve as an explanation of what Corporate Strategy meant. ... EFG Eurobank Ergasias was first established in 1990 as Euromerchant Bank. With 8 billion market capitalisation and 1.9 billion share capital at the end of 2004, the EFG Eurobank Ergasias Group currently offers a full range of banking products and services aimed at individuals, corporations and institutions. The Bank has built up leading market positions in a number of areas, in particular in the high margin, high growth segments, which form the key focus of its activities. EFG Eurobank Ergasias is Greece's leading provider of consumer loans and credit cards, lending to small and medium sized enterprises and mutual fund management. Moreover, it has a significant presence in corporate banking and holds the leading position both in investment banking, through EFG Telesis Finance, and in capital markets, through EFG Eurobank Securities, while it also has a strong comparative advantage in the field of private banking. Employing over 13,700 people, both in Greece and abroad, with a local distribution network of over 300 branches, 700 ATMs and alternative distribution channels, including phone banking, electronic banking and mobile banking, the Bank achieves countrywide distribution and service capability and the integrated coverage of the needs of its customers. The Bank also develops its presence in the wider geographical area. Access to European markets is facilitated through the strategic alliance with Geneva-based EFG Group. The Target of EFG Eurobank was to become the Bank of first choice in Greece, focusing on quality, innovation and comprehensive services; and To develop its presence in the wider area of Southeastern Europe, exporting its successful local business model. In terms of its ownership,

Friday, October 18, 2019

Police Brutality Research Paper Example | Topics and Well Written Essays - 1750 words - 1

Police Brutality - Research Paper Example Police more often injure arrestees after they handcuff them or even when they are at the police cells or remand. Many arrestees complain of being hurt by police officers after complying with their orders. Rogue police hit, kick, or even punch arrestees leaving them with a lot of injuries and mental torture (Elicker, 2008). At times, police use excess power when arresting people who are not resistant to the police. Only such power fit to resistant and stubborn suspects but not people who are willing to comply. Some police officers use chock holds when arresting people, which is a very intimidating and demeaning way of handling suspects since they have their human rights till proven guilty. Some police officers go to extend of hitting arrestees and other criminal suspects with harmful and dangerous instruments like guns. This exposes the victims to permanent or short-term effects. Many police brutality victims suffer brain injuries, body deformities, Spinal cord injuries and worse even , others die (Pinizzotto et al., 2012). Some police officers perceive use of electrical shock devices as a convenient way of inducing arrest of suspects. They target getting control of the arrestee without considering the effect of the shock to the individual. Consequently, many arrestees suffer from heart attacks and other personal injuries because of the electrical shock exposed to them. Police officers are only authorized by law to use guns at the last case situation but contrary, police shootings and killings are increasing on a daily basis. As a result, many deaths result from shooting misidentified individuals, and bystanders (Fox, 2011). Due to the high numbers of firing guns, chances of stray bullets are also high therefore increasing the number of deaths of innocent people. At times, police officers use a squad car to chase after a

Briefly characterize the main periods of Indonesian history Essay

Briefly characterize the main periods of Indonesian history - Essay Example Foreign influence on Indonesia is quite apparent and it had been an important trading location for various civilisations and as such also a prize colony. Going back in history there has been fossil evidence that shows Indonesia to be inhabited for more than five hundred thousand years (Pope, 1988). However, in terms of recorded history, the seventh century A.D. is more important since this is the time when the smaller kingdoms were united into the Sriwijaya kingdom (Drakeley, 2005). Naval forces were naturally important to Indonesian kings and based on their strength in the sea they were able to control the trade which went through the region. Contact with Hindu and Buddhist religions also influenced the structure of the country’s culture and religious makeup to the extent that by the tenth century the dynasties which held power over Indonesia had become Hindu or in some cases Buddhists (Drakeley, 2005). The period of Hindu kingdoms lasted till the 13th century when Indonesia had its second experience of traders turning into rulers (Ricklefs, 1993). Islam came to Indonesia with traders carrying goods from the Islamic empire and regions such as a Persia and India which had already been influenced by Islamic missionaries, traders or raiders. Hindu kings were influenced by and converted to Islam and the first such king was the Sultan of Demak. He was a powerful force in spreading Islam to the other island kingdoms of the region and caused the retreat of Hinduism and Buddhism from the islands. A commander under the Sultan of Demak conquered the capital of the West Java Kingdom of Pajajaran which was called Sunda Kelapa. After the conquest the city was renamed as Jaya Karta which means great city. The name later changed to Jakarta and it remains the capital city of the country to this day (AsianInfo, 2000). From the western world, the

A Review of Literature on How to Manage International Joint Venture - 2

A of on How to Manage International Joint Venture Successfully - Literature review Example In licensing model, companies planning for internationalization use patent or trademark of market leaders in foreign countries in order to enter in the country. Companies use strategic partnership with existing player in foreign market in order to enter in the country and this partnership is known as joint venture. Ownership ratio in Joint Venture or International Joint Venture is decided in accordance with the capital invested by two strategic partners. Discussion Academic scholars like Griffith, O’Brian and Zeybek (2001) have pointed out that international joint venture (IJV) is one kind of foreign direct investment and they have also argued that in international joint venture (IJV) strategic partners are engaged to develop and operate one common business entity. Other researchers such as Perlmutter and Heenan (1986) have depicted IJV as a functional device to survive in tumultuous global economies. According to these research scholars companies plan for IJV in order to decr ease financial and strategic risks and they have also given evidences to support their viewpoints. Various research scholars such as Gundlach & Achrolhave (1993) have identified different benefits of forming in IJV. According to them IJV provides various benefits like local capital, raw material sources, marketing capabilities, government assistance, technology integration, tax incentives, assurances of imports, decreasing ethnocentrism issues and local currency loans to foreign players. Academic scholars like Reurer and Miller (1997) have pointed out that IJV can help the parent companies to adopt long term performance plans in order to increase average rate of return in investment. Baek, Min and Ryu (2006) have established a valid argument on wealth management issues of IJV and according to the scholar IJV can create more wealth for shareholders of parent firms meanwhile the model also saves skin for parent firms suffering from high leverage or low level of cash flow. Research sch olars such as Koh and Venkatraman (1991) have argued that international joint venture can boost the growth of stock market value for parent company while many other researchers have found that their argument lacks subjectivity. There is negative side of IJV and academic scholars have pointed out that IJV is considered as strategic dilemma for many organizations. Research scholars such as Yan and Zeng (1999) have pointed out that IJV destabilize the business process for many organizations. They have found that stability of IJV model demands change in leadership or ownership model for companies. Academic scholars have pointed out that IJV needs successful integration of strategic change management in order to be successful. Synchronization of change management and IJV is a contingent option for directing the equilibrium of foreign business venture in response to external and internal forces. Study shows that IJV is the systematic profiling of business risk and available strategic vari ables. Research scholars like Eisenhardt (1989) has proposed two theories names as team production theory and agency theory in order to define risk factors associated with IJV model. Agency theory has underlined agents might fail to understand business objective of principle and in such cases objective of IJV might fail. In such cases principals or the parent companies need to use different mechanisms such as monitoring, contract and reliance in order to resolve agency

Thursday, October 17, 2019

Business Research Essay Example | Topics and Well Written Essays - 1000 words

Business Research - Essay Example NatWest traces its origin to the year 1968 when the National Provincial Bank merged with the Westminster Bank. NatWest has remained one of the â€Å"biggest four clearing banks† in the United Kingdom and it has opened over 1,600 branches and 3,400 automated teller machines across the UK (Jones, 2012, p.258). The bank currently has nearly 7.5 million customers and over 850,000 accounts specifically tailored for small businesses. It operates through a subsidiary bank known as Ulster Bank in the republic of Ireland. As per the year 2003 NatWest was a wholly owned subsidiary of the RBS. However, it has currently become the ultimate holding company of the Royal Bank of Scotland Group (RBS). Basing on this, it is evidently cleat that the shareholders, competitors and interest groups of RBS are directly linked to the National Westminster Bank. The government of the United Kingdom acquired majority of the shares of RBS in 2008 to become the majority shareholder of the bank. Currently, the UK government owns over 67% of the ordinary shares floated by the Royal Bank of Scotland Group in the stock market. OWNERSHIP Government Ownership of National Westminster Bank As already stated, NatWest is the main holding company of the Royal Bank of Scotland. ... The government went further to acquire B shares in December thus making the cumulative government ownership of the RBS Group to stand at 81.15 percent (Waller, 2000, p.31). Stephen Hester is the chief executive officer of the Royal Bank of Scotland, a company which by extension owns the National Westminster Bank. Since the majority of the shareholding comes from the government whose main source of income is the taxpayer’s money, it is also true to say that NatWest is a bank owned by the public (Steiner, 2000, p.18). UK Financial Investments Ltd (UKFI) was then charged with the mandate of overseeing the government’s investments in financial institution including Royal Bank of Scotland Group. In connection to the desire of promoting economic stability and healthy competition in the banking sector, the UK government has given UKFI the duty to manage the orderly but active disposing of government’s shareholding in some of these institutions. Norwich Union is a compos ite insurer and owns about 1.12 percent of the original shares of NatWest Bank. Before the â€Å"takeover† of the company by the Royal Bank of Scotland, the managers of this bank were in full support of the bid presented by the RBS. COMPETITION NatWest, which by extension refers to the Royal Bank of Scotland, faces competition from several banks that include HSBC, Credit Suisse Bank, Barclays Bank and Standard Chartered. About HSBC: It is ranked as the top most banks in the whole world. According to the financial statements of the bank released in the first quarter of 2011, this bank recorded the largest profit of 4,153 billion dollars. It highly trusted in emerging markets such as China. This factor

Research Method Essay Example | Topics and Well Written Essays - 1000 words

Research Method - Essay Example Inamulhaq (2012) discussed that there are different techniques which can be adopted by nurses and other health practitioners in order to ensure and improve hand washing techniques. One of these methods is health education, and this would necessitate the actual training of the staff in relation to proper hand washing techniques in the clinical setting (Inamulhaq, 2012). The availability of antibacterial soaps was also highlighted as an important means of ensuring the application of hand washing techniques. Moreover, facilities where hand washing can be carried out can also be made available in as many places as possible for the hospital staff (Inamulhaq, 2012). In the paper by Erasmus and colleagues (2010), the importance of action planning, was established as one of the effective ways hand washing among nurses can be improved. Action planning involves active participation in the hand washing process, for example, nurses may list when they are supposed to wash their hands. Covering 17 participants in a pilot study on hand hygiene behaviour, the authors established that where an action plan for the nurses is established before or during the shift, the possibility of ensuring that hand washing is carried out becomes greater (Erasmus, et.al., 2010). The action plan then soon becomes part of the nurse’s routine and the possibility of compliance is significantly improved (Erasmus, et.al., 2010). In the study by Nicol, et.al., (2009) the authors emphasized the theory of planned behaviour. The study revealed that the theory of planned behaviour could sufficiently help improve the education and training of nurses in hand hygiene behaviour (Nicol, et.al., 2009). This study was also able to demonstrate that deep-seated habits which are incorporated well into a person’s activities have a significant potential of improving a certain activity or behaviour (Nicol, et.al., 2009). The theory of planned

Wednesday, October 16, 2019

Business Research Essay Example | Topics and Well Written Essays - 1000 words

Business Research - Essay Example NatWest traces its origin to the year 1968 when the National Provincial Bank merged with the Westminster Bank. NatWest has remained one of the â€Å"biggest four clearing banks† in the United Kingdom and it has opened over 1,600 branches and 3,400 automated teller machines across the UK (Jones, 2012, p.258). The bank currently has nearly 7.5 million customers and over 850,000 accounts specifically tailored for small businesses. It operates through a subsidiary bank known as Ulster Bank in the republic of Ireland. As per the year 2003 NatWest was a wholly owned subsidiary of the RBS. However, it has currently become the ultimate holding company of the Royal Bank of Scotland Group (RBS). Basing on this, it is evidently cleat that the shareholders, competitors and interest groups of RBS are directly linked to the National Westminster Bank. The government of the United Kingdom acquired majority of the shares of RBS in 2008 to become the majority shareholder of the bank. Currently, the UK government owns over 67% of the ordinary shares floated by the Royal Bank of Scotland Group in the stock market. OWNERSHIP Government Ownership of National Westminster Bank As already stated, NatWest is the main holding company of the Royal Bank of Scotland. ... The government went further to acquire B shares in December thus making the cumulative government ownership of the RBS Group to stand at 81.15 percent (Waller, 2000, p.31). Stephen Hester is the chief executive officer of the Royal Bank of Scotland, a company which by extension owns the National Westminster Bank. Since the majority of the shareholding comes from the government whose main source of income is the taxpayer’s money, it is also true to say that NatWest is a bank owned by the public (Steiner, 2000, p.18). UK Financial Investments Ltd (UKFI) was then charged with the mandate of overseeing the government’s investments in financial institution including Royal Bank of Scotland Group. In connection to the desire of promoting economic stability and healthy competition in the banking sector, the UK government has given UKFI the duty to manage the orderly but active disposing of government’s shareholding in some of these institutions. Norwich Union is a compos ite insurer and owns about 1.12 percent of the original shares of NatWest Bank. Before the â€Å"takeover† of the company by the Royal Bank of Scotland, the managers of this bank were in full support of the bid presented by the RBS. COMPETITION NatWest, which by extension refers to the Royal Bank of Scotland, faces competition from several banks that include HSBC, Credit Suisse Bank, Barclays Bank and Standard Chartered. About HSBC: It is ranked as the top most banks in the whole world. According to the financial statements of the bank released in the first quarter of 2011, this bank recorded the largest profit of 4,153 billion dollars. It highly trusted in emerging markets such as China. This factor

Tuesday, October 15, 2019

How do the arguments that motivate the Five Ways also help us to Essay

How do the arguments that motivate the Five Ways also help us to understand the nature of mind - Essay Example However, he succinctly lays bare the fact assumption that the universe and the world depends upon him for their imminent existence (McGrath 15). This same exposition aids us to understand the nature of the mind. Evidently, to our sense, everything in the world that moves is most probably caused to do so by another, unless it is in its potentiality to move. Motion is perceived as the alteration of something from potentiality to its reality. However, not a single thing can move from a state of potentiality to actuality unless it is excited to behave in that way by something else that is in its actuality. Therefore, it is exceedingly impossible for something to possess the ability, in the same respect, to move and be moved (Carruthers 73). Additionally, for something to move, it ought to be moved by another. The mind, though perceived to be abysmally voided induces the motion in every being. The mind has the ability to induce motion in beings and this initially ensues from the ultimate being gradually to inferior beings. This moving and being moved extends from one thing to another but cannot result into infinity, since there would not be a first mover. The succeeding movers move in as much as the first and ultimate mover, who is no one else but God move them. Aquinas derived the planetary motion ideology from Aristotle and succinctly described the force behind the motion. The seasons changed due to the planetary movement. Who moves and sustains the order of things in the world? The answer is only God, the ultimate mover, who sustains the order of occurrences in the world (McGrath 15). The second proof towards God’s existence confers from the efficient reason of being or actuality. In this world of sensible existence and the normal, there is usually a specific given order of the efficient causes. There is never an incidence where a thing is sufficiently capable of being the efficient cause of its own imminent existence (Gardiner 10). This is because it woul d undoubtedly be prior to itself and is therefore virtually impossible. It is extremely impossible to proceed to infinity, since all efficient causes follow each other progressively in a sequential order, the initial being the cause behind the efficiency of the intermediate cause. This is regardless of the number of the intermediate causes. Taking the cause is actually taking away the effect. If it were possible to move to infinity in efficient causes, there would be no primary efficient cause, any ultimate effect or any transitional efficient causes, which is false. Thus, God is the final efficient cause above all the other intermediate and subsequent causes. Therefore, this theory of efficient cause means that there cannot be an endless regression of effect and cause. Eventually, the final being that causes everything is God (McGrath 15). The mind, therefore, does not possess concrete existence. The emotions it holds of happiness and anger later subside, proving its emptiness. Thi s proof is conferred from necessity and possibility. Naturally, there are things our minds perceive to, possibly, be and others not to be. This is due to the possibly that they might be generated, corrupted and eventually, it is probable that they are imminently in a state of being and not being. However, this is virtually impossible since nothing can exist in the two different states. This depicts that everything can or cannot be. This results into the perception that if not

Monday, October 14, 2019

Magazine Advertisement That Portrays Explicit Womens Imagery Media Essay

Magazine Advertisement That Portrays Explicit Womens Imagery Media Essay Advertisement had been regarded as one of the most effective communication tools in persuading the audience to buy or to raise awareness on product, issues or services. Advertisement is effective because advertisement gives the audiences a basic knowledge of the product in just one picture. It attracts the audiences better because of the way a message was presented. In this capitalism world, companies, big or small compete against each other to market their product. The popularity of their brand is the measurement of their successfulness in doing business. That is the reason most companies spends a large amount of money in advertising. In Malaysia, a total of RM 130881 mil was spent on advertisement according to the statistic data from Nielsen Malaysia Advertising Expenditure Report (November 2010). In print media, especially in magazines, advertisement compliments the magazines. It completes the stories in the magazines and it gives the audience a subtle hint of what the magazine of fers to the audiences. However, in most advertisement, media stereotypes happen in most advertisement. Advertisement develops a unique universe that might contain different messages about gender than the articles and photo spreads that accompany them. (Carter, 2004) It shows that advertisement have greater influences towards the audience than the article. Most advertisement nowadays portrays a wide variety of media stereotypes against women. Women are frequently portrayed in their traditional work such as a happy and diligent domestic worker, a loyal wife who waits at home for her husband arrival from work and a nurturing mother. The only job that seems to be associated with women in advertisement is secretary, air stewardess and nurse. It is unusual for advertisement to picture women in jobs such as pilot, police or truck drivers. Stereotyping women children reflects a view of them as less mature, more emotional, and less competent that their male worker. (Krolà ¸kke, 2006, p.81) Apart from being portrayed in their traditional ways, women nowadays are portrayed as sex objects. Almost all of the advertisement uses women to sell their merchandise in sexual ways regardless of types of magazines. Most magazines portrays woman in minimal clothing or semi nude. Such portrayal degrades womans dignity and can install a wrong perception into the audiences mind. It will also strengthen the popular believe that women are subordinate to men and women are meant for serving men. In advertising, women and men act in stereotypical ways, portraying ideal female and male behavior. As such, they not only conceal how conceal how women and men really act but also function prescriptively to show how they should act. (Ibid,p.78) In this research, an analysis on portrayal of women in advertisement (magazines) will be done. The issue that will be highlighted is the frequency of women being portrayed in their traditional ways and in sexual ways. The other issue that will be highlighted is the reason such portrayal is being produce. STATEMENT OF PROBLEM Magazine is one of the media that we frequently use. Popular magazines can have millions of viewers and this means that magazine influence a lot of people based on what they write and portray in the magazine. Advertisement is one of the major compartments in a magazine and a magazine could not function without it. Portrayal of women is common in an advertisement. Be it as a social awareness advertisement or a car advertisement. The question now is how much advertisement in the magazines that portray women in their traditional roles and in sexual ways? Another question that arises is what kind of advertisement that uses women in their traditional ways and/or in sexual ways to promote their services or merchandise more? The visualization of advertisement changes according to the time and technology. But some advertisement even with these changes, stick to the original ways of advertising their services and products. As it was stated before, advertisement is one of the most powerful ways of persuading others. A lot of factors influences the way an advertisement is visualize. The portrayal of women images must have been caused by several of the factors. The question is why do advertisement uses such image? RESEARCH OBJECTIVE To determine the magazine that publishes advertisement that portrays explicit womens imagery. To analyze the types of advertisement that prone to using women in a traditional and/or explicit imagery in their advertisement. To identify the causes of such portrayal. SIGNIFICANCE OF STUDY The study is important mainly to the public to create awareness. Advertisement is very influential and can affect the way we perceive things. Therefore, with this study, the public will have a better understanding of ways to evaluate women with a better value than sex .Besides that, this study is also important to women rights association to recognize types of advertisement that degrades womens dignity. This then would help them in urging the government to take action on the ever increasing advertisements that devalue women. It is also important to the advertiser themselves so that they are cautious with their ways of advertising. This study is also important to the government so they can create and enforce law to protect womens right. CHAPTER II LITERATURE REVIEW 2.1. Introduction A lot of studies had been done on advertisement and women. Mee- Eun Kang (1997) observed that most advertisement portrays women in a traditional way in print media. According to Eun-Kangs findings, à ¢Ã¢â€š ¬Ã‚ ¦images of women in 1991 advertisement did not significantly change from the images found in 1979 advertisement. Her findings indicated that advertisement in magazines did not change drastically. Women were still portrays as housekeepers and a mother to a child. This however is relevant to that year because the second wave of feminism had just launched. The second wave of feminism started at the late 1960s and early 1970s. Feminist were protesting against the beauty pageants. They were opposing with an assumption that the winner won because of how she look and not what she do and what they think about. There are three waves of feminism, the first wave emphasis in womens right in voting, the second wave is protesting on how the public view women generally and how the media portrayed inequality in portraying gender and the celebration of woman diversity and the introduction to the cyber girl is the third wave. Even though feminist had launch a radical attack on the degrading ways of evaluating women, the changes are slow to take place as media especially advertisement continue picturing women in a household. Her findings were strengthen by Atoff Nassif and Barrie Gunter (2008) whose findings shows that women were strongly associated with household products. Products such as dishwasher liquid, clothes detergent and kitchen appliances product were strongly linked to women based on their study. Besides that, body products such as soap, shampoo and lotion are also associated with women. It is uncommon even until today, men advertising body products unless the product is specifically for men. Ferguson, Kreshel and Tinkham (1990) justify the advertiser tactics with a statement that such portrayal is important to bring the advertiser and audiences together. What the advertiser had done was only taking what was socially known and accepted to the public. The real jobs of women according to social institution are to take care of their husband and children and keeping the house warm, nice and cozy. Mallika Das(2000) and Katharina Lindner (2004) found out that as time goes by, the portrayal of women in their traditional roles has decreased but the images of women in sexual ways increased. Their findings were strengthen by Julie M. Stankiewicz and Francine Rosselli (2007) study that shows 75.98% of women that appear in mens magazine, be it in articles, pictures and advertisement appear as sex objects. 2.2 Media stereotypes against women Media stereotypes are a common representative of a person or a group of person. It generally put an understanding in everyone that certain people behave certain way traditionally. Media stereotypes can be problematic if they represent certain group of people women, for example in a negative way or confined them to certain behavior or jobs. It is unwise to have an understanding of certain people from the media as the media can be deceiving. As time goes by some of the stereotypical ways of seeing people are not applicable in the modern days. Knowledge and technology are always developing and by the increased of knowledge in hand, people will surely change along with time. Erving Goffman (1979) asserts that, If anything,advertisers conventionalize our conventions, stylize what is already a stylization, make frivolous use of what is already something considerably cut off from contextual controls. Their hype is hyper-ritualisation. According to him, the gender representation that we see is meaningful to us because they are ideal gender representations. It is what the society has taught us. Wonder Woman, Cat Woman, Storm, Rogue and Alice Cullen are the tough women in the media industries. They are strong but they still maintain perfect skin, are thin and wore fashionable clothes. On the other hand, Cinderella, Snow White and Sleeping Beauty are women who are very hardworking, hate messy stuff, cooks and cleans for the family, friendly to everyone including animals, fair, beautiful and awaits for their prince charming to come and swept their feet away. These two examples are the portrayal of women today and women in the past. Women today are portrayed as strong and independent while women in the past are portrayed as dependent to the people (or animals) around them. But despite their differences, they were portrayed in a common way. Both women today and women in the past were portrayed as having a perfect skin, f air, beautiful and are using fashionable clothes. These women images that the narrator give is called the male gaze. According to Laura Mulvey (1975), In their traditional exhibitionist role women are simultaneously looked at and displayed, with their appearance coded for strong visual and erotic impact so that they can be said to connote to -be-looked-at-ness. She asserts that because the camera is dominated by male, the audiences view women in a patriarchal way. Women are being put on a pedestal because of this portrayal. Women across the country have the mentality that being thin is healthy and beautiful. Other researchers, Tom Reichert (2009) agrees with the statement by saying that both men and women are exposed to the decorative images that they value womens attractiveness more and devalue their intellect, skills and competencies. 2.3 Women as sex objects. Today, we are bombarded with thousands and thousands of advertisement that shows women in provoking ways. According to Kilbourne (1999), sexual imagery nowadays is not only confined in pornography media, but also in advertisement. Advertisement now adopts some of the action from violent pornography. This then confirms other types of stereotypical views on women that are women are subordinated to men. She found that womans legs, breasts or thighs have always become the part to grab the viewers attention, making women are seen as objects rather than a human being. Their bodies and their sexuality become a sex object when they are connected to the product or services that the advertisement represents. Advertisements such as Lux, Rejoice, Dove and Enchanter have that effect. They will picture a woman using their product and in the advertisement, they reveal some skin. Parts such as shoulder and legs are always shown to the audiences. Almost all products that show women in revealing produ cts suggest that the audiences can have sex-related benefit. For example, the Axe body sprays. In its recent advertisement in the television, it shows that user grabs womans attention and the woman will automatically give the user her phone number. This advertisement suggests to us that, if you use this body spray, you too will get phone numbers from random woman that pass you by. CHAPTER III METHODOLOGY Introduction This study is done by using content analysis method as suggested by Barelson (1971) to analyze the portrayal of women in a general interest magazine. Content analysis enables us to elaborate communication theories and to test the hypothesis of the study. It also can be used to compare the content of the media with the real situation. Barelson (1971) defined content analysis as a research technique with the purpose to give a systematic, objective and quantitative view on the communication content. From the definition, there are four important concepts that should be look upon which are; Objective- achieved when we have a content analysis that were defined precisely. This means that the research depends on the rules and not the analyzer. Systematic-(1) A set of rules used in the same way for all analyze content. (2) Category is formed so that all related content were analyze. (3) Design analyze to save related data with the question or hypothesis. 3. Quantitative- The sum of the frequency of the related advertisement being published. 4. Content- Refers to whatever that is written and published in the media. 3.2. Population and sampling The population of this study is 72 magazines in Malaysia. Magazines include mens, womens, medical, sports, news and business. The magazine advertisement was the unit of analysis for this study. The method used to select a sample size is the non-probability sampling. Non-probability sampling is used because statistical procedure is not needed when selecting cases from given population. The type of non-probability sampling used is purposive sampling. In purposive sampling, the respondent are chosen based on the researchers own expertise and judgments that the particular sample fit into the characteristics of the populations. The first step in obtaining the sample is to browse through the book store for magazines. Then, dependent to the researchers judgment, he or she would choose any magazines that he or she thinks are relevant for the studies. In this research, advertisement that featured human subjects were collected from December 2010 to February 2011 popular magazines. Conceptualization of Variables (concepts) The type of variable used in this research is independent variable. Independent variable is variable that is controlled and manipulated by the researcher. Types of magazines and advertisement are the main variables. Types of magazines are the various kind of magazine available for viewing pleasure. Types of advertisements are the various kind of advertisement used to promote product and services. The measurement for this variable is nominal measures. Nominal measures are variables whose attributes have only the characteristics of exhaustiveness and mutually exclusiveness. 3.5. Data Analysis This study uses descriptive analysis for the data analysis based on descriptive statistics collected from the selected advertisement. The descriptive statistics that will be use is multivariate statistics. Multivariate statistics is statistics that shows relationship between three or more variables. Researchers can determine if the bivariate relationship is true or not by putting a variable as a control variable. The variables that can be use for this study are types of magazine and the frequency stereotypes happen in advertisement. Elaboration on the relationship and effects each variable has with the help of example will be used to support findings in the research. Mean percentage will be used to calculate the relationship. Besides that ANOVA will be used to measure the independent variables. The independent variables are types of magazines, types of advertisement and causes of imagery. 3.6. Methodological Issues The issues arise when doing this research is the financial constraint. Researcher has to buy all the magazines related to the subject. There are a lot of magazines and the prices differ according to the material used to make the magazine and the thickness of the book. With limited budget, the researcher will not be able to buy all of the magazines. Time constraint is also one of the issue arise when doing this assignment. Magazines are only published once or twice a month and with the deadline coming nearer, researcher cant afford any delay in doing his/her research. Other than that, researcher still has to attend class while conducting the research. Researcher need to manage his/her time efficiently so that it wont disturb his/her study time and research time. The availability of related magazines is also an issue to the researcher. Some bookstore does not sell magazines and some bookstore has limited types of magazines. This resulting in researcher to have limited data on his/her research. Researcher also faced with problems such as not knowing the overall location of each bookstore. Since researcher is not originated from this place, the knowledge of location of bookstore is limited.

Sunday, October 13, 2019

Investigative Psychology Essay -- Criminal Profiling, Correctional Psy

Investigative Psychology As stated by Bartol and Bartol (2008), investigative psychology is the application of psychological research and principles to the investigation of criminal behavior (Bartol & Bartol, 2008). Investigative psychology is closely associated with criminal profiling, but there are other areas in which a forensic psychologist can participate in this particular subspecialty. An investigative psychologist maybe asked to perform a psychological autopsy, forensic hypnosis, or produce a geographical mapping. Psychological autopsies are generally performed in suspected suicide cases where the insurance company or family member questions the cause of death. Forensic hypnosis is an interview or interrogation method used by trained and credentialed professionals. Lastly, geographic mapping is a method of research â€Å"concerned with analyzing spatial patterns of crimes committed by numerous offenders over a period of time (Bartol & Bartol, 2008).† Geographic profiling is the analysis of a single serial offender’s geographic movement. Due to the complexities of investigative psychology these methods have been scrutinized. In order for these methods to be admissible in a court of law, they must pass the Daubert standard for empirically based evidence. The use of such standards has sparked an array of studies. For example criminal profiling has been under a magnifying glass for several years. Snook et al. (2007) found that there is inadequate empirical evidence that suggest whether criminal profiling is an effective method (Snook, Eastwood, Gendreau, Goggin, & Cullen, 2007). However, Kocsis, Middledorp, and Karpin (2008) reported that expert profilers are more accurate at prediction of unknown offender characte... ...m with an understandable statement of their rights, privileges, and the limitations of confidentiality (Committee on Ethical Guidelines for Forensic Psychologists, 1991).† Multiple relationships in a correctional institution can cause ethical dilemmas. An example of this would be if an inmate refuses to comply with a random drug screening and then attempts to commit suicide. After the suicide attempt the correctional psychologist examines the inmate and discovers a history of suicide attempts. He recommends that the inmate participate in group therapy and be granted a pass on future drug screening. Other members of the prison staff believe the inmate attempted suicide to escape the urinalysis. In this case the psychologist is faced with the dilemma of what is in the best interest of the patient and what is the best interest of the correctional institution.