Saturday, August 31, 2019

Unit 1 Assignment 1 Windows 2008 Network Services

Unit 1 – Assignment 1 – Windows 2008 Network Services If you have a routed local area network and high-speed links that are fairly reliable, you might be able to use one DNS server for a larger, multiple sub-netted network area. If you have a high number of client nodes on a single subnet design, you might want to add more than one DNS server to the subnet to provide backup and failover if the preferred DNS server stops responding.When determining the number of DNS servers you need to use, assess the effect of zone transfers and DNS query traffic on slower links in your network. Although DNS is designed to help reduce broadcast traffic between local subnets, it does create some traffic between servers and clients that should be reviewed, particularly when used in complexly routed LAN or WAN environments. Consider the effects of zone transfer over slower speed links, like those typically used for a wide area network (WAN) connection.Windows 7 Check Your UnderstandingAlth ough the DNS Server service supports incremental zone transfers and DNS clients and servers can cache recently used names, traffic considerations are sometimes still an issue, particularly when DHCP leases are shortened and, as a result, dynamic updates in DNS are performed more frequently. One option for dealing with remote locations on WAN links is to set up a DNS server at these locations to provide caching-only DNS service. With most installations, you should have at least two server computers hosting each of your DNS zones for fault tolerance.DNS was designed to have two servers for each zone, one as a primary server and the other as a backup or secondary server. When making any final determinations about the number of servers to use, first assess the level of fault tolerance you need for your network. Because there is no fixed limit to the maximum number of clients a DHCP server can service or to the number of scopes you can create on a DHCP server, the primary factors to cons ider when you determine the number of DHCP servers to use are network architecture and server hardware.For example, in a single subnet environment, only one DHCP server is necessary, although you may want to use two servers or deploy a DHCP server cluster for increased fault tolerance. In multiple subnet environments, routers must forward DHCP messages between subnets, so router performance can affect your DHCP service. In both cases, DHCP server hardware affects service to clients.

Friday, August 30, 2019

Hyundai Creative Brief

I. Market Info a. In September 2012, Hyundai had sales of 11,403 with YTD sales numbers reaching 107,612. This accounted for a 12. 9% Canadian market share to date. The YTD for September 2012 sales of the electric vehicles available in Canada are as follows: Nissan Leaf – 196 units (up 367% from 2011), Mitsubishi i-MiEV – 165 units , Chevrolet Volt – 927 units (up 548% from 2011). Of the 1,305,538 cars sold to date in Canada, electric car sales accounted for 0. 0099% of total car sales. According to these numbers, Canadians are not embracing electric cars at a significant rate, however the World Wildlife Fund of Canada is aiming to have 600,000 EV’s on Canadian roads by 2020, accounting for 10% of all car sales. The WWF intends to do this by: * highlight environmental benefits of EVs * support improved access to EVs and EV infrastructure achieve competitive pricing with conventional vehicles * expand travel freedom for EV users with infrastructure and trav el partnership options * provide Canadians with positive EV information and experiences Government agencies have also offered incentives for buyers and owners of EV’s for example; the Ontario government is offering a rebate between $5,000 and $8,000 as well as a Green license plate which enables owners to use High-Occupancy Vehicle lanes, even if there is only one person in the vehicle as well as future access to public recharging facilities and parking at GO station and government lots. . Brand Profile Hyundai vehicles run the gamut from budget cars to luxury sedans to commercial trucks. South Korea's leading carmaker, Hyundai Motor produces compact and luxury cars, SUVs, minivans, trucks, buses, and other commercial vehicles. Its cars are sold in 180 countries through some 6,000 dealerships. Hyundai generates about half of its sales in South Korea, but its vehicles are also popular in emerging markets such as China and India. The company operates a dozen manufacturing plant s in China, the Czech Republic, India, Russia, South Korea, Turkey and the US. Hyundai also owns a 34% stake in Kia Motors.Some key benefits of the Hyundai brand are: * Modern, premium, affordable mentality towards car design * Hyundai backs their product with an excellent warranty and service. * Heavy investment in design and promotion * Focus more on explaining a car's history, its value and its strengths, rather than just talking about price Hyundai’s brand reputation hasn’t always been the greatest and has only increased within the last 5 years or so as Hyundai made the switch from making cheap, economical cars to affordable, modern, premium and reliable cars that are fun to drive, luxurious and backed by an excellent warranty.Some issues Hyundai faces are: * Poor reputation in regards to reliability * Poor reputation in regards to build quality * Not known for making sporty or luxurious cars * Overcoming well-established brands such as Toyota, Honda and VW c. Bran d Proposition – Hyundai’s brand slogan â€Å"NEW THINKING. NEW POSSIBILITIES. † reflects the will of Hyundai Motor Company to create new possibilities to benefit the world and its people by encouraging and developing new thinking.All members of Hyundai have the brand slogan deeply engraved in their hearts as they move forward in their effort to provide new values and experiences desired by today’s customers through innovative ways that are unique to the brand, driven by new thinking about customers and cars. d. Brand Position – Hyundai’s brand direction â€Å"Modern premium† does not just mean luxury cars; it is about providing new values and experiences to yet more customers of today through ways that are unique to the brand and which go beyond what customers expect by combining exceptional performance with reasonable price and emotional elegance.Being simple but perfect, staying faithful to the basics yet different from the others, and not forgetting the big picture while paying attention to the smallest details; developing cars that cater to the diverse lifestyles of customers and propose an advanced automobile life and culture; enriching the lives of customers who have an active and positive approach to life—that is the Modern premium of Hyundai Motor Company. e. Positioning Statement – For the Earth-conscious, high-mileage driver who wishes to be whisked away in a safe, fun and environmentally responsible way.Hyundai Fuel-Cell powered cars will get you where you need to go, regardless of the distance, with very little impact on the environment and your wallet, giving you the confidence of knowing you’re the smartest person on the road. f. Competitor’s Profiles Honda – YTD for September 2012, Honda owned 9. 0% of the Canadian market. Some Honda brand strengths include: * Well known for reliability * Consumers will buy a Honda regardless of their level of luxury, sportiness, features or price. * Loyal customer base/repeat buyers * Consumers will rarely shop around if their first choice is a HondaBrand weaknesses include: * Have rested on their laurels * Very few innovative or exciting products * Redesigned the 2012 Civic after 1 model year because of lack of innovation * Rely on brand loyalty to drive sales Honda utilizes the same media as most other prominent brands in the industry. They have a strong presence both online (through social media websites as well as their own homepage) and in print (many ads in newspapers and magazines). They also invest heavily in televised ads and billboards. Honda has positioned themselves as â€Å"a company built on dreams.And these dreams inspire us to create innovative products that enhance human mobility and benefit society. † Toyota – YTD for September 2012, Toyota owns 11. 8% of the Canadian market. Toyota brand strengths – * Synonymous for reliable cars * diversified product range * highly targeted marketing and a commitment to lean manufacturing and quality * Loyal customer base * Customers will rarely shop around before purchasing a Toyota Weaknesses – * Massive recalls and lawsuits over the past few years * Boring styling and performance Recognized mainly for economy and not performance * Slightly older buyer demographic Toyota utilizes all of the traditional methods of media, much like Honda does. * Print * Social Media Networks * TV and Billboards * Own homepage g. Target Market Profile – * Similar to early adopters of hybrids, early adopters of EV’s will be young, very high income individuals — adoption is already being popularized by high-profile celebrities * Average incomes are expected to be in excess of $200K HHI who already own one or more vehicles Early Majority Profile * View the product as â€Å"Green and lean† * Top purchaser influence is: Reliability * Household income: $114K * Gender: 67% Male * Location: Urban and Suburban * Ages 40-45 Non-adopter profile * View the product as â€Å"Expensive† * Household Income $54K * Gender: 49% Male * Location: Suburban and rural Barriers to Adoption Include – * Price and cost of ownership * Familiarity with â€Å"clean† technologies * Size of the vehicle(too small) * Fuel cell infrastructure * Brand II. IMC Objective This IMC campaign must address the issue of the barriers to adoption that fuel-cell powered automobiles face.The IMC campaign must prove to the consumer that the high initial cost, range of the vehicle, fuel-cell filling station infrastructure and most importantly, that green technologies much different than the standard gasoline engine should not be a barrier to adoption as the cost of ownership is relatively low, the environment benefits greatly from zero-emissions vehicles, fuel-cell powered vehicles do not limit range like electric vehicles do and that a fuel-cell powered vehicle is a viable, and just as convenient al ternative to the gasoline-powered car. ——————————————- [ 1 ]. www. goodcarbadcar. net/2012/10/september-2012-canada-auto-sales-brand-rankings2. html [ 2 ]. http://www. goodcarbadcar. net/2012/10/september-2012-ytd-canada-auto-sales-rankings. html#more [ 3 ]. http://www. northumberlandview. ca/index. php? module=news&type=user&func=display&sid=17939 [ 4 ]. http://news. ontario. ca/mto/en/2010/06/ontario-paves-the-way-for-electric-vehicles. html [ 5 ]. ttp://worldwide. hyundai. com/WW/Corporate/CorporateInformation/BrandSlogan/index. html [ 6 ]. http://worldwide. hyundai. com/WW/Corporate/CorporateInformation/BrandSlogan/index. html [ 7 ]. http://www. goodcarbadcar. net/2012/10/september-2012-canada-auto-sales-brand-rankings2. html [ 8 ]. http://corporate. honda. com/about/ [ 9 ]. http://www. deloitte. com. br/publicacoes/2007/MFG. Gaining_Traction_customer_view_of_electric_vehicle_mass_a doption. pdf

Thursday, August 29, 2019

Paradise Lost Essay

Paradise Lost is divided into twelve books. In Book I Milton explains the theme of his work, man’s disobedience to God, his expulsion from Heaven and the story of the rebel angels sent to Hell. In Book II the angels meet in council to decide what they will do. In Book III God makes a speech on man’s freedom to choose between good and evil. In Book IV Satan observes the happiness of Adam and Eve in the Garden of Eden. In Book V God sends Raphael to warn Adam. In Book VI the war in Heaven in described. Book VII and VIII tell the story of the creation of the Earth and the universe. In Book IX Satan persuades Adam and Eve to taste the forbidden fruit. In Book X God’s Son pronounces the sentence of expulsion. In the last two books Adam and Eve abandon paradise. Paradise Lost is an epic poem. Milton chose the epic genre because of the greatness of the subject. He follows the typical epic conventions in his masterpiece, such as the opening with the statement of the theme. This epic takes place in the universe, in Heaven, Hell and Eden. The main characters, God, Satan, Christ, Man and the fallen angels remind the warriors and heroes of the classical epic, even though they are more philosophical heroes. Milton knew the Copernican cosmology but he based the universe of Paradise Lost on the traditional Ptolemaic system because he thought that this conception was fixed in the minds of the people and it had limits within which it was easier for him to work. In Milton’s Heaven God created the Earth, fixed in the centre of the Universe, and he put his life and thoughts in the natural world so that the external reality reflects the divine soul. In Paradise Lost evil and good are opposed. However, Satan has many characteristics of the epic hero, courage, leadership, initiative. Milton has sympathy for his Satan because he himself was a rebel against the political and religious authority. Both Milton and Dante said that their works had divine inspiration but they had contrasting ideas about Satan’s physical appearance and meaning. Dante’s Satan becomes a means of punishment and it resembles a mythic monster, with wings and three heads. Milton’s Satan is a symbol of God’s justice and it takes several forms, first it is a fallen angel, then it has an inhuman form and finally he becomes a snake. The style of the poem is elevated, the poet used a new kind of magnificent blank-verse.

Wednesday, August 28, 2019

Learning to read and write Essay Example | Topics and Well Written Essays - 1000 words

Learning to read and write - Essay Example Fredrick Douglass, in his article â€Å"Learning to Read and write,† gives an account of slavery and how depriving it was to him as well as other slaves under the abolition movement. He takes us through his seven year life under his master and mistress in a captivating manner that clearly brings out the situation many slaves had to encounter. The master was consistently against his slave’s learning while the mistress initially supported and even thought him how to write but later succumbed to the husband’s directives not to have Fredrick literate. But out of a great personal resolve and determination he was able to succeed in learning how to read and write. The mistress was such a kind woman and initially treated Fredrick just the way she supposed a human being should be treated by another. She even could teach him how to read and write but with time gave in to the husband’s directions not to do that. She not only stopped instructing him but also discouraged anyone from instructing him. But Fredrick had been given the inch when the mistress taught him the alphabet and therefore nothing could stop him from taking the ell. He therefore used all strategies available to acquire literacy and understand what certain words like slavery, abolition and others meant. Generally slaves were seen as lesser humans with limited capability in academics and other fields of life. They did not have any constitutional rights hence most of them were even not allowed to marry, those who were married were separated from their families and their children could be taken and sold off any time without their permission. They were used in lotteries, were not allowed to testify in courts and were not entitled to education. Their movements as well as interactions were closely monitored and they had to carry around the pass every time. (Brumley, 1999). The slaves therefore employed different strategies sometimes to reverse their situations. The slave in

Anton Pavlovich Chekhov Research Paper Example | Topics and Well Written Essays - 1250 words

Anton Pavlovich Chekhov - Research Paper Example Born in a provincial and remote city on the shores of the Sea of Azov, Chekhov experienced philistine poverty under the supervision of a suppressed mother and tyrant and religious zealot father who was a grocer and son of a serf.Chekhov’s grandfather bought freedom for himself and his three sons in 1841 and taught himself reading and writing. Chekhov’s early life is shadowed by his father’s suppression and strict behavior. Frenzied father forced his sons to sing in evening church choirs. He not only tormented Chekhov and his brothers with late-night rehearsals but also asked them to play their roles as â€Å"master’s eyes and ears† in his shop. Antonsha was soon discovered to be more reliable than his brothers; therefore, father relied on him frequently. However, this compulsion proved to be productive for Chekhov and the world in the form of stories like; â€Å"The Sacred Night,† â€Å"The Sacred Mountains,† â€Å"The Student,† â€Å"Perhaps,† â€Å"and The Archbishop.†Chekhov would have never aware of the religious services and people with simple souls without these exercises. (Bunin 4). Chekhov's Education and Profession Chekhov attended a Greek school in Taganrog (1867-68 and then Taganrog grammar school (1868-79).Hid father’s bankruptcy forced the family to migrate to Moscow. Tutoring made Chekhov independent enough to support himself and spend some time alone in his hometown. In 1879, Chekhov got enrolled in Moscow University Medical School. He supported himself and his family by publishing hundreds of comic stories. Subjects of Chekhov’s stories were nonsensical social situations, marital issues, absurd encounters between husbands, wives, lovers, and mistresses, and whimsical young women. Though Chekhov had much knowledge of these issues, he was shy even after his marriage (Liukkonen). Chekhov worked as a physician in most of his life as adult. He gave credit to his medic al profession for his power of observation and sense of direction in literary work (Loehlin viii).He often stated that, â€Å"Medicine is my lawful wife, and literature is my mistress† (qtd. in Loehlin viii). Writing and Achievements Nenunzhaya pobeda (1882) was Chekhov’s first novel, written in Hungarian context, this novel parodied famous Hungarian writer Mor Jokai’s novels. Jokai was also ridiculed for his ideological optimism during that time period. Chekhov established himself as a famous writer by 1886. The Shooting Party, Chekhov’s second full-length novel was translated into English in 1926.Its characters and atmosphere was also used by Agatha Christie’s mystery novel, The Murder of Roger Ackroyd in 1926(Liukkonen). Chekhov’s first story book was a success which transformed him into a full-time writer. His denial to join ranks of social critics annoyed liberal and radical intelligentsia. Their wrath appeared in the form of criticizin g Chekhov for dealing ad raising social and moral issues and avoiding answers. However, Chekhov won the support of

Tuesday, August 27, 2019

Does historical and cultural heritage hamper or stimulate foreign real Essay

Does historical and cultural heritage hamper or stimulate foreign real estate investment in historical cities (St Petersburg) - Essay Example op reining horse and across the bridge one can also see the impearl Mariinsky palace made remarkably visible by the gallant anchor and grappling hook themed flag of St Petersburg flying high. The ever spring green Alexander garden which extends for a few miles with the broad river Neva flowing past. These and many other structures and features that characterize the St Petersburg skyline have made it to be one of the top historical tourism cities in Europe (Trachtenberg and Hyman, 1986). There have been numerous tussles between real estate developers and preservationists in this town. This is because a huge part of urban Russia is occupied by concrete apartments designed in the postmodern period with the intention of housing as many tenants as possible to handle the ever-expanding population. In the backdrop of all this, St Petersburg emerges as a jewel set idyllically by the river Neva and sharply contrasting with the nation’s postmodern infrastructure. In the course of them S oviet period it was been relegated to a run-down and neglected town, but it later reclaimed its glory and with this resurrection have come skyrocketing property values. This has resulted to questions of whether the city can survive with its historical significance intact in view of its incredible real estate potential. While UNESCO protects most of the structures for their historical relevance, there have been disputes on whether the real estate in St Petersburg is more beneficial acting as cultural edifice or being developed for the sake of economic growth. The opinion of the Russian government on this matter is not difficult to guess; in 2013, it prepared a draft document for UNESCO that appeared to be the start of a process to remove numerous protected historical sites from the organizations’ protected list of properties. According to Russians opposed to the move, it is a question of reserving the cultural integrity of the city and profiting from the high property values that would

Monday, August 26, 2019

Statutory Interpretation and the Human Rights Act of 1998 Essay

Statutory Interpretation and the Human Rights Act of 1998 - Essay Example According the research findings Mr. Mendoza’s application for statutory tenancy on grounds of discriminatory violation of his Convention Rights under Article 14 and Article 8 on the basis of his sexual orientation, had been allowed in the lower Courts. The European Convention guarantees fundamental human rights, including the right to privacy and freedom of sexual orientation. Any interference by public authorities therefore constitutes a violation of fundamental human rights and the right to privacy. Mr. Mendoza contended that the House of Lords should exercise its interpretative power to read and give effect to Para on statutory rights to make it compatible with Convention rights that guarantee fundamental human rights, including succession rights, which prohibit discrimination on grounds of sexual orientation. This essay declares that the Court upheld the decision on Mr. Mendoza’s statutory rights of tenancy, since Article 14 of the European Convention on Human Rights mandates that â€Å"the enjoyment of the rights and freedoms† in the Convention be secured â€Å"without discrimination.† In the case of Karner v Austria, the European Court held that there had been a violation of Article 14 of the Convention taken with Article 8, since the appellant was discriminated on a tenancy issue on the basis of his sexual orientation. Therefore, applying Parliament legislation under the Rent Act of 1977, discriminatory aspects prohibited under Convention rights were applicable to Mendoza.

Sunday, August 25, 2019

The nature of perfectly competitive markets Essay

The nature of perfectly competitive markets - Essay Example The paper is objective to present two ways of observing at what the perfect competition mean in terms of neoclassical economics. The very first focus should be on the lack of ability of one agent for affecting prices. This matter can be justified by the fact that one consumer or firm is very small if compared with the entire market and the presence or absence of the firm or consumer does not affect the equilibrium price. The hypothesis of impact of each and every agent on the equilibrium price was done by Aumann in the year of 1964. There are some differences between the approach of Aumann and the normal textbooks (Robert, 1966). The firms or consumers have their own power to decide the prices of their own products but the thing is it does not affect the market. Secondly, the consumers and agents consider the price as their parameters. The results of both the approaches are almost same. Another approach of perfect competition can be achieved in terms of the consumers taking advantage by eliminating the some exchange opportunities that are profitable. The competition in market increases when the arbitrage takes place in market faster. The average market price can be adjusted if the market is more competitive. It also depends on the supply and demand of the products. According to this approach, the meaning of perfect competition is the adjustments occur instantly in perfect ways. Firstly, the notion of the perfect competition needs to be understood. The following properties must be ensured so that a "perfect competition" is possible: many buyers and sellers homogeneous goods full market transparency prevails all market participants are "price taker" market participants have no influence on the price of the goods No transaction costs No taxes free market access In a perfect market, supply equals demand. Thus, there is only one price where the market is cleared. This is called the equilibrium price. On the basis of market transparency, it is not possible to achieve excess profits. This means no profits on the pay related factors (rent, interest, and wages) beyond production. The provider cannot rate any higher price because they would find no buyers and the buyer can not demand a lower price because no company in the market would offer a lower rate. A market consists of potential buyers, who determine what amount of a commodity should be brought into the market (O'Sullivan, 2003). The demand from retailers determines the supply of goods. The market is not tied to a particular place but can be seen as abstract. There are different considerations which are provided in a perfect competition market. The problem with perfect competition markets is that after the companies have entered or left the market, equilibrium sets in. This does not let profits to increase and all the companies involved are stuck in a situation with no improvement. A demand curve can be used to explain this. The following demand curve D shows the relationship between commodi ty prices and the quantity demanded by the consumer. The demand is determined by the price of the goods. Price is on the Y axis and quantity is on the x axis. Law of demand curve states that other things being equal; the demand decreases if the price rises and if the price drops. Thus, the negative demand depends on price. Demand curve refers to a single company, and measures the correlation between output and market price. The demand curve is not only dependent on the

Saturday, August 24, 2019

COMMENT PAPER Essay Example | Topics and Well Written Essays - 750 words

COMMENT PAPER - Essay Example (Article 5. 1.a drafted by Dr. F. V. Garcà ­a Amador, Special Rapporteur, and submitted to the International Law Commission. International Responsibility: Second Report 1957 cited in Friedmann, et.al., 760) It goes to say that Allan, even if he is not a national, will be allowed certain basic rights such as making contracts and closing deals. Since it was also mentioned that the State of Lunacy will not tolerate any discrimination in contracting, it is the State’s obligation to render necessary actions to Charlie Company, which they did—revoking Charlie Company’s charter. Therefore, if the Unites States would charge the State of Lunacy in behalf of Allan, the State would not be held liable for Charlie Company’s discrimination because they had already applied the necessary action. b. According to Lunatic law any person seeking redress against a business incorporated under state law is allowed to sue in their courts. Not giving Allan the right to sue because of the sole reason that he is an â€Å"alien† is a violation of the State of Lunacy’s Law. The Clerk would have to face the consequences of his/her judgments against Allan as an answer to the violation. When states fail to adhere to the international standard, a denial of justice may occur. Denial of justice holds states responsible under international law for wrongful administration of justice regarding foreigners committed by the executive, legislative or judicial organs of the State. It includes improper administration of civil and criminal justice with regard to foreign persons, such as denial of access to courts, inadequate procedures, and unjust decisions. (Paulsson, Jan, Denial of Justice in International Law) If not given proper action by the State of Lunacy, the United States could i nclude this situation to their charges against the State in which they will be held liable. c. The State of Lunacy will be not held liable even though Allan is an alien and is injured during

Friday, August 23, 2019

Academic Monitoring Essay Example | Topics and Well Written Essays - 1000 words

Academic Monitoring - Essay Example There are certain essentials which must be present for the questioning to be effective. Firstly, the questions must be appropriate to the instructional and developmental level of the students. Secondly, the teacher needs to keep a keen eye on those students that are voluntarily participating in discussion and those who are not. The non volunteers need to be encouraged to participate. Thirdly, the teacher may ask students to give feedback to each other based on the submitted responses to certain questions, that is, they can be encouraged to comment or add to the responses of their classmates. The second strategy, monitoring seatwork is a systematic measure for interacting with students while they work. Instead of waiting for the student to ask for help the teacher can instantly intercept wrong concepts and understanding. In order to immediately correct misconceptions the teacher checks and discusses the work of each student individually. Monitoring seatwork aids in the elimination of disruptive behavior and improves on-task behavior of students. The third effective strategy involves ensuring that homework assignments are in sync with the content covered in the classroom. These assignments should be given frequently to extend the practice time that students have with the material. They should be suited to the developmental and ability level of the students. They should be clearly understood and should be quickly checked and returned to students with comments given to reinforce positive behavior. A fourth strategy includes having daily, weekly, monthly and term reviews as well as classroom testing. These tests must be administered regularly and frequently. They must be aligned to the instruction. They should be collected, graded, documented and immediately returned to students so that errors can be corrected before they become deep-seated. The first juncture in establishing an effective monitoring system

Thursday, August 22, 2019

Theories of Mass Media and Its Social Impacts Essay Example for Free

Theories of Mass Media and Its Social Impacts Essay Since the invention of technologies such as the telegraph, radio and eventually television, which enabled communications â€Å"produced at a single source [to be] transmitted to an infinitely large audience† (Fearing, F. 1954), the social impacts of communications via mass media have been a subject of intense research by political and social scientists. This literature review intends to examine the major theories and perspectives on mass media with regard to its impact on society, which existed throughout the 1950’s and 70’s. Special attention will be given to the subjects of human social development, distribution of power, and human knowledge. Human social development has, without doubt, transformed since the introduction of mass media technologies. Before mass transmission capabilities were available, humans were very rarely exposed to anything other than the culture of their immediate surroundings. A widely supported view held, as to how communities learn a culture, is through a process of symbolic interaction (Blumer, H. 1969) where humans learn via the sharing of symbols. Fearing (1954) refers to this process as the sharing of â€Å"daydreams†, which are the literary or dramatic manifestations of a community’s symbols and culture. Every ‘daydream’ contains the symbols of the culture that produced it, whether it be a play or story. By passing on and sharing these ‘daydreams’, a community are able to share in the same culture, as they create familiar frameworks with which to reference their social lives. As Gerbner (1967) points out, before mass media, human interaction was almost entirely interpersonal, in relative isolation, meaning human experience and knowledge was limited to their immediate community environment, with information being passed down from person to person. The influence of the mass media begins to become apparent as Fearing (1952) points out the fact that humans, thanks to mass media, were for the first time able to broaden their sources of symbolic interaction, learning the values and symbols of a culture outside of their own localised  sphere of experience. Gerbner later echoed this sentiment when stating that since the industrial revolution, an â€Å"almost simultaneous introduction of information, ideas, images and products† on a global level has taken place. He goes on to claim that this point signalled the turning point with regard to how people became â€Å"humanised†. No longer was acculturation limited geographically. Quite quickly, due to the wide transmission of symbols, beliefs and attitudes, it became possible for regional and even national populations to share the same mental frameworks for perceiving the world around them. A feat that would have been impossible without the means of mass, simultaneous comm unication, made feasible by the mass media. Another contested subject with regards to the potential power of mass media was that that its capabilities place â€Å"a powerful instrument in the hands of a small number of persons† (Fearing, 1954). The ability now existed for a small influential group to communicate their message to a vast number of receivers. With this came the ability to set public agenda, influence social policy and affect the thoughts and behaviours of receivers (Gerbner 1967). There are many incidences for example where radio broadcasts have had a huge influence on the behaviour of its listeners, as documented extensively by Fearing (1954), who incidentally goes on to play down these successes as isolated events in which many variables came together with unintentional effectiveness. Unsurprisingly, governments developed great interest in the potential of the mass media and political scientists were responsible for many advances in the field. The propaganda campaigns propagated during the First, and especially Second World War, are undeniable examples of mass media’s potential for control over a population. However, the idea that media had a one way ‘hypodermic needle’ effect on receivers was beginning to fall from popular view, with a two way communication process being adopted instead. This two way process took into account that an audience doesn’t necessarily simply absorb the information around them, but perceive and interpret it, ultimately selecting whether it’s information they want to absorb. In contrast to the increased power of government, insights provided by Gerbner (1967) document the increased power of ordinary citizens to effectively take part in democracy, by offering and promoting alternatives to policies. The ability to publish and distribute private knowledge he says  transforms the private perspectives of few into broad public perspectives – thus creating a public, which in itself is a form of potential power if communication is maintained. We can conclude from this that mass media has enabled those who would not normally be able to do so, to voice their opinions and perspectives with a broader audience. Those who wield these mass communication capabilities certainly have far more potential power than before. With increased broadcasting of information, the manner and rate at which humans learn has also been irreversibly influenced. The relatively vast amounts of knowledge available via print and broadcast media during this time meant people were exposed to a greater amount of information. People were no longer restricted to the information and experiences of their own communities, but had access to foreign experiences and knowledge on a national and international level. In a general sense this has arguably meant that people, as a result, have become relatively more intelligent. As with most opportunities however, some people are able to take more advantage of them than others, whether it be because they are better equipped or more motivated to do so. P. J. Tichenor, G.A. Donohue and C.N. Olien’s (1970) research documented what they referred to as a â€Å"widening knowledge gap†, especially with regards to more â€Å"general appeal† knowledge areas such as public affai rs and science. Those of a higher socioeconomic status acquire information faster than lower class segments, leading to ever increasing gaps between progressive and â€Å"stagnant† groups (Tichenor, P.J, et al. 1970). Robinson (as cited in Tichenor, P.J. et al 1970) contends that those less informed will â€Å"remain so unless acted upon by an outside force, while those already informed stay in motion†. This leads to the conclusion that while the proliferation of information increases, the knowledge gap can and will only increase, unless measures are taken to effectively inform those of lower socioeconomic classes. A solution to this knowledge gap is offered by Tichenor et al. (1970) when they profess that a â€Å"knowledge gap implies a communication gap.† With the introduction of more easily accessible outlets of information this knowledge gap could potentially be decreased, despite the ever-increasing amounts of information available. Their article ends on an optimistic note as to the role television could play in the future, a  medium much easily accessible to lower socioeconomic classes. Reference List Blumer, Herbert (1969). Symbolic Interactionism: Perspective and Method. Berkeley: University of California Press. Fearing F. (1954). Social impact of the mass media of communications, in, N.B. Henry (Ed.) Mass media and education: The fifty-third yearbook of the national society for the study of education part II, Chicago, University of Chicago. Gerbner, G. (1967). Mass media and human communication theory, in, F.E. X. Dance (Ed.) Human communication theory: Original essays, (pp.40-60.) New York, Holt, Rinehart, Winston. Tichenor, P.J., Donohue, G.A. Olien, C.N. (1970). Mass media flow and differential growth in knowledge, Public Opinion Quarterly, 34, 159-170.

Wednesday, August 21, 2019

Financial Independence and the Single Woman Essay Example for Free

Financial Independence and the Single Woman Essay Most, if not all of Jane Austen’s renowned novels feature the trials and tribulations of single women—from Pride and Prejudice, to Sense and Sensibility, to Emma. The focus is specifically on the concept of marriage as the only viable choice for a single woman, if she wished to live substantially in her later years. However, while the subject of being wed to a suitable gentleman is present in Emma, the main character possesses a quality different from those in the other stories mentioned—Emma Woodhouse is financially stable. Therefore, this discussion of Austen’s Emma will be done through a different angle, which runs contrary to the author’s quote above. Matrimony in Emma is thoroughly explored and its nature as a solution for an unmarried woman’s future, yet it apparently does not apply to the story’s protagonist. Further arguments will expose the same logic as it is perceived today—after all, Austen wrote most of her work during the mid- to late 19th century. II. Emma Woodhouse and Matchmaking The penchant of the title character for matching her women friends with possible grooms composes the running narrative of the story. Because of a previous success, Emma decides to do the same for her friend Harriet Smith, an innocent but socially-inept young woman. Emma pours all of her efforts in setting Harriet up with the pompous Mr. Elton, and cut all possibilities of Harriet’s consideration of a marriage proposal she had received from Mr. Martin, a young farmer. Eventually, after many plot twists and turns and appearances of more characters, her plans backfire as the arrogant Elton reveals his true desire for Emma, and not for Harriet. Harriet happily ends up with Martin, and Emma admits to her own affections for her longtime friend Mr. Knightley. It is obvious that Emma’s obsession with matchmaking does not cover merely attraction; she chose Mr. Elton for Harriet mainly because of his financial stability, being the local vicar. Compared to the income of a regular farmer, a vicar would ensure a better life for Harriet. Clearly, the era’s societal norms and economic potential for women are at play, for woman were generally not entitled to many occupational choices; the most common would be as a family teacher or governess, both which are not financially rewarding. But the biggest bane of women then was the possibility of being single until they reach an age unacceptable for marriage—which would be around the mid-20s. For Emma, born into a wealthy family and allowed to make her own decisions, the best way to make sure her less fortunate women friends would have good lives ahead would be to marry a rich man. This is not explicitly implied in the story, as Emma’s designs were disguised as just a bored, rich girl’s newest hobby. However, in analyzing her own conditions as well as her initial rejection of the poor Mr. Martin for Harriet, it is obvious that she subscribes to the concept of marriage being the only solution for women other than herself.

What is a Good Life?

What is a Good Life? Human beings have an inherent drive and passion for finding absolution in what they deem the good life. For decades however, philosophers have struggled to argue a solid case for such. It can be suggested that many facets work in unison to allow a good life, but what is it that could give a unified answer to this great philosophical question? This essay will attempt to clarify such uncertainty, considering two perspectives of the good life. Firstly, are there any characteristics, needs, abilities and sorted other elements that are shared by all humans? Secondly, if there are elements which exist, then what do these require the good life to include, or what must the good life be like, given the properties we all share? To attain the answers to these questions, reference will be given to Natural Law, Virtue Theory, Eudaemonia and happiness. We are all striving towards it, the good life, happiness, well-being, a well-lived life, fulfilment. But what is it that makes us feel good? Though difficult to give a comprehensible definition, goodness is generally referred to as specific traits or properties of a real object or set of objects. More so, the concept of goodness can be divided into other, subsidiary concepts (Goodness and Value Theory, 2004). That is, a series of events which lead to innate goodness. In essence, both are deemed circular and leave no meaningful definition for discussion. The good life is a condition in which a person will be the most happy. Such happiness can be researched through a deductive perspective, which has been done by many philosophers over time (Wernqvist, 2007). Two such philosophers, Plato and Aristotle, deem the good life as the state in which a person exhibits total virtue. Throughout this essay, their works will be compared and contrasted to give clear argument to the meaning a good life for humans. Humans, their characteristics and their activities can be evaluated in relation to the parts they play in human life (Meyers-Levy, 2009). Alternatively saying, that every facet of human life can contribute to what is deemed good. Humans, being a subject of creation, ultimately entail goodness. Such a life is one in which actions someone does and feels leads to what is otherwise known as happiness. Such happiness is neither just an experience; nor is it found as a result of following moral laws. Rather, happiness is an activity. It is the events of the individual which lead to the life of good. INSERT REFERENCE Over time, philosophers such as Plato and Aristotle have tried to highlight the concept of goodness by defending various accounts. Such accounts do not require that a person who is well off merely experience any feelings of happiness or satisfaction. What they do require is that their desires are consciously fulfilled, which does not come down to the same thing (Angner, 2009). Plato argues that a person will exhibit total virtue when their desires have been quenched (Cooper and Hutchison, 1997), while Aristotle believes the perfect state of the individual will bring their ultimate virtue (Solomon, 1984). Cooper and Hutchinson (1997) write that Platos argument for the good life is stemmed from love because through this, individuals can rid themselves of desires. That is, love is actually the quest for that good. Aristotle argues that the good life is different for each individual because it comes from living ones life according to ones virtues, and each person has different virtues (Solomon, 1984). Through analysis of their works, both Plato and Aristotle agree the good life is a demonstration of perfect virtue. However, they disagree on the particular definition of virtue and its relationship to happiness. Therefore, both disagree on the ways of attaining such happiness. Plato sees the good life as being attained through the perfect love and lack of desire (Cooper and Hutchinson, 1997), while Aristotle believes that the good life is achieved through a perfect state which causes its citizens to act upon their virtues (Solomon, 1984). The original Platonic view of the world, (cited Cooper and Hutchinson, 1997) is that it is a two tiered place, the upper tier being the world of perfection, the lower tier being the world of reality, and love falling somewhere in between. The theory is that the plane of reality is an imperfect copy of the plane of perfection. According to the Platonic view, humans only see glimpses of the good while existing in the plane of reality. Plato believes that love is the midpoint between reality and perfection, mortality and immortality. Love does not fall into the sphere of immortals and perfection because how could love be a god if he is not in possession of beautiful and good things? Since Love is the love of beautiful things, Love must have desires and therefore cannot be a god Yet Love is greater than mortals because love has and always will exist. Thus Love is a great spirit, a halfway point between the realms of existence (Cooper and Hutchinson, 1997). To Plato, the good life is one in which a person is exhibits perfect virtue and is therefore closer to the higher realm of existence. Virtue is comes from the absence of desires, so true happiness means being satisfied to the point one does not have desires. This satisfaction and happiness occur when a person arrives at the mystical understanding of the world (Cooper and Hutchinson, 1997). According to Plato, through Diotima and Socrates dialogue, love is the medium in which humans will attain the knowledge of the good, and come upon this understanding. It is human nature to seek out happiness, and ownership of good things makes one happy. (Cooper and Hutchinson, 1997). Solomon (1984) illustrates that in order to show that happiness lies in virtue, Aristotle first splits forms of the good into three parts, external goods, goods of the body, and goods of the soul. He goes on to say that goods of the soul (virtues) are the most important because with them, a person can gain material wealth and pleasure. Aristotle defines happiness and therefore the good life as the realisation and perfect exercise of excellence. This is subsequently referred to as Eudaemonia. Aristotles view of such is typically regarded as an objective account of well-being. Nonetheless, subjective stances do evidently play some role in well-being even according to Aristotle (Phillips, 2005). This is where the existence of goodness becomes a subjective account, because it describes a persons well-being as a function of his or her feelings, experiences, desires, and so on, thus making it a conscious attribute of human life. From a basic Greek translation, Eudaemonia is that of supreme life with fulfilment and happiness, identified after ones death. Such life is built of variable actions of excellence which are both intrinsic and extrinsic in their nature (Urmson, 1988). Recognised, are three types of excellence by Aristotle. They are Bodily excellence, the excellence of Character and the excellence of Intelligence. Two of these excellences (character and intellect) fall within the realm of human choice and rationalism. Bodily excellence is paramount to Eudaemonia, however exhibits little reference in this context (Urmson, 1988). There are also a number of influences that determine such excellence, often as a result of our actions through life. Controlled intrinsic actions are separated into two forms: the Moral and the Intellectual. The Moral includes ones courage, piety, fairness and equality. The other form is that of Intellectual influences which include ones fine mind, wisdom and intuition. In contrast are ones extrinsic actions, which are often uncontrollable. They include our appearance, friends in high places (social connections) and wealth (Urmson, 1988). Our actions per sae can be defined as either a chain; those actions that help you attain an end which in turn leads to a further end or as a direct result; which is an action that helps you attain an end in itself. For supreme fulfilment, these actions work in unison with one another (Urmson, 1988). It is through such, as detailed by Urmson (1988) that happiness and fulfilment is an objective good, as opposed to a subjective state of living. This is not conditional, but absolute (Solomon, 1984). This in layman terms means ultimate happiness occurs when a persons actions are all virtuous and have goals which are virtuous. It also implies that in order to live the good life, there must be no action which is unnecessary, but for the sake of virtue. This implies that the good life must be a universal goal because unless all people are perfectly virtuous, action must be taken to maintain virtue for those who are not virtuous. Take for example, ones ambition to become a Primary School Principal. It is through relevant studies and experience that the individual is able to achieve such a goal. Though there may be monetary benefits for holding such position, it is not something that would drive the individual to achieve. Their character and intelligence hold the greatest motivation for fulfilment. Such an example utilises Aristotles Eudaemonic theory of unison between chained and direct actions as well as the forms of excellence, as previously adhered to. Basing such a goal on pleasurable or political instincts, such as salary or power, is not a means by which Aristotle would deem leading a fulfilled Eudaemonic life. There are however three things that make men good and excellent; these are nature, habit and reason (Solomon, 1984). The road to happiness is through formation of habit and reason which create virtuous action, in addition to possessing a nature that compliments them. Both Plato and Aristotle see happiness as being virtuous, but disagree on the nature of virtue, causing their ideas to follow varied paths. They do however meet at key points. Plato sees happiness as being close to godliness. By living virtuously one can obtain this godliness (Cooper and Hutchinson, 1997). To Aristotle, happiness is the result of being virtuous because by being so, one obtains pleasure and external wealth (Solomon, 1984). Plato and Aristotle further agree that education is the means to attain virtue, but they disagree on how a person should be educated because of their differing views on the cause of virtue. According to Aristotle (Solomon, 1984), virtue comes from the agreement of the nature, habits and reason in a humans conscience. Therefore, Aristotle states that education should begin from birth and it should involve changing the childs habits and forming his reason so that their nature, habits and reason will align. Plato believes that virtue stems from an understanding of true Beauty, which exists only in the higher plane of the world. Thus Plato believes that education of a human being should begin when the child is ready to love another. Platos ideal education involves bringing a person along by having him experience different forms of love between people, so that he may begin to love physical beauty and then beauty of the mind. Through this he sees the beauty in all things and eventually, with guidance understands all forms of beauty, ultimately understanding formless beauty (Cooper and Hutchinson, 1997). Another key agreement between Plato and Aristotle is the importance of interpersonal relationships in the quest for the good life. Both agree that interpersonal relationships account for the education of individuals, but Aristotle goes further because he sees attaining the good life as societal. He recognizes that if one is forced to take action because of others misdeeds, he cannot lead the good life, and therefore each person must be equal to the next so that nobody has to act on account of another (Cooper and Hutchinson, 1997). Human happiness is the foremost concern for both Plato and Aristotle in their works of literature. Since happiness is almost a universal emotion their conclusions on the cause of happiness is similar. But, Plato and Aristotle are completely different individuals, so the causes of their happiness are, at the same time, completely different. In personal evaluation, I am inclined to side with Aristotles point of view for ultimate fulfilment. It is through the result of actions of excellence (both direct and chained) that we can demonstrate our way of life. This in turn fortifies perceptions of us having led a fulfilled and happy life. If one opted to follow fulfilment through mere pleasurable circumstances, i.e. because the money is good, then in Aristotles eyes, their life would be one deemed lavish, suitable for beasts pulled by desire and compulsion. Happiness cannot be placed on material things. It is a matter of setting a goal and looking past the superficial things that stand in the way. It is therefore relevant to say that to lead a flourishing life, one needs to take ownership of the actions which lead to their lifelong goal. Actions often speak louder than words do. We as humans should do whatever it takes to produce the most fulfilment for ourselves. There is a distinct difference between feeling happy and merely being happy.

Tuesday, August 20, 2019

Media Images Essay -- Body Image, Beauty

I confess that I am one of those women who look forward to monthly magazines telling me the new month’s facade of â€Å"beauty†. Starting at a very young age, women are convinced that in order to be happy, accepted, respected, successful, sexy or beautiful; they must fit a particular mold that society has formed for them. The media defines the accepted and changing representation of beautiful and perfect that women feel they must achieve. As mentioned in the video Killing Us Softly 4, we’re told that women are acceptable only if they’re young, thin, white, perfectly groomed and polished, plucked and shaved. Any deviation from this is not ideal or acceptable. This standard of attractiveness for women that is portrayed in the media is not only unrealistic, but unattainable by most women. This body type that we see in advertisements as acceptable or desirable is one that fewer than 5% of American women have, According to Juan-Hwan & Lennon (2007). Women enga ge in a comparison between their bodies and these unrealistic images on beauty. There are so many images of â€Å"beautiful† women, which people try very hard to mimic. These images are everywhere and hard to ignore as the average woman sees 400 to 600 advertisements per day. According to Millard (2009), â€Å"advertising heavily influences beauty standards and that women in particular compare themselves with models despite the gap between retouched perfection and reality.† (p. 147). These standards emphasize unrealistic body types and because most women are not gifted with the ideal body size and shape, conforming to these ideals of female beauty is difficult. These messages of ideal beauty are difficult to ignore. Millard’s article on Dove’s â€Å"Real Beauty† Campaign stated the following: When... ...of beauty and women are oppressive in that they contribute to the limitation and restriction of women. In advertising, women are portrayed as being inferior which is false and objectifying. The obsession with thinness, the ideal image of beauty and oppression of women are all public problems that affect us all, man or woman. Inner beauty is forgotten and deemed unimportant in our society. The problems leave us with nothing but a shallow, depressed, miserable, unrealistic society with standards that leave people feeling inadequate and rejected. The media should give a more realistic body type for women to look up to. Women need to work together to help change attitudes, and neutralize the negativity that society and the media create. We can refuse to take the media so seriously and try to challenge the idealistic images in advertising and their demeaning messages.

Monday, August 19, 2019

High School vs College for a Disabled Student :: Compare High School and College

If you are a disabled high school graduate you may be confused by the changes with which you are faced and unsure what to expect as you prepare for college. Realistically, the transition from high school to college requires a period of adjustment for all students since the academic demands are different in the two environments. However, the transition for students with disabilities requires special preparation in order to progress smoothly. During the high school years, much of the responsibility for accommodating your disability fell to school personnel, and your parents served as your primary advocates. Even though you were required to participate in case conferences and the implementation of your Individual Education Plan (IEP) you may have felt more on the "sidelines." As you transition to college, your parents no longer serve as your primary advocates and you are asked to assume this role. It is important you understand you will be expected to seek out the services you need, provide adequate documentation of your disability, self-identify your need for accommodations, and follow-through with your assigned responsibilities in the accommodation process. Some of the confusion surrounding the transition from high school to college for students with disabilities can be traced to the fact that colleges and high schools are governed by different laws. The Individuals with Disabilities Education Act (IDEA) is no longer applicable as students transition to college and IEP’s, mandated by IDEA, are no longer required at the college level. Even Section 504 of the Rehabilitation Act of 1973 (Section 504) has different provisions for colleges than were in place for K-12 schools. IDEA and Section 504 mandate K-12 schools provide assessments to identify students with disabilities; however, when students enter college they bear the responsibility for providing evidence of their need for specific accommodations.

Sunday, August 18, 2019

Concert at Invesco Field in Colorodo Essay -- Descriptive Writing Examp

Concert at Invesco Field in Colorodo I have been to very memorable places in my life, such as the Vietnam Wall and the White House but nothing compares to the Summer Sanitarium concert in Denver, Colorado at Invesco Field. This concert was a tour put on by Metallica, Limp Bizkit, Linkin' Park, Deftones, and Mudvayne. Invesco Field at Mile High is the newly installed stadium in Denver after they got rid of the old stadium. All of the Denver Bronco home games are put on here. I would have to say that this place is the most memorable place I have ever been too in my life. It was near 11:00 on a Saturday morning when I saw the stadium that was hosting the greatest concert of all time. The stadium had an interesting architecture such in that the top of the stadium had rolling curves as if it was a roller coaster ride. The top was pearl white that had a shine to it from a distance. When we pulled into the parking lot, which looked like was just newly paved with asphalt, the stadium was much bigger than I had imagined. Immediately I noticed that white glittering bronco from the old Mile High Stadium was put up standing in perfect view of everyone. I could see cars parked in parking lot as far as the eye could see. As I began to walk toward the stadium there were people beginning to line up at all the gates leading into the newly built stadium. When we reached the stadium the dark blue shirts, the security guards were wearing had to search me before I entered the most popular place to be in Denver. Once we passed security and went through the dazzling green gate, I finally realized I was in the stadium. We walked up to the second level, which is also known as the Club Level. When we entered the glittering glass doors of the le... ... smokers that make my stomach become queasy from the smell. The smell was like burning weeds and I also could smell the alcohol in the air from the people a row above me. Right when I noticed the smell of the alcohol they spilled it all over my friend, some little kid, who was in the row in front of me, and me. At the very end of the concert fireworks of blue, white, and purple lit the sky making the whole crowd cheer uncontrollably. Invesco Field at Mile High in Denver, Colorado has been one of the most memorable places. I have ever had the privilege of being. After seeing the concert I could not believe I just witnessed Metallica and Linkin' Park let alone be in the new stadium of Denver, Colorado. Having been to Washington, D.C. seeing the Vietnam Wall and Lincoln Memorial was quite memorable but the most memorable place I have ever been to was Invesco Field.

Saturday, August 17, 2019

Downtown Beirut, Response on Mohsen’s Article Essay

Downtown Beirut: a spot pour les bourgeois In his article Downtown Beirut: A City of Ghosts? , published in the Alakhbar English journal on Saturday, January 7 2012, Ahmed Mohsen describes the heart of Beirut as an empty, fake, artificial hanging spot for the elite, so distant and alienated from the culture and the civilization of the good old Beirut known for its diversity among different social classes. Mohsen considers rebuilding the capital after the traumatizing war have indeed its true identity and covered its alleys with fake architecture that destroyed the historical beauty of what once was known as â€Å"the Paris of the Middle East†. For many, what’s known today as † Solidere â€Å", projects the new post war era, the era of a flourishing economy and an original society. In fact, the new buildings are indeed nothing more than an overpriced imitation of other countries’ architecture leaving the old Beirut and its rich Middle Eastern history nothing more than a memory along with its social traditions. Mohsen pointed out in his article that after rebuilding the center of the capital, the original citizens in Wadi Abu Jamil and its surroundings are no longer there. According to the author’s article â€Å"Wadi Abu Jamil’s original residents and owners have vanished. † (Page #120) I personally believe that the old Beirut with its old, wrecked buildings and crowded dirty alleys is a unique haven of coexistence between the various religious sects and the different social classes unlike the new â€Å"Down Town† or â€Å"DT† with its new original buildings inhabited by only one social class. The â€Å"High† class. The reconstruction of Beirut put money and artificial beauty over the unity of the classes and the unity of the different peoples that lived for centuries in Lebanon and their reunification after the devastating war. In his article, the author criticized the fact that only rich people can shop or hang out in the â€Å"DT† saying â€Å"For those who can afford it, the place to shop in downtown is â€Å"Beirut souks†. â€Å"(Page # 119). In fact, all the shops present in downtown are indeed expensive for the average citizen. But the problem is that even the most basic things in a small shop are much more expensive than any other place in the country. Buying a simple cone of ice cream will cost you something around 2000 L. L in Lebanon, but buying it from downtown will cost you about 7000 L. L. All the artificial beauty that is supposed to encourage the Lebanese around the world to go back to their country is in fact, a repulsive, ugly place reserved for the elite and rich tourists from neighboring Arabic countries.

Friday, August 16, 2019

Physical Development in Middle Adulthood Paper Essay

As the human body ages and reaches a point where it is no longer growing and changing due to hormones, it slowly starts to change in other ways. Age starts to take its toll much earlier on the body than most people think. Physical, mental and emotional changes are being made in the middle parts of an adult’s life. The midpoint of a person’s life is a period from age 35 to 64, and it is referred to as middle adulthood. Webster defines middle as â€Å"equal distance from beginning to the end† and the word adult is a person who is â€Å"fully grown or developed† (Dictionary 2010). Combining these words is like saying that an individual is half way through with his/her life. Many individuals have achieved happiness by this point in their lives. However, there is some who feel like they are closer to death without accomplishing anything. Middle adulthood brings about many changes and stresses to deal with daily. How an individual handles these issues determines if he or she achieves total happiness with their self. Middle adulthood is the time in life where individuals experience extreme amounts of responsibilities that could include the caring of aging parents or children (Dacey et al., 2009). Menopause is a woman’s first sign of aging that usually starts with a few years of turning 50 (Myers, 2008). Menopause is a very strenuous time in a woman’s life, with so many hormonal changes that can upset a woman’s normal balance of life. Physical symptoms of menopause are mood swings, emotional outbursts, hot flashes, and insomnia. There are available medications to help with the effects that occur during menopause. Health problems that evoke during these periods are Hypertension, asthma, arthritis, rheumatism and the metabolism starts to slow down. With hypertension (high blood pressure) affects 40% of adults in the United States being more prevalent among African Americans and poor people (Papalia et al., 2007). This disorder leads to individuals having heart attacks and strokes. Having blood pressures screenings can detect this disorder, and it can be treated effectively with medication. The three leading causes of death for individuals between the ages of 35 and 54 are cancer being number one, 2nd heart disease, and 3rd accidents. Women’s hormonal changes are known as menopause and are a decrease in the production  of estrogen. Male climacteric is a decrease in sex hormones. Both middle age men and women go through hormonal changes and physical developments. Both genders might expectance emotions of anxiety, nervousness, fatigue and decrease in sexual desires. As both genders began get older, their hair begins to get thinner and gray and get start getting wrinkles. While this makes most men appear attractive, it is viewed as unattractiveness or over the hill for women. According to Erik Erickson’s stages of psychosocial development Generativity is the stage of middle adulthood the particular age is debatable, some sources identify the period between age 25 to 45, others identify the period between 45 to 65, generativity is particularly characterized by an individual’s turning from self-centered objectives and becoming more interested and concerned with others, including a desire to nurture, care for, inspire and support others, their object can be within their own family or encompass their community and even encompass society as a whole. Middle adulthood is the time when interest shifts from self to others, it is the time of reflection Sexual development progresses throughout adulthood. Several elements such as pregnancy, chronic illness, stress, and the usual aging process affect adult sexuality. Adult men and women go through many physical and psychological changes as they age that can affect sexual relations and sexuality. In general, health and wellness has a significant effect on sexual development in middle aged men and women. Adult men and women that go through a decrease in sexual activity could profit from many treatments. Such treatments include hormone replacement therapy (HRT), selective enzyme inhibitors (Cialis, Viagra), 5-alpha reductase inhibitors (Proscar, Adodant), and sex therapy. Adult men normally have a decrease in testosterone production after the age of 25 or so. Testosterone levels are lower which can lead to a lack of sexual passion and complications performing erection. Sexual function in men who are middle age and older is very common. Adult women, typically between the ages of 45 and 60, menstrual periods stop, this is called menopause, and the ovaries stop generating the hormone estrogen. Menopause affects sexuality which can cause vaginal dryness and tenderness and reduces sexual cravings. Eating a proper diet, avoiding smoking and getting regular exercise allows many adults to continue sexual  desires and relationships during the course of their life cycle. Sexual partners that uphold open communication along with proper treatment of medical conditions can allow older adults keep affection part of life into older age. The changes in life can be many, and can often be terrifying for an adult to go through, not to mention stressful. Many adults going through this period tend to find outlets and ways to go about dealing with these changes, often referred to as a â€Å"mid-life crisis†, which allow them to put off feeling like their lives are already over, or allow them to come to terms with growing older and allowing them to feel more at peace with it. Conclusively, it is noted in many places that â€Å"Old is beautiful† or â€Å"40 is the new 20†, so perhaps people have found healthy outlets to allow them to be happier with being older. Reference: Sexuality in Adulthood. Retrieved from: blue.utb.edu

Agroforestry Research Essay

Agroforestry is an integrated approach of using the interactive benefits from combining trees and shrubs with crops and/or livestock. It combines agricultural and forestry technologies to create more diverse, productive, profitable, healthy, and sustainable land-use systems.[1] A narrow definition of agroforestry is â€Å"trees on farms.† As a science The theoretical base for agroforestry comes from ecology, via agroecology.[3] From this perspective, agroforestry is one of the three principal land-use sciences. The other two are agriculture and forestry.[4] The efficiency of photosynthesis drops off with increasing light intensity, and the rate of photosynthesis hardly increases once the light intensity is over about one tenth that of direct overhead sun. This means that plants under trees can still grow well even though they get less light. By having more than one level of vegetation, it is possible to get more photosynthesis than with a single layer. Agroforestry has a lot in common with intercropping. Both have two or more plant species (such as nitrogen-fixing plants) in close interaction, both provide multiple outputs, as a consequence, higher overall yields and, because a single application or input is shared, costs are reduced. Beyond these, there are gains specific to agroforestry. Benefits Further information: Ecoscaping Agroforestry systems can be advantageous over conventional agricultural and forest production methods. They can offer increased productivity, economic benefits, and more diversity in the ecological goods and services provided.[5] Biodiversity in agroforestry systems is typically higher than in conventional agricultural systems. With two or more interacting plant species in a given land area, it creates a more complex habitat that can support a wider variety of birds, insects, and other animals. Depending upon the application, potential impacts of agroforestry can include: †¢Reducing poverty through increased production of wood and other tree products for home consumption and sale †¢Contributing to food security by restoring the soil fertility for food crops †¢Cleaner water through reduced nutrient and soil runoff †¢Countering global warming and the risk of hunger by increasing the number of drought-resistant trees and the subsequent production of fruits, nuts and edible oils †¢Reducing deforestation and pressure on woodlands by providing farm-grown fuelwood †¢Reducing or eliminating the need for toxic chemicals (insecticides, herbicides, etc.) †¢Through more diverse farm outputs, improved human nutrition †¢In situations where people have limited access to mainstream medicines, providing growing space for medicinal plants Agroforestry practices may also realize a number of other associated environmental goals, such as: †¢Carbon sequestration †¢Odour, dust, and noise reduction †¢Green space and visual aesthetics †¢Enhancement or maintenance of wildlife habitat Adaptation to Climate Change There is some evidence that, especially in recent years, poor smallholder farmers are turning to agroforestry as a mean to adapt to the impacts of climate change. A study from the CGIAR research program on Climate Change, Agriculture and Food Security (CCAFS) found from a survey of over 700 households in East Africa that at least 50% of those households had begun planting trees on their farms in a change from their practices 10 years ago.[6] The trees ameliorate the effects of climate change by helping to stabilize erosion, improving water and soil quality and providing yields of fruit, tea, coffee, oil, fodder and medicinal products in addition to their usual harvest. Agroforestry was one of the most widely adopted adaptation strategies in the study, along with the use of improved crop varieties and intercropping.[6] Applications Agroforestry represents a wide diversity in application and in practice. One listing includes over 40 distinct uses.[3] The 40 or so applications can be roughly classified under a few broad headings. There are visual similarities between practices in different categories. This is expected as categorization is based around the problems addressed (countering winds, high rainfall, harmful insects, etc.) and the overall economic constraints and objectives (labor and other inputs costs, yield requirements, etc.). The categories include : †¢Parklands †¢Shade systems †¢Crop-over-tree systems †¢Alley cropping †¢Strip cropping †¢Fauna-based systems †¢Boundary systems †¢Taungyas †¢Physical support systems †¢Agroforests. Parkland Parklands are visually defined by the presence of trees widely scattered over a large agricultural plot or pasture. The trees are usually of a single species with clear regional favorites. Among the benefits, the trees offer shade to grazing animals, protect crops against strong wind bursts, provide tree prunings for firewood, and are a roost for insect or rodent-eating birds. There are other gains. Research with Faidherbia albida in Zambia showed that mature trees can sustain maize yields of 4.1 tonnes per hectare compared to 1.3 tonnes per hectare without these trees. Unlike other trees, Faidherbia sheds its nitrogen-rich leaves during the rainy crop growing season so it does not compete with the crop for light, nutrients and water. The leaves then regrow during the dry season and provide land cover and shade for crops.[7] Shade systems With shade applications, crops are purposely raised under tree canopies and within the resulting shady environment. For most uses, the understory crops are shade tolerant or the overstory trees have fairly open canopies. A conspicuous example is shade-grown coffee. This practice reduces weeding costs and increases the quality and taste of the coffee.[8][9] Crop-over-tree systems Not commonly encountered, crop-over-tree systems employ woody perennials in the role of a cover crop. For this, small shrubs or trees pruned to near ground level are utilized. The purpose, as with any cover crop, is to increase in-soil nutrients and/or to reduce soil erosion. Alley cropping With alley cropping, crop strips alternate with rows of closely spaced tree or hedge species. Normally, the trees are pruned before planting the crop. The cut leafy material is spread over the crop area to provide nutrients for the crop. In addition to nutrients, the hedges serve as windbreaks and eliminate soil erosion. Alley cropping has been shown to be advantagous in Africa, particularly in relation to improving maize yields in the sub-Saharan region. Use here relies upon the nitrogen fixing tree species Sesbania sesban, Tephrosia vogelii, Gliricidia sepium and Faidherbia albida. In one example, a ten-year experiment in Malawi showed that, by using fertilizer trees such as Tephrosia vogelii and Gliricidia sepium, maize yields averaged 3.7 tonnes per hectare as compared to one tonne per hectare in plots without fertilizer trees or mineral fertilizer.[10] Strip cropping Strip cropping is similar to alley cropping in that trees alternate with crops. The difference is that, with alley cropping, the trees are in single row. With strip cropping, the trees or shrubs are planted in wide strip. The purpose can be, as with alley cropping, to provide nutrients, in leaf form, to the crop. With strip cropping, the trees can have a purely productive role, providing fruits, nuts, etc. while, at the same time, protecting nearby crops from soil erosion and harmful winds. Fauna-based systems Silvopasture over the years (Australia). There are situations where trees benefit fauna. The most common examples are the silvopasture where cattle, goats, or sheep browse on grasses grown under trees.[11] In hot climates, the animals are less stressed and put on weight faster when grazing in a cooler, shaded environment. Other variations have these animals directly eating the leaves of trees or shrubs. There are similar systems for other types of fauna. Deer and hogs gain when living and feeding in a forest ecosystem, especially when the tree forage suits their dietary needs. Another variation, aquaforestry, is where trees shade fish ponds. In many cases, the fish eat the leaves or fruit from the trees. Boundary systems A riparian buffer bordering a river in Iowa. The are a number of applications that fall under the heading of a boundary system. These include the living fences, the riparian buffer, and windbreaks. †¢A living fence can be a thick hedge or fencing wire strung on living trees. In addition to restricting the movement of people and animals, living fences offer habitat to insect-eating birds and, in the case of a boundary hedge, slow soil erosion. †¢Riparian buffers are strips of permanent vegetation located along or near active watercourses or in ditches where water runoff concentrates. The purpose is to keep nutrients and soil from contaminating surface water. †¢Windbreaks reduce the velocity of the winds over and around crops. This increases yields through reduced drying of the crop and/or by preventing the crop from toppling in strong wind gusts. Taungyas Taungya is a system originating in Burma. In the initial stages of an orchard or tree plantation, the trees are small and widely spaced. The free space between the newly planted trees can accommodate a seasonal crop. Instead of costly weeding, the underutilized area provides an additional output and income. More complex taungyas use the between-tree space for a series of crops. The crops become more shade resistant as the tree canopies grow and the amount of sunlight reaching the ground declines. If a plantation is thinned in the latter stages, this opens further the between-tree cropping opportunities. Physical support systems In the long history of agriculture, trellises are comparatively recent. Before this, grapes and other vine crops were raised atop pruned trees. Variations of the physical support theme depend upon the type of vine. The advantages come through greater in-field biodiversity. In many cases, the control of weeds, diseases, and insect pests are a primary motive. Agroforests These are widely found in the humid tropics and are referenced by different names (forest gardening, forest farming, tropical home gardens and, where short-statured trees or shrubs dominate, shrub gardens). Agroforests, in many ways, epitomize agroforestry. Through a complex, disarrayed mix of trees, shrubs, vines, and seasonal crops, these systems, through their high levels of biodiversity, achieve the ecological dynamics of a forest ecosystem. Because of the internal ecology, they tend to be less susceptible to harmful insects, plant diseases, drought, and wind damage. Although they can be high yielding, complex systems tend to produce a large number of outputs. These are not utilized when a large volume of a single crop or output is required.

Thursday, August 15, 2019

Balanced Scorecard in Telecom

Performance measurement concerns all stake holders of business. Owners without executive powers are obviously most keen to know how their savings and investments are deployed. Employees, especially the ones with many alternate career options, would also like to know the state of health of their organizations, apart from the aspect of how superiors view their contributions. Suppliers worry about the future prospects of the business of a client because it has cascading effects on their own fortunes.Finally, regulators use corporate performance as feedback of macro-economic policies; customers also have tangential interests in the well-being of service providers and manufacturers on whom they depend. There is an increasing disconnect between statutory financial reporting and statements by executive teams about the states of enterprises for which they are responsible. There are many significant events in a corporation’s history which do not find places in profit and loss accounts or in balance sheets.Further, all statutory reporting is historical, whereas many modern lines of business such as telecommunications are in very fluid states. Everyone wants to know the future impacts of present developments, rather than what has already transpired in the past. There is an explosion of interest in non-financial information (Neef, and Cefola). Trends in customer loyalty and retention, development of more effective human resources, the capabilities of corporation to meet future competitive pressures, and the internal ‘engine-room’ operations are typical areas about which little is known through traditional financial reporting.While executives must be pleased at the lack of comprehensive business intelligence for competitors, the lack of directional information can lead to poor coordination and loss of control inside a corporation. All levels of hierarchy require guidance in terms of overall strategy, and how broad directions bear on individual jobs. The concept of a Balanced Scorecard is a popular and widely respected method of translating strategy in to specific implementationThis document constructs a hypothetical case of a telecom company, and attempts the application of the Balanced Scorecard methodology to translate the strategy of this company in to reality. The document concludes with an appraisal of the utility of the method. Business Distinctions of Telecom It is useful to consider the broad structure of the global telecom industry in order to construct a hypothetical case of some relevance.Telecom has shot in to the limelight of late after dramatic developments in technology and extensive consolidation of the industry structure as well. The industry shares a high profile with consumers and regulators alike. The telecom business is integral to modernization of society (Bonocore, 2001). High speed, wireless communication networks have transformed lives, bringing what was almost science fiction to the realm of reality. It is now possible to stay in touch with the world from the comfort of a home, and save on travel and commute times.Convergence between mobile or cellular telephones and computers is another major trend, and the revolution in the work-place of old is now in the process of unfolding at homes, with developments such as Internet telephones and music downloads from this medium as well. The industry is full of dramatic discontinuities; some of these are due to mergers and acquisitions, while the rest is because of disruptive changes in technology (Bonocore, 2001). The technological changes are likely to continue, with exponential jumps in processing speeds of micro-processors, while costs are headed distinctly south.The huge and rapid technological improvements keep creating excess capacities (Bonocore, 2001). The fixed infrastructure costs of telecom players are not sustainable, unless price reductions spur major jumps in demand. There is a fierce battle to capture new customers, to induce t hem to use their telephones as much as possible, and to hold on to them as well. Regulatory changes are breaking restrictions, as between local and long distance telephony (Bonocore, 2001). Large global players can also now break in to new domestic territories.The industry nature as outlined above makes non-financial parameters as important drivers of success (Neef, and Cefola). It is therefore eminently suited for the application of the Balanced Scorecard methodology (Tenhunen, Ukko, Markus, Oy, and Rantanen, 2002). Hypothetical Case Construction Telephone and Data Systems Inc. is a real company listed on the New York Stock Exchange (Form 10-K, 1998). It is a diversified telecommunications operator in the United States, and participates in both the wireless and line telephone segments.A hypothetical case has been created in this document on the historical basis of the company’s 10-K statement for 1997, presented to the Securities and Exchanges Commission in 1998 (Form 10-K, 1998). This document details the company’s strategy exactly a decade ago. The Balanced Scorecard methodology can be applied to this historical but factual situation in a hypothetical way. The numbers and facts in the following paragraphs are not entirely factual, with some simplifications made for the purpose of clarity. Telephone Data Systems Inc.is a relatively small and niche player in the telecom industry. It does not operate at all outside of the United States, and serves customers in only 36 States of its home country. It has less than 10 million customers. The company depends on the United States Cellular Corporation for its wireless services, which includes broad band, and has a wholly owned subsidiary for this line of business. The company operates printing and distribution activities through Suttle Straus, Inc in which it has a controlling stake.TDS is focused on rural and suburban USA. It has about 11 thousand employees. Its basic approach is to combine organic gro wth with appropriate acquisitions. It operates each lines of business through a company which it either owns wholly or controls. The company has proprietary access to technology which reduces noise, provides seamless inter-connections, and which also offers cost advantages. Its network is capable of upgrades for value-added services. However, the company does also need to enter new technology areas.The company focuses on geographic clusters in order to control costs, but emphasizes full customer satisfaction in its chosen clusters. Overall, the broad strategy of Telephone Data Systems Inc. is to hold a leadership position in rural and suburban America, making necessary investments to support such a competitive advantage. An Overview of the Balanced Scorecard Concept It is useful at this junction to consider the general nature and principles of the Balanced Scorecard before the concept is applied to the hypothetical case constructed as above.The Balanced Scorecard is essentially a wa y of translating strategic concepts in to action (Keyes, 2005). It can also be used for holistic performance appraisal of an organization. The Balanced Scorecard seeks to integrate the contributions of all stake holders and levels of an organization for the joint implementation of strategic goals (Kaplan, 2002). It eliminates gaps between visionary thinking at the top of an organization and the daily actions of people up to the periphery. The Balanced Scorecard makes a large corporation nimble and responsive.The Balanced Scorecard was first introduced in the early 1990, and is now used by about half of all U. S. corporations (Neely, 2002). Measurement is crucial for building teams and common commitments (Kaplan, 2002). This is at the heart of the Balanced Scorecard system. These measures are a part of a cause and effect link spanning the entire organization; each measure is linked to an organizational outcome. The Balanced Scorecard is built along 4 axes: the financial perspectives drive customer values, while the internal perspectives focus on productivity, and value creation.The customer perspective gives body to differentiation, while the learning and growth perspective dwells on human resources, systems, business climate, and organization culture. Overall the Balanced Scorecard is a means of implementing strategy, and works primarily through simple and transparent measurement of financial and qualitative goals (Neely, 2002). Implementation Priorities and Sequencing This section relates to the hypothetical case constructed earlier in the document. Telephone Data Systems Inc.is ready with a strategy and would like to use the Balanced Scorecard to ensure measured and effective implementation. The process must start with widespread communication of the evolved strategy, because this has been prepared by a mere handful of the most senior and trusted executives in the company (Mai, and Akerson, 2003). Telephone Data Systems Inc. has more than 11 thousand employe es, and the Balanced Scorecard system requires that each of them understands what their company wishes to achieve and how (Kaplan, 2002).Some people are formally employees of owned or controlled, but independent entities: they must also be carried in the massive effort to implement the strategy quickly and well. Share holders, financiers, and technology associates are other stake holders with important roles in strategy execution, so they too must know the direction their company has chosen to take. Finally, competitors also need to be aware of the nuances of company strategy since the industry is in a phase of consolidation.Overall, the management should make special efforts to carry people with them by integration with the Human Resources Management strategy (Kearns, 2003) and by viewing the organization as a living being Communication with such a large and diversified audience is likely to suffer from both dilution as well as distortion (Segil, and Goldsmith, J, 2002). Further, t he subject matter is a top management prerogative, so any word from anyone other than the Chief Executive Officer, will not carry adequate weight or authority (Kaplan, 2002)This communication issue is also an opportunity for the company to showcase its strengths. The Chief Executive Officer, apart from physical one-on-one meetings with the most influential stake holders, decides to use email and video conferencing infrastructure to communicate interactively with each stake holder directly. The core message is that Telephone Data Systems Inc. will be the leader in telecommunications within rural and suburban America. The company will back this super-ordinate aim with all the financial and non-financial investments needed for its realization.The Chief Executive Officer and the core strategy team have decided to launch the Balanced Scorecard on a pilot basis before extending the methodology throughout the Group (Tenhunen, Ukko, Markus, Oy, and Rantanen, 2002). This will serve as a lear ning process and will help the company deal with the potential problems which such a process may entail. Telephone Data Systems Inc. is new to the Balanced Scorecard, and it is known that some phases of the process, such as tying personal remuneration with measured goal achievement may cause instabilities.

Wednesday, August 14, 2019

Information Essay Middle School Websites

The Canon McMillan School District Middle School has a very informative website for parents and students. The News & Information section contains topics such as: McTeacher Night, School-Home Communication, Smoking Prevention, On Demand Homework Help, and Library/Media Center Website. Contact information for the administration and teachers can be found with pictures of key staff. There are links to the student handbook, cafe, principal corner and calendar. The Teachers Webpages will connect you to your student’s academic team.The News & Information section is cumulative; you can find current activities as well as information that were posted in the fall. Each topic provides a brief description with some having a link to more information. The link to the Library/Media Center has book reviews, book club updates, and special reports on library activities. Those that do not have a link provide bullet points or a brief factoid. The links on the left side of the website cover topics from the student handbook to the music department.The calendar has dates underscored that have specific school activities associated with them. The student resource section includes opportunities for students to get more involved in extra activities. The link for staff will provide you with contact information and the subject they teach. The Teachers Webpages sections will take you to your student’s assigned academic team. There are pictures of the facility so you can put a face to the name. When you click on the picture you are taken to information specific to that team.On the right side of the page are links to the textbooks used in each subject. The Canon McMillan Middle School website offers parents and students the opportunity to stay connected with the academic process. In addition to the Middle School specific information there are links to district information such as the school board and employment. The Parents Links connects you to PowerSchool, My Lunch Money and ot her tools for parents to access financial resources. With the school district going green the website provides the information for a well-rounded middle school experience.

Tuesday, August 13, 2019

Global Health Case Study Example | Topics and Well Written Essays - 500 words

Global Health - Case Study Example (Aylward et.al, 2000). 1. One of the key long term consequences is temporary disability suffered by the patients. As a result in some areas, where agriculture is the main source of income economy get affected drastically. Keeping this point in mind people of Dogontermed this disease as the disease of the empty granary. 2. Keeping in mind this social impact, economic impactcan also be calculated. Surveys’ conducted by various organizations has proved that, in Southern Nigeria, three rice growing areas affected by this disease can resultant into annual loss of $ 20 million. (Brieger, Watts , Yacoob Pediatr, 1989, p. 286). This is the impact of the disease where the frequency of disease is very high. Likewise, if once consider the other areas like Mali, where the incident of disease is comparatively low, the loss is within 5% of the actual economicvaluation. (Cairncross et.al, 2002). There are several organizations working along with world health organization to fight against this disease in various parts of Asia and Africa. Initially the fight was initiatedby the World Health organization to remove the disease from various parts of Asia and Africa, especially in the low income zone where most of the people used to live below poverty line. WHO (World health Organization) and UNICEFtogether initiatedthe fight against this disease by introducing Health map initiative. (Cairncross et.al, 2002). Educating the people about any particular nation or the state to ensure the fact that they along with their children are drinking pure and clean water and at the same time, places where farming is the major source of income, water supply to the farming land also need to be checked thoroughly so that people do not get infected. Health education is another main objective of this national campaign. Educating people who are living below poverty line in various Asian and African countries to make

Monday, August 12, 2019

The Use of DNA in Crime Investigations Research Paper

The Use of DNA in Crime Investigations - Research Paper Example It also depends to a great extent on the far-sightedness of a person in looking at the long-term effects of the changes incorporated into the lives of people due to technological changes. There may be many negatives that can be found in the introduction of these changes. However, that does not justify a rejection of those changes without an analysis of the positive effects that they may have. The use of DNA in the analysis of crime and the investigations of this issue is one such area. In the United States of America, only twenty five states follow a system whereby the use of DNA is done in an efficient manner. This involves the collection of DNA samples right at the time of the arrest of a criminal. In the other states, collection of these samples is conducted following the conviction of a criminal, and this causes a lot of delay. These delays may result in a change in the very outcome of the cases where the said changes are made. This paper will discuss these delays and the changes that can be made in the legislative structures that govern crime investigation in the United States of America. DNA (deoxyribonucleic acid) has the makeup of a person encoded within it. It is a unique code that helps identify a person. It can be used to distinguish between persons. Samples of DNA can be collected from a person’s saliva, hair and other parts of that person’s body. Such information can be later used to verify the identity of the criminal and can be used for matching with the samples that are collected from him or her (â€Å"Use of DNA in Criminal Investigations†, n.d.). While these can be collected from the suspects later on during the time of the conviction, the samples that are to be collected from the crime scene need to be collected at the time of the arrest itself. If this is not done, there may be difficulties in locating the position of the body fluids in question and it may also be difficult to isolate them so that the matching of the DNA may be conducted. In the context of the legislations that currently exist, stress is laid on the use of DNA samples for the solving of crimes; however, as mentioned earlier in this paper, only twenty five states in America have a provision for the collection of DNA samples at the time of the arrest of a suspect. Various arguments have been advanced in favour of collecting the DNA samples at the time of the arrest. One of these is the quick analysis possible as a result of the quick collection of the data. This prevents many problems that would otherwise be present in the process of the investigation of the crime. To understand this fully, one needs to also understand the benefits of DNA analysis in the process. This would help one locate the areas where the problems are present. One of the major advantages of the use of DNA samples in crime investigations is the creation of databases that can be then used to track the activities of people who are known to be offenders. While allowi ng every person who has committed an offence a chance to improve their own characters and lots in life, this system ensures the safety of the society where such convicts are present. Having such a database would mean that people who have committed an offence may be caught in an easier fashion. This would also mean that people who are innocent may have a better chance to stay free and engage in activities that are useful for the society in which they live and are a part of. Statistics