Saturday, August 31, 2019

A Good Citizen

A good citizen needs to imbibe many qualities. That he has some duties and responsibilities to bear is true, but at same time, he enjoys some rights and privileges as a citizen of a free state. While he has every right to participate in the judicial, legal politics, religious and social affairs of the nation, he has also some responsibilities i. e. not to injure the sentiments of others and to protect the weak against the strong. To stand by the state, under all conditions, is his first and foremost duty. A good citizen must be ready to sacrifice his everything for the sake of his motherland.He is also required to be a patriot and nationalist. He should have firm and deep faith in the welfare of his motherland. He has to obey law and order. But he has also to keep in his heart the betterment of the country, the good of society and the interest of the nation. A good citizen must respect the cultural heritage of his country, i. e. he will have to respect the heroes, ‘the prophet, the sages and saints of his country. He must respect the race which has given birth to him. He must always keep in mind the future of his country. He must attempt to raise the standard of living of his country by working honestly.At an event of aggression or foreign attack, he must be ready to shed his blood for the sake of his motherland. Thus, defense of the country is the supreme duty of a good citizen. Unity of the nations should be his topmost priority. He should work for the unity of the country. A Goodwill for other races, protection to the weak, help to the victims, sympathetic and kind consideration to his fellow citizens are things that are needed in good citizen. A good citizen should have a spirit of cooperation, friendliness, humanity, dedication, devotion for his fellow citizens.He must respect other faiths. He must not do anything which brings disgrace to his society or to his country. Greatest good of greatest number should be his principle. All these good and great qualities, if possessed, make one a good citizen. We are all citizens of one country or the other. We acquire citizenship of our country generally by virtue of our birth. But to be a good citizen requires a lot of training and understanding. As the subject of a country, every citizen has some duties and he enjoys at the same time certain rights.All of us have a right to take part in the legislative as well as judicial activities of this country and can give free expression to our views and opinions from the platform and through the press. A good citizen, therefore, is one who is always broad minded. He must, if living in India, consider himself an Indian first and anything else afterwards. He is ready even to shed his blood for the honour and glory of his country. A good citizen has the good of his country at heart. To raise his country to a higher level of civilization must be his aim.He must not forget that the future, no less than the present, is always lined with the past. A go od citizen must keep the welfare of his town or city or village foremost in his mind at the time of elections. He should understand the existing educational and other institutions of his country and make efforts to bring about desirable improvements. He must love his neighbours. He must be sympathetic, broad-minded and generous. â€Å"In this way, a good citizen should always be ready to forget and forgive. In a word, he should be a perfect gentleman. †

Friday, August 30, 2019

Labor and Employment Law

It is the law, which provide legal right, restrictions and control on the workers working at the working place in the organization. The employment law was designed to protect the interest of the workers.Almost all the countries and International Labor Organization prepared it to keep the labors in equal position with the society. It is prepared on the different aspects of labors such as their working place, minimum wage, working time, health and safety, workplace environment etc.Labor and Employment Law, 12th Edition was wrote by the famous labor arbitrator containing chapters on pay equity and age discrimination, disability discrimination ad worker’s compensation laws ad employee privacy.The National Labor Relation Board is designed to provide right to the private sector employees to form their labor union and bargain collectively over wages, hours and working conditions.The NRLB also provide right to an employer to voluntarily recognize a union when card is presented with th e sign of majority of the employees. The employer is authorized to enter into card check agreement with union before collection of signatures. It is mandatory required on the part of employer to assemble signatures from more than majority of bargaining unit employees.The third party may check the authorization cards to judge the limits of the members as provided I the NRLA act. The Board may order to an employer to bargain with union, even when the  Ã‚   union lost secret ballot election.Therefore, from the above points it is clear that card check agreement is replacing the ballot election because it is more economical, more transparent etc. because conduction of secret ballot election is more private affair and confidential and   create more pressure o the employees. I the nutshell, card check recognition may reduce earning inequality, whereas mandatory secret ballot elections may increase it.Reference:Referred to sites:http://en.wikipedia.org/wiki/Labour_and_employment_law/ Em ployment law http://www.workinglife.org/filebin/fol/CRS_may_2005_reportcardcheck.pdf/ Labor union recognition procedures: use of secret ballots and cards checks.

Thursday, August 29, 2019

Ethical Boundaries and Practices Essay

Follow the directions below to write a paper of 1,500-1,750 words on counselor ethical boundaries and practices. For this paper, write from the perspective that you are a professional counselor in the field. Provide a thoughtful response to each of the following three sections, including specific, concrete examples to illustrate your ideas. Use the section headings provided below to separate each section of your paper. Your final deliverable should be one cohesive paper addressing all three sections along with an introduction and conclusion. Section 1: Boundary Issues and Dual Relationships Part A – Decision-Making Model and Counseling Examples How would you determine if a boundary-crossing or dual relationship is ethical and appropriate? What criteria would you consider when making your decision? Present examples of how you would apply this criteria to at least four counseling situations in which you believe the dual relationship issues are complex and ambiguous. One of your examples should address the issues of physical attraction between clients and counselors. Part B-Ethical Issues and Dimensions In addition, examine these issues in terms of former clients. Address the following: Do the ethical issues (and your opinion about appropriateness) change, depending on how long after the termination of therapy a dual relationship is initiated? What are the key ethical dimensions that might change, after the termination of therapy? Present an example of a situation that you believe would constitute a boundary violation with a current client but might be acceptable with a former client. Section 2: Professional Collaboration in Counseling Part A – Working with a Multidisciplinary Team Explain why counselors frequently collaborate with other stakeholders regarding a client’s care in order to maintain professional and ethical boundaries and practices. For example, professional counselors frequently work with clients with addiction issues. Addiction counselors may work with  clients who also have a co-occurring disorder. The specific roles of each of these counselors are well defined; straying into an area outside your scope of practice is unethical. How would you work independently as a counselor within your scope of practice as well as collaboratively with other mental health professionals to ensure quality client care? What is the role of a counselor in a multidisciplinary team? Part B –Relationships with Supervisors and Colleagues Describe the ethical issues involved in the supervisor-counselor relationship. How is this relationship similar to the counselor-client relationship? How is it different? Outline a series of criteria and describe how you would integrate the criteria into an ethical decision-making model to respond to issues of incompetence and/or unethical conduct by fellow counselors. Section 3: Development of Your Thinking about Ethics Clearly describe what you consider to be the most important developments in your thinking about ethical practice that have occurred during this course. This may include areas in which you have clarified your views and beliefs, modified your thinking on a given issue, gained new insights, or acquired a new perspective. It may include issues whose complexity you now appreciate more fully or difficult issues that you now understand you must grapple with, as a counselor. What have you most learned about yourself and/or about what constitutes becoming an ethical practitioner and how has your thinking about ethics and legal issues changed? Be sure that you include specific examples to illustrate general statements.

Wednesday, August 28, 2019

Questions - part II Essay Example | Topics and Well Written Essays - 2250 words

Questions - part II - Essay Example In this paper, we will focus on two philosophers; Boethius and Machiavelli. Through examining the two philosophers, we will be able to understand the main tenets of the ancient modern debate. Part A The main tenets of the ancient modern debate revolve around several differences on the subject of human nature. It is clear that different philosophers have presented diverse thoughts and opinions regarding the so called human nature. Building on this point of view, there has been a developing code of ethics emerging from such theorists and what people accept as true in the present day. It is worth examining Boethius view points on the subject and compare them with Machiavelli’s accordingly. Part B From a literal point of view, Boethius’s most excellent known work is referred as the consolation of philosophy. He wrote this work whilst in prison while awaiting his execution. Boethius finds himself in jail. At first, he is profoundly upset. The cause of his suffering emerges f rom his enduring project, effort to conserve ancient classical knowledge, specifically philosophy. His work represents an imaginary conversation between himself and philosophy. In that case, philosophy is personified as a woman. The arguments in this scenario are that, in spite of the apparent disparity of the humankind, there is, within platonic fashion, a high power and everything besides is secondary to such divine providence. Despite Boethius suffering while in exile, it is recorded that philosophy appears and attempts to â€Å"cure† his suffering. Philosophy, which is personified as a woman, does this in various ways. First of all, she does this by reminding him of what he once knew about the true nature of human beings; the nature of fortune, the nature of happiness, and the limits of politics to provide happiness (Boethius 49). In Boethius’ argument of the nature of fortune, happiness, and the limits of politics to provide happiness, he agonizes over the profess ed inappropriateness between the subsistence of God and the wickedness that exists in the earth. What is more, he agonizes between the existence of God and the superficial ethical inversion of the creation. In responding to such issues, Boethius declares that God’s kindness and God’s obligation to honesty does not necessitate that God get rid of every instance of evil. Then again, Boethius presents argument that there are at least different examples of goodness that appear to have need of the likelihood of some wickedness, ethical education with regards to the free will of humans and the true nature of happiness. Moreover, Boethius presents an argument that the nature of evil as self-destructive to wrongdoers and the nature of the ultimate good as the one which, every person naturally look for, an indication that the earth is not decently inverted. As a result, Boethius would dispute the reality of premise in the modern formulation of the issue of evil (Boethius 54). I n his argument for the compatibility of the subsistence of God with the continuation of evil, he provides explanations as to why God would allow occurrences of evil and not do away with them. As a character in the Consolation, he seems to take consolation in such discoveries. Reflecting on the above discussion, it is worth contemplating that the lady philosophy brings to a n end the dialogue with both caution and encouragement, â€Å"

Principle of Marketing relation with Business management major Essay

Principle of Marketing relation with Business management major - Essay Example Marketing deals with servicing customers who may or may not be loyal to that company’s brand. Marketing deals with two basic functions—attracting customers to a brand and then keeping them there once they are hooked. For someone is working towards a business management major, marketing is an extremely important component of their study. Although that business management major may never have anything to do with marketing once they go out into the real world and find a job, they still need to understand the basic concepts that marketing entail. This is because a business management major will likely be in control of a number of departments; marketing is one such department. For a business management major to better understand the needs of the marketing department, it would help to have some knowledge so that the manager can make an informed decision about how to allocate funds. In the same way, business management is also useful for those who are marketing majors. Because the marketing department acts as the â€Å"face† of a company, their efforts will be seen by a large number of people. This is unlike inside a workplace, where only a few people will know what really goes on. Because of this fact, it is important that the marketing efforts of a company are handled with extreme care and caution. The allocation of resources in marketing efforts is very important because they have an effect on the rest of the company. If a company gets negative press due to a controversial marketing campaign, then this will have an effect on the rest of the company. If business management is thought to be the brains behind an organization, then marketing would definitely be the hands and feet. Business management majors need to understand how important marketing is. Without it, an organization would not be able to function properly. It is up the business management to organize and formulate strategies that the

Tuesday, August 27, 2019

A review of academic research undertaken in relation to Small and Essay

A review of academic research undertaken in relation to Small and Medium Sized Enterprises - Essay Example In the study, United Kingdom’s SMEs have been observed. It has been identified that SMEs also have a role to play in the economy of the UK. However, there are underlying challenges and problems that the country’s SMEs face which need to be addressed by the government and other stakeholders involved. The paper intends to identify the current academic research into small and medium sized enterprises and the major issues faced by these firms. It also tries to present the role of SMEs in the UK. The paper will try to provide a brief summary of the overall scenario at the end and will provide recommendation based on the challenges that the SMEs in the UK face so that significant improvements in the SMEs can be introduced and better opportunities created. Table of Contents 1 Executive Summary 2 Introduction 4 Critical Review into Current Academic Research 5 Challenges of SMEs 7 Role played by SMEs in the United Kingdom 8 Conclusion and Recommendation 12 References 14 Introduc tion Small and medium-sized enterprises (SMEs) are those firms that do not have any subsidiary and are independent in nature thus employing a certain number of employees. The number of employees may be different in different countries. In European Union, the limit set for employing the employees has been set to 250 for SMEs. However, certain countries lay down the limit of employing 200 employees. The use of the financial assets is also evident in order to define SMEs. A new European definition of SMEs came into existence in the year 2005. The new definition offers increase in the financial upper limits and therefore it states that the turnover of medium-sized enterprises must not be more than EUR 50 millions. Similarly, the turnover of small enterprises must not be more than EUR 10 millions and for the micro firms the turnover must not go above EUR 2 million. Consequently, the balance sheet of the medium enterprises must not surpass EUR 43 millions. The balance sheet of small and m icro enterprises must not go above EUR 10 million and EUR 2 million respectively (OECD, 2005). The SME sector comprises a wide range of firms such as recognized conventional family businesses that utilize nearly hundreds of workers. The SME sector also makes use of â€Å"survivalist† self-employed workers functioning in unorganised micro enterprises (International Institute for Sustainable Development, 2004). The main aim of the paper is to identify the role of the SME in the economy of the United Kingdom. The study will try to focus upon the current academic research on SMEs. Theories on SMEs will be identified and the role of SMEs in an international context as a mechanism for job creation, innovation and long term growth will be studied in detail in the sections below. Critical Review into Current Academic Research Small and medium-sized enterprises can avail innumerable behavioural benefits in comparison to their larger counterparts in the process of innovation. However, it has been identified that they also face certain material disadvantages. The problem they face has been evident in the process of developing suitable network of contacts with outside sources of both mechanical and technological expertise as well as advice (Rothwell & Dodgson, 1991). It is quite difficult to measure the importance of SMEs. However, it is a well known fact that small and medium enterprises are considered as the basis of most of the economies, generally in relation to influences on employment as well as

Monday, August 26, 2019

Article Critique Research Paper Example | Topics and Well Written Essays - 1000 words

Article Critique - Research Paper Example The article clearly discusses the results of recent experiences with the use of therapeutic hypothermia after cardiac arrest in a patient. The layout of the article itself flows well and offers a clear and distinct linear progression. The four doctors who participated in the research, Sagalyn, Band, Gaieski, and Abella are from the Department of Emergency Medicine and Center for Resuscitation Science at the University of Pennsylvania. Their departmental positions indicate a high degree of knowledge in this field, and make them uniquely qualified to write this particular article; with qualifications such as these it would be easy to believe that they have the necessary skills to make this type of analysis on the subject. The abstract offers a clear overview of the study itself, detailing what their objectives were, the setting in which their review took place, the subjects used as a part of the study, the measurements that were taken, and the main results of the outcome of the analysi s itself. Each specific section offers a concise summary for that heading, and, again, flows well and in a linear fashion. The phenomenon of using therapeutic hypothermia after a patient experiences cardiac arrest is clearly identified and the question addressed by the paper is thoroughly discussed, complete with ample research into the matter. The question presented was whether or not therapeutic hypothermia was beneficial after a patient experiences cardiac arrest, with the results showing â€Å"increased survivial with an odds ratio of 2.5 and favorable outcome with 2.5† (Sagalyn, Band, Gaieski & Abella, 2009). The specific purpose of the article is easy to identify, determining whether or not therapeutic, clinically induced hypothermia is beneficial to the patient after they have experienced a heart attack, and the conclusion of this research is likewise concisely stated; â€Å"the survival and neurological outcomes benefit from therapeutic hypothermia are robust when co mpared over a wide range of studies of actual implementation† (Sagalyn, Band, Gaieski & Abella, 2009). The literature review was done in order to gain the initial data to be able to start the research project itself, and as such, added information on the topic itself, as it provided the burden of proof for the theory itself. It was highly inclusive of the subject being explored as a result, for it was the primary methodology used in order to gain the data to correlate the theory and gain proof for the theory itself. The theoretical framework present was the benefit of clinically induced hypothermia on cardiac arrest patients outside of a clinical trial, directly relating to the question that the paper itself strives to answer. It is clearly detailed in the first and second paragraphs of the research article itself, and is used to provide the setting for the remainder of the paper itself. The specific sample method and sample size is not identified; however, the process used to determine if a study could be used as a part of the data for this particular study is detailed. The participants identified for the study were included or excluded on the basis of only a few qualifiers. â€Å"

Sunday, August 25, 2019

Form a christian perspective Essay Example | Topics and Well Written Essays - 1000 words

Form a christian perspective - Essay Example Firstly, it’s a great worshiping of the Prophet Jesus (the Christ), and of number of saints what defines most of Christianity. Despite being a monotheistic religion, Christians refer less to God while more to Christ (whom Christians see as a God’s son) and to other iconic figures, primary historical postures (saints) when praying. Christians relay on stories about Christ and saints, on the wisdom they were proclaiming, truth they were teaching, and try to follow examples of Christ and saints in own lives. Christ and saints are also used as bailsmen on heaven, thus when asking for something Christians often turns to them, than to God directly. Even those branches of Christianity which negate saint iconic figures, commonly recognize a preacher who’s talking to God. To gain insight into God’s purpose, Christians need to receive a translation from authorities and thus, Christian turns to the Church. Christian Church (the Church) is less important for Christians than a local church they specifically belong to. Christianity is a single religion, but it’s also a worldwide. There’s a lot of different confessions and variations of Christian belief, and therefore most close Christians are with their local churches where a local pastor preaches regularly, for the same audience for quite a period of time. Christians tend to came to a church for soul businesses as much often as for social businesses and in this way, create a community. Christians love to be united to share a one way, and a local church unites Christians together. Christians pay a great attention on sharing. Love and care for their neighbors define Christianity as it’s the famous claim Christ had made. Christians contribute money for churches (for some confessions, there’s a specific percent from income to contribute) and for other good deeds which are primary, of local needs.

Saturday, August 24, 2019

New Economy and the Service Sector Term Paper Example | Topics and Well Written Essays - 1250 words

New Economy and the Service Sector - Term Paper Example The present paper has identified that countries that fundamentally rely on the service-based economy have advanced economies than those whose economy is not service-based. Nevertheless, the new economy has had an enormous effect on the service sector. In effect, while considering the new economy, this expose is an investigation of the changing scenario in the service sector. In addition, the expose will elucidate on the cardinal principles of service quality. Furthermore, there will be an analysis on how the management of quality can create a much better service offering in organization. New Economy and the Service Sector According to Henwood, the New Economy has its origin between 1996 and 2003. In this regard, Henwood that the finance sector led politicians, businesspersons, economists, journalists, and people to believe that there was an economic change resulting from positive benefits experienced in an extended period. In this case, the developments included advancements in techn ological development, a more focus on work, and enormous global expansions of corporate. In addition, these developments would also include the productivity impact of the technological advancements with an added effect on quality of life (Henwood). Globalization of business and the revolution of the information technology field are the major features of the New Economy (Shepard). In this regard, the New Economy marked the introduction of free trade, market forces, and widespread deregulation in most countries of the world. These countries included former communist countries that disregarded free markets and market forces in their economies. In addition, globalization has led to economic unions growing and becoming more powerful as evidenced by the European Union (EU) and North America's free-trade agreement (Shepard). Nevertheless, the advancements in information technology have led to this revolution. Advancements in technology have become part of our daily lives. From the internet to the faxing machine, cellular phones to computers, these tools have become more than a necessity in human beings life. In this regard, this has led to the digital era in which opening and creation of new industries has become the norm. In this regard, the New Economy emphasizes the need for integrating information technology in businesses in the service sector. As a result, rapid technological changes enhance the capability of businesses in the service sector to get rid of layers of management (Shepard). Consequently, using this technology in the service industries enhances restructuring of industries in the service sector. In effect, this restructuring is crucial to bring efficiency to the service sector due to integration of information technology, which is a feature of the New Economy. Hartley noted that workers in the New Economy engaged in â€Å"knowledge-intensive work and use new information and communication technology to connect to customers and clients around the globe † (qt. in Pupo and Thomas). In effect, this has ensured that the workplace in the service sector has become more flexible. Consequently, flexibility is crucial towards the creation of an enabling environment for enhancing capacity building for more productivity and elimination of hierarchy in the service sector that defined the wages on labor.

Friday, August 23, 2019

Engineering Essay Example | Topics and Well Written Essays - 2500 words

Engineering - Essay Example discussion is to study the development of a control system through the designed scheduled autopilot that enables the flying of a model at different speed conditions in the air. Aircraft have been designed by different parameters and analysis is needed to establish their effects on the performance of the vehicle. The Wright brothers used the wind tunnel to study the performance of various types of airfoils. There have been advanced wind tunnels that are used to determine the characteristics of full scale aircraft. On the other hand, use of the wind tunnel in determining flight characteristics and performance of full scale aircraft remains an expensive exercise and time consuming proposition. Due to advancement in information systems and technology, high speed computing helps determine flight performance of aircraft designs through the use of virtual tunnels. This process involves a computer generated model that is plugged in a Computational Fluid Dynamics (CFD) program that determines flow characteristics. The results obtained are compared to those found from the real wind tunnel test and the real aircraft performance in flight. However, several studies have been conducted to demonstrate validity and efficacy of the virtual wind tunnel. In this discussion, the two processes are introduced during undergraduate Aircraft Design class. Scale models of different types of aircraft such as the trainer, transport, fighter, and UAV are studied. The scaled models are installed in low speed cross-section wind tunnel used to establish the lift and drag coefficients and pressure profiles. Design of a virtual model of the corresponding aircraft by use of SolidWorks is also done. The virtual models developed are imported to the SolidWorks Flow Simulation software. The low speed virtual wind tunnel is simulated in Flow Simulation to establish lift and drag coefficients as pressure profiles are established for various aircraft at different angles of pitch, yaw, as well as roll.

Thursday, August 22, 2019

Assignmen From Readings Essay Example for Free

Assignmen From Readings Essay This document includes ACC 340 Week 2 Assignments from Readings ACC 340 Week 2 Individual Assignments From the Readings Write a response to the following assignment from the Core Concepts of Accounting Information Systems text: Chapter 3: Case Analyses (The Dinteman Company) Format your response consistent with APA guidelines. Business Accounting Accounting Information Systems I ENTIRE COURSE Phoenix University Pick out classes that are challenging and interesting to you instead of the ones that people think are very easy. Giving yourself a challenge is rewarding. You are sure to gain more knowledge from tough courses, and you might make connections that will benefit you later on.

Wednesday, August 21, 2019

Bukidnon Deer Park and Wildlife Center Reaction Paper Essay Example for Free

Bukidnon Deer Park and Wildlife Center Reaction Paper Essay On August 26, 2012 I visited the Bukidnon Deer Park and Wildlife Center located at San Miguel, Maramag, Bukidnon. The purpose of the trip was to look at some fascinating wild animals that live from different parts of the world and to learn more about them. The first animals I visited were the mammals. Mammals are class of warm-blooded vertebrate animals that have, in the female, milk-secreting organs for feeding the young. The animals available at the park that represents this class were the Long-tailed Macaques (Macaca fascicularis), Palawan Bear Cat (Arctictus binturong), Common Palm Civet (Paradoxuros hermaphrodites), Balabac Mouse Deer (Tragulus nigricans), Leopard Cat (Pronailarus bengalensis), Philippine Mouse Deer (Cervus marianus), and lastly the Wild Pig (Sus philippinensis). After we have visited the mammals we then go straight to the Aves. But on the way to the Aves we came along to pass by the Japanese Koi (Cyprinus carpio). These are carps with red-gold or white coloring, kept as an aquarium or ornamental pond fish, native in Japan. They were so fun to watch. Finally we arrive where the Aves are caged. Aves are two-legged, warm-blooded animals with wings, a beak, and body covered with feathers. These animals lay eggs from which their young hatch, and most of the species can fly. The animals available at the park that represents this class were the Philippine Serpent Eagle (Spilornis holospilus), Brahminy Kite (Haliastur indicus), Single-wattled Cassowary (Casuarius unappendiculatus), Dwarf Cassowary (Cassuarius bennetti), Indian Blue Peafowl (Pavo cristatus), Indian Ringneck Parakeet (Psittacula krameri), Blue-naped Parrot (Tanygnathus lucionensis), Pied Imperial Pigoen (Ducula bicolor), Nicobar Pigeon (Caleonas nicobarica), Golden Pheasant (Chrysolophus pictus), Spotted Imperial Pigeon (Ducula carola), Lady Amherst Pheasant (Chrysolophus amherstiae), Blacked-chinned Fruit Dove (Ptilinopus leclancheri), True Silver Pheasant (Lophura nycthemera), Mindanao Rofous Hornbill (Buceros hydrocorax mindanensis), Visayan Hornbill (Penelopide panini ), and lastly the African Ostrich (Struthio camelius) which I liked the most because of its beautiful eyes and long eyelashes. Ostrich is also the largest and fastest living bird. It is a two-toed fast-running bird with a long bare neck, small head, and fluffy dropping feathers. But sad to say, it cannot fly. The third and last animal I visited were the reptiles. Reptiles are animals with tough, dry skin covered with horny scales. Reptiles are vertebrates – animals with backbone. They share characteristics common to other vertebrates – fish, amphibians, birds, and mammals. But reptiles display a unique combination of characteristics that distinguishes them from other vertebrates. Like amphibians, modern reptiles are cold-blooded, or ectothermic. This means that they are unable to produce their own body heat, so they rely on the sun for body warmth, and much of their behavior is directed toward regulating their body temperature. Some of the most widespread living reptiles are turtles, lizards, snakes, crocodiles, and alligators. The park only exhibit crocodiles among the class reptilian. They have the Saltwater Crocodile (Crocodylus porosus), and the Philippine Crocodile (Crocodylus mindorensis). The Bukidnon Deer Park and Wildlife Center helped for the maintenance of these wild animals that are near to endangerment and they also hatch eggs and do breeding for these animals to survive in this cruel world. This is very important so that our next generation can still see this wonderful creatures and gain knowledge at them.

Modification of the 4-Quinolone Scaffold

Modification of the 4-Quinolone Scaffold Discovery: Quinolones are antibacterial agents that are of major importance in the antibacterial field as the can act as the model antibiotic. This is due to their broad range of activity, the high potency and good bioavailability with both intravenous and oral administration possible. This is coupled with high serum levels and a distribution within tissues that specifies concentration levels and results in, theoretically, few occurrences of unwanted side effects.1 The timeline for the development of this class of antibacterial agents begins with the isolation of the bactericidal naphthyridine, nalidixic acid, in the 1960s by George Lesher as the first synthetic quinolone antibiotic. Nalidixic acid is illustrated in Figure 1 below and is a by-product that was isolated from a chloroquine synthesis.2 Figure 1: Nalidixic Acid The clinical use for naldixic acid was to treat urinary tract infections (UTIs) caused by gram negative organisms. The successive generations of quinolones had activity against both gram negative and gram positive bacteria as well as anaerobic bacteria. This development lead to fluoroquinolones which are latest in quinolone antimicrobials. The clinical uses for the quinolones today include respiratory tract infections, bacterial meningitis and gastrointestinal infections as well as the historical use of treating UTIs. The development of fluoroquinolones resulted in a more extended spectrum of activity and improved pharmacokinetics then the first generation of quinolones.3,4 Structure: The general quinolone class of molecules is comprised of 4-quinolone and 1,8-napthyridine ring structures. The naphthyridine ring structures differ slightly from the 4-quinolone core due to the presence of two nitrogen atoms in the rings of the molecule (Figure 2). The substituents R5, R6, R7 and R1 were added to improve the activity of the quinolone core before the development of highly potent fluoroquinolones.1 Figure 2: General Structure of 4-Quinolones The first fluoroquinolone to be developed was Flumequine; illustrated in Figure 3. It had a fluoro-group at the 6 position and was the first compound to show that modifications of the quinolone core could results in improved activity against the gram-positive bacteria that nalidixic acid had no effect on.1 Figure 3: The first fluoroquinolone- Flumequine Mechanism of Action: Inhibition of bacterial DNA gyrase (topoisomerase II) and topoisomerase IV is achieved by quinolones. These enzymes play a vital role in the uncoiling of DNA. DNA gyrase acts as the target in gram negative microbes and topoisomerase IV as the target in gram positive microbes for quinolone activity. The widely-accepted mechanism of action is that quinolones bind to complexes, formed between DNA and one of the enzymes, to generate a Quinolone-DNA-Enzyme complex that inhibits DNA replication. The binding of quinolones and topoisomerase is enabled by a water-metal ion bridge. The inhibition is bacteriostatic as replication is reversible.   Eventually apoptosis occurs due to the fragmentation of the DNA ends of the complex. This results in bactericidal inhibition. The most common form of resistance to the quinolones is due to specific mutations in the topoisomerase II and IV that interfere with the water-metal ion bridge interaction.2,3 Development: Quinolones are grouped into generations depending the activity of the molecules. The first generation showed activity against gram negative bacteria that caused UTIs. The second generation showed enhanced activity against gram negative bacteria and improved activity against gram positive. This enabled the list of conditions that quinolones could treat to expand. This generation displayed improved pharmacokinetics; due to the use of a C7-piperdinyl substituent. The third generation provided improvement in efficacy in inhibiting gram positive and anaerobic pathogens. 3,5 The fourth generation of drugs observed dramatically increased activity against DNA gyrase and gram positive microbes, improved pharmacokinetics and pharmacodynamics. The major changes were the addition the fluoro-group at the C-6 position and a ring substituent at C-7. Norfloxacin (1), second generation, was the first broad spectrum quinolone with ciprofloxacin (2) the first quinolone to have activity observed beyond the treatment of UTIs.2 Currently, Garenoxacin (3), fourth generation, is of interest due to its distinct carbon-carbon bond at position C7 and its broad spectrum of activity.3 Figure 4:Generations of quinolone drugs. Three modified quinolone cores have acted as templates for drugs that are on the commercial market. The cores were 4-oxo-1,4-dihydroquinolone (4), 7-oxo-2,3-dihydro-7H-pyrido-[1,2,3-d,e]-1,4-benzoxazine (5) and 4-oxo-1,4-dihydro-[1,8]-naphthyridine (6). These selected cores are illustrated in Figure 5.3 Figure 5: Cores used as templates for commercial drugs Retrosynthesis: Scheme 1: Retrosynthesis of 4-Quinolone core6 A carbon-carbon disconnection between the ketone and the aromatic ring, the reverse would be a Friedel-Crafts reaction.   The double bond is opened and the hydroxyl group that is added is converted to a carbonyl group. The final disconnection, N-C, results in the starting materials; a keto ester and the substituted aniline. Synthesis: Several synthetic approaches have been taken to generate the 4-quinolone core. The Gerster-Hayakwa and Chu-Mitscher reactions are used specifically for the synthesis of the drug Levofloxacin. The Chu-Li route was established primarily for 9-cyclopropylpyrimidinones. The Gould-Jacobs reaction, Grohe-Heitzer cycloacylation and Conrad-Limpach-Knorr are appropriate methods of synthesising the generic 4-quinolone core.3 The Conrad-Limpach-Knorr synthesis will generate quinolones but this reaction will give different products depending of the whether it is kinetically or thermodynamically controlled. Aniline and 3-keto ester are mixed and at room temp the keto group joins the nitrogen of the aniline giving an enamino ester (kinetic product) and cyclisation at 250 °C results in a 4-quinolone. Thermodynamically controlling this reaction, by carrying it out at 140 °C, results in an amido-ketone dominating regardless of the less reactive ester on the keto ester being the centre of the first nucleophile attack. Ring closure results in a 2-quinolone.7 Scheme 2: Conrad-Limpach-Knorr Synthesis (kinetically controlled) As the substrate for the cyclisation needs to be the high-energy tautomer and cyclisation causes loss of aromaticity in the ring, solvents with high boiling points are generally used in this synthesis.8 The reactions are encouraged by electron-donating substituents in the aromatic ring including methoxy or amino groups. These give increased yields in the condensation and ring closure steps. A CF3 group can act as an acceptor at C-4.9 The short reaction sequence limits possibility of loss of yield. Rational Drug Design: Illustrated in Scheme 3 is the process of rational drug design. Computational screening is used to identify the target and generate the lead compound. This is modified considering the biological aspects, the 3D structure, the QSAR and reactivity of the compound. This generates a new lead which is optimised and put forward for preclinical trial. Scheme 3: Rational Drug Design Process10 Nilsen et al. used endochin as a lead for optimisation in a rational drug design study. The target selected was the multiple stages of the life cycle of malaria. Endochin is potent against malaria but is not active in vivo due to rapid and extensive metabolisation. Optimisation was required to form endochin-like quinolones (ELQ) that retained the activity of endochin but were biologically active. The aims for optimisation was to improve metabolic stability and aqueous solubility as well as eradicate cross-resistance.11 Figure 6: Structural Representation of Endochin The EQLs were synthesised by converting the quinolones to quinolines, followed by nucleophilic displacement. The quinoline undergoes Suzuki-Miyaura coupling with a boronic ester and finally the protecting group is removed (Scheme 4 A). An OCF3 group was also added to the side chain for further optimisation (Scheme 4 B). Scheme 4: Synthesis of ELQ An orally active class of quinolones were synthesised; 4(1H)-quinolone-3-diarylethers. The initial lead, ELQ-233 (Figure 7: ELQ-233Figure 7), displayed low nano-molar IC50 values. The optimisation step was to introduce an aryl group at C-3. A lipophilic diphenylether side chain was used as it had been previously reported as integral in other antimalarial drugs. This was to work with the methyl group at C-2 to cause out of plane movement of the sterically large aromatic ring, altering the à Ã¢â€š ¬Ãƒ ¢Ã‹â€ Ã¢â‚¬â„¢Ãƒ Ã¢â€š ¬ stacking from the numerous H-bonds. This variation would not be perused as ELQ-233 was equipotent to endochin. Figure 7: ELQ-233 Due to the success of adding a fluoro group to the quinolone, to further build on the optimisation of endochin, a fluorine was added at C-6 on a second optimised molecule (7) along with a methoxy group at C-7 (as is in the endochin structure); illustrated in Figure 8.11 The methoxy group is a useful substituent due to its lipophilic and hydrophilic components in close proximity. Figure 8: Illustration of Compound 7 However, both ELQ-233 and 7 were metabolically unstable and therefore did not fulfil the optimisation requirements. Table 1: Values obtained for the optimised molecules Compound cLogP EC50 (nm) Endochin 3.35 3.8 ELQ-233 3.70 8.4 7 3.73 40 8 5.66 2.2 Further derivatives were generated and the pattern that emerged indicated that the substitution pattern on the aromatic ring influenced the reactivity with malaria. This result led to the rational design of further ELQ derivatives. Straight-forward reactions were continued to be used. The boronic ester with a varying diarylether side chain undergoes palladium mediated coupling with the quinolone then a demethylation occurs using hydrobromic acid to give the desired product. Repositioning the OCF3 group to the side chain increased the efficacy and the metabolic stability. The compounds that was found to be metabolically stable and potent had a chloro-group at C-6 and OCH3 ­at C-7. Figure 9: Structural representation of compound 8 Although compound 8 was the most potent compound, the high logP value is a disadvantage as it does not follow Lipinskis Rule of Five which is the basis for most developed drugs. To improve solubility and allow for lower dosages of 8, bioisoteres of the side chain were employed. The OCF3 was replaced by CF, Cl and F by Nielson et al. and displayed subnanomolar activity. Other options would be to double the terminal OCF3 group, double the substituents on the diaryl side chain, convert the diphenyl ether side chain to a dipyridine ether side chain or replace a phenyl ring in the side chain with a cyclopropane group. Phenyl rings can be replaced by a heteroaromatic ring or a saturated ring to improve efficacy, lipophilicity and specificity of binding. The introduction of a pyridine ring should reduce the metabolism of the phenyl ring and toxicity of metabolites.12 In heterocycles, metabolism can be more complicated with hetero-atoms being oxidized and/or ring opening reactions possible- slowing metabolism. Cyclopropane was explored as derivative of the phenyl ring resulting in compounds with reduced molecular weights and lower lipophilicities. It also limits the conformations available and increase yields of ELQs.11 Scheme 5 below are the same coupling reactions that are stated by Nielson et al. but with the suggested changes to further improve the lea d. Caution must be taken when adding substituents to the side chain so that Lipinskis rule of five is obeyed; there must be no more than 5 hydrogen bond donors or 10 hydrogen bond acceptors and the molecule should be below 500 Da. Scheme 5: Suggested further optimised lead molecules Rational drug design is an advantageous modification method as it is a streamline process when compared with SAR or QSAR as there is no trial and error, all leads and derivatives are prepared having been predicted by computational means previously. The computational aspect allows for all compounds and potential targets to be envisaged in 3D before they are synthesized. This computed information is then stored on large databases which can assist future drug development work. Rational drug design can be an expensive technique as a specialized team is required with knowledge in biology, chemistry and computer science. Costs rise due to payment of wages for the team and the specialized equipment and computer software that is vital. Although the computational aspect of this method is beneficial it can also be a disadvantage as not all predicted compounds can be synthesized and if the compounds are synthesized they may not act as predicted when in vivo.   Specifically, in this ratio nal drug design study, the reactions utilised readily available reagents that were also inexpensive. They were straight-forward reactions that gave high yields and could be scaled up. These are vital as the cost of antimalarial drugs must be kept down so that all people can afford to access it.11 Structure-Activity Relationship (SAR): SAR studies examine how the structure of the molecule effects the activity. SAR considers structural characteristics and relates them the activity therefore it is necessary to have a well characterized database to compared the results against. The basic principle of SAR, that structure determines properties and reactivities in a biological system, is of importance when determining toxicological properties. This is of huge significance for quinolone development as they must be nontoxic in vivo while remaining bacteriosidal.13 Figure 10: Areas SAR Studies consider13 These studies examine which modifications are possible to the core ( Figure 11) and which substituents cannot be modified without negatively interfering with the activity and potency of the drug.   There can be qualitative and quantitative aspects to these studies. The quantitative considerations are part of a quantitative structure activity relationship (QSAR) which will be discussed later. Figure 11: Quinolone core positions for the SAR study Table 2: Important Positons on the Quinolone core-SAR Study results14 Position Influence On: Preferred substituent: Effect of substituent: 1 The pharmacokinetics and has control on overall potency. Cyclopropyl increase activity against gram negative microbes 5 Activity against gram-positive bacteria. NH2 and CH3 moiety improve activity against gram-positive bacteria 7 Spectrum of activity and pharmacokinetics. 5/6 membered N heterocycle (aminopyrrolidines and piperazines) Alkyl group Aminopyrrolidines: increase activity against gram-positive bacteria Piperazines: increase activity against gram-negative bacteria. Alkyl: enhance gram- positive potency and lengthen the serum half-life 8 Pharmacokinetics and specific activity on anaerobes. CF, CCl and COMe improve activity against anaerobic bacteria. alter specific interaction of the agent in vivo. SAR studies reveal that a hydrogen at R2 is preferred. Any larger moiety would likely cause steric hindrance with the adjacent carboxyl group at C-3 and the oxygen at C-4. These substituents are vital for activity as these positions are where binding to DNA bases occur before the sites are made available for other hydrogen bonding to proceed by DNA gyrase. A small molecule is best for potency at R6. This is usually a fluorine group in later generations of quinolones as it produces molecules of between 5 to 100 times greater potency that when a hydrogen is positioned at R6.14 Ciprofloxacin (Figure 12) is one of the original patented quinolone anti-bacterial agents. It is first generation as it has moderate activity towards gram negative bacteria, poor pharmacokinetics and poor bioavailability. Figure 12: Structural representation of Ciprofloxacin However, using the results of the SAR, Ciprofloxacin can be further optimized. Scheme 6 utilizes straight-forward reactions to attach an -NH2 moiety to the core at positon 5 where the SAR study indicates it has the greatest influence. Firstly, nitration of the aromatic ring occurs, followed by a reduction of the nitro group to an aniline with palladium on carbon. Scheme 6: Further optimisation based on SAR Study Results The new lead is still in agreement with the SAR results as the carboxyl and oxygen are present at C-3 and C-4 respectively. The preferred substituent as stated in Table 2 are also used throughout the reaction scheme; the piperazine is at position 7, the fluoro group at positon 6 and the cyclopropyl group at positon 1. These substituents can positively influence the spectrum of activity the potency and the overall pharmacokinetics of the molecule. The addition of extra hydrogen bond acceptors/donors must be limited so as not to disobey Lipinskis rule of five by having more than 5 hydrogen bond donors or 10 hydrogen bond acceptors. These reactions, like the rational drug design reactions, utilize readily available, generally inexpensive reagents which is important to keep the cost of the anti-malarial drug down. Palladium is an exception as it is a rare metal but cheaper alternatives could be used for this step such as Raney Nickel although this generates intermediates before the aniline is formed unlike the direct formation when the palladium catalyst is used.15 SAR studies can represent molecules as 2D, atoms and bonds, or 3D, steric effects and electrostatics. 3D is best for when the receipt-mediated mechanism is known. Successful SAR studies also need appropriate methods of analysis which depend on whether quantitative or qualitative analysis is being perused and if the mechanism is known. The ideal SAR model should have adequate molecules for fair statistical analysis, a wide range of activities and an even distribution of molecules in each compound class. This model is rarely found when toxicology is considered.13 Quantitative Structure-Activity Relationships (QSAR): The basic principle of QSAR is that similar molecules have adequate similar mechanistic elements so that a common rate-determining step is shared among them and that they have comparable energy requirements for activity. This principle is taken further and the assumption is that differences in reaction rates results in differences in activity or potency.13 Lipophilic, electronic and steric effects are considered in QSAR studies. QSAR provides an equation that quantifies the SAR and allows for predictions about which property has an important role in the distribution/ mechanism of the drug. Predictions cut down on the volume of analogues to be synthesised. Equations are only applicable to compounds of the same structural class. Outliers indicate when a feature is important and can produce new leads. The QSAR may not give accurate predictions as the parameters have covariance on each other; the predicted model may vary in vivo.6 Lipophilicity/Hydrophobicity: This can be considered as the lipophilicity of the molecule or the lipophilicity of the substituents attached. Partition Coefficient, P, is the parameter associated with the lipophilicity of the molecule and is measured by Equation 1. Equation 1: Representation of the lipophilicity parameter. Solvents chosen to represent the Central nervous system The activity of a molecule can be related to the P value as a molecule must be able to cross membranes and be transported through the body to its target site which is dependent on its lipophilicity. Varying substituents on the core can alter the P value in whichever direction is more beneficial for the activity of the molecule. From SAR studies increased quinolone activity occurs when a lipophilic substituent, such as a halogen, is attached at C-6. Simple reactions, including nitration and chlorination (Scheme 7), will add these substituents to the core, again using cheap and readily available reagents. In general, increasing lead hydrophobicity increases activity (Figure 13). This does not go to infinity as there is a point at which the lead is to hydrophobic to be transported in vivo.6 LogP should not be more than 5 per Lipinskis rule of 5; high enough to bind, low enough to be released. Scheme 7: Addition of lipophilic substituents to the quinolone core to alter the P value Figure 13: Linear relationship between biological activity 1/C and lipophilicity6 Electronics: This parameter can influence ionisation and polarity which alters how a drug passes through a membrane or how strongly it binds to a receptor. Hammett substitution constant (à Ã†â€™) is the measure of the electron withdrawing or donating ability for substituents on an aromatic ring. à Ã†â€™ affects the equilibrium and the value is dependent on induction/resonance effects and whether the substituent is para or meta directing. Ortho is not considered due to sterics.6 Table 3:Substituents that can alter the à Ã†â€™ parameter Electron Donating Group (para): Electron Withdrawing Group (meta): -NH2 -NO2 -OH -CONH2 Halogen -CN Generally, electron-withdrawing substituent, positive à Ã†â€™ values, increase activity (Table 3). Simple reactions like those illustrated in Scheme 7 are used to attach the à Ã†â€™-influencing substituents to the quinolone. Sterics: Drug molecules must approach and successfully bind to a receptor and the sterics of the molecule can alter this approach. Bulk can result in nonbinding as the drug is sterically hindered from approaching the target site. It can also limit the available conformations so that only the most efficient arrangement binds to the receptor. Table 4: Parameters for measurements of steric effects6 Measure of Steric Effect: Key Feature: Other Factors: Tafts Steric Factor (Es) Quantifies steric feature of substituents Limited to use on certain substituents Molar Refractivity (MR) Measures volume occupied by atom(s) Corrects for ease of polarisation. Verloop Steric Parameter Computer programme calculates steric values For use with any substituent Using the quinolone core, modifications can be made so that the sterics prevent rapid metabolisation of a drug molecule in vivo which will extend its half-life and lead to better activity. Binding the quinolone to a large side chain restricts it from binding to smaller sites which Nilsen et al. conclude lead to better selectivity.11 Scheme 8 illustrates the addition of bulky side chains that can give better selectivity as they will only approach the sites they fit into. Furthermore, the double bond linkage and aromatic rings restrict the conformation that the molecule can adopt, increasing selectivity. Bulky side chains can prevent rapid metabolism occurring. When adding bulk, caution must be taken to ensure the molecule stays below the recommended 500 Da. Scheme 8: Reactions to alter the sterics of a quinolone core16 3D-QSAR: 3D-QSAR considers the relative spatial arrangement of model compounds and aims to correlate the features across molecules that affect activity and are required for ligand binding. 3D-QSAR studies the geometry, pharmacophore and molecular field. Key assumptions of 3D-QSAR13: The model compound and not its metabolite cause the biological response. The studied conformation is bioactive. Solvent effects are not considered The system is in equilibrium All compounds bind in the same manner to the one target. 3D-QSAR puts compounds with common configurations in a 3D grid, calculates the interaction and tabulates the results. An equation is then created based on the relationship between the calculations and the reported values. This verifies QSAR results. Conformers are superimposed to display the common ligand-binding orientation to the receptor. Probe atoms calculate steric and electrostatic fields.13 3D-QSAR studies on 1,3,5-triazine, quinolone derivatives, determined less bulky groups on the heteroatom ring, more bulk on the aro

Tuesday, August 20, 2019

Psychoanalytical Criticism Essay -- Psychology, Freud, Lacan

Psychoanalytical criticism is a form of literary critique, which uses some of the techniques of psychoanalysis in the interpretation of literature. Lacanian critics examine psychoanalytic phases such as the Symbolic and apply this phase while interpreting literary texts. Lacanian critics also associate the literary work’s content to broader Lacanian concepts, such as the Phallic and the Other. The focus of this essay is to apply these psychoanalytical techniques while interpreting Lady Macbeth’s character in William Shakespeare’s play Macbeth. However, before I begin my argument, I feel that Lacan’s concepts of psychoanalytical theory need some introduction. One of the more prevalent psychoanalytical theorists since Freud was Jacques Lacan and I will use Lacan’s â€Å"The Agency of the Letter in the Unconscious or Reason since Freud† as a starting point to explain some of his concepts of psychoanalytical thought. First of all, Lacan created three different categories to explain the subject’s transformation from infant to adulthood, namely need, demand, and desire and labeled these three psychoanalytic orders, as the Imaginary, the Symbolic and the Real. Lacan claims that during the Symbolic stage the child is initiated to language, and the unconscious and repression appear in the psyche. The child now learns that words symbolize objects, and he must use language and not images in order to acquire what he desires (Richter1021). Within the Symbolic, there is metonymy which is a mode of symbolization in which one word or phrase is signified by another that is associated with the overall meaning (Richter 1046). A secondary element in Symbolic is â€Å"the discourse Other† (with a capital O). The concept of Other is not clear or simple sinc... ...ole. Because Lady Macbeth must adhere to the Lacanian concept of â€Å"having† the Phallus, her dialogue and actions are based on her abandoning her own desires to ensure that Macbeth’s desires are fulfilled. In this light, Shakespeare exposes the complex dynamics of gender and power through representation of a ruthless female character who reproduces the violent practices of masculinist order through the Other. Therefore, Lady Macbeth’s encouragement of Macbeth to commit regicide corresponds to the violent structure of the period. Although critics have labeled Lady Macbeth’s character as a source of evil within the play, I have shown that Lady Macbeth’s dialogue and actions find their brutal source in both the monarchical and gender construction of power already in place rather than in the primitive and naturalized axiom of female good versus evil.

Monday, August 19, 2019

Human Cloning - The Greatest Danger is Ignorance :: Cloning Argumentative Persuasive Argument

Human Cloning – The Greatest Danger is Ignorance The successful cloning of an adult sheep—in which the sheep's DNA was inserted into an unfertilized sheep egg to produce a lamb with identical DNA—generated an outpouring of ethical concerns. These concerns are not about Dolly, the now famous sheep, nor even about the considerable impact cloning may have on the animal breeding industry, but rather about the possibility of cloning humans. For the most part, however, the ethical concerns being raised are exaggerated and misplaced, because they are based on erroneous views about what genes are and what they can do. The danger, therefore, lies not in the power of the technology, but in the misunderstanding of its significance. Producing a clone of a human being would not amount to creating a "carbon copy"— an automaton of the sort familiar from science fiction. It would be more like producing a delayed identical twin. And just as identical twins are two separate people—biologically, psychologically, morally and legally, though not genetically—so a clone is a separate person from his or her non-contemporaneous twin. To think otherwise is to embrace a belief in genetic determinism—the view that genes determine everything about us, and that environmental factors or the random events in human development are utterly insignificant. The overwhelming consensus among geneticists is that genetic determinism is false. As geneticists have come to understand the ways in which genes operate, they have also become aware of the myriad ways in which the environment affects their "expression." The genetic contribution to the simplest physical traits, such as height and hair color, is significantly mediated by environmental factors. And the genetic contribution to the traits we value most deeply, from intelligence to compassion, is conceded by even the most enthusiastic genetic researchers to be limited and indirect. Indeed, we need only appeal to our ordinary experience with identical twins—that they are different people despite their similarities— to appreciate that genetic determinism is false. Furthermore, because of the extra steps involved, cloning will probably always be riskier—that is, less likely to result in a live birth—than in vitro fertilization (IVF) and embryo transfer. (It took more than 275 attempts before the researchers were able to obtain a successful sheep clone. While cloning methods may improve, we should note that even standard IVF techniques typically have a success rate of less than 20 percent.) So why would anyone go to the trouble of cloning? There are, of course, a few reasons people might go to the trouble, and so it's worth pondering what they think they might accomplish, and what sort of ethical

Sunday, August 18, 2019

Dell case Essay -- essays research papers

Case comprehension Dell Computer Corporation was founded in 1984 by Michel Dell, as a result of a growing demand for his pre-formatted hard-disks and upgraded IBM-compatibles. Within a year, Dell introduces its first own-design computer system and in 1989, the company introduces its first laptop. The first laptop introduced did not live up to the Dell standards, and was therefore taken off the market again. Dell had to solve the problem of balancing the production of laptops, desktops and servers. On the laptop market, which Dell was committed to re-enter due to its growing customer base, there were a number of technological problems. Dell had hired John Medica, lead developer of Apple computer’s Powerbook line, and according to him, only one of the laptops being developed would be able to compete on the market. However, it would take some time before it was fully developed, so Dell had to reject their customer’s demand for laptops. In doing so, Dell made the customers understand that it would not take forever. Dell’s way to approach the fact that the company was not able to fulfil the customers wishes, was through honesty. The question was whether this strategy was an advantage for Dell or not. The brand â€Å"Dell? which serves various consumer segments, is efficiently delivering attributes such as good quality computers along with operative support services. Dell takes position in direct communication with customers and delivers build-to-order computers. The value created by using the direct model to sell customized products and by providing on-site service ranked Dell between market leaders IMB, Compaq, HP. It represents good performance machines at a reasonable price as well as unique and distinctive â€Å"Direct Model? while targeting corporate, medium and small sized businesses and home office consumers. The advantage of a strong brand, investment in R&D and direct communication with the customers could successfully lead the company into the laptop market. However, the laptop market differs from the desktop market in a number of ways. For Dell the main problem will be the manufacturing process. When producing laptops, most parts will be delivered by suppliers and Dell just ads the last parts. This limits the degree of customization possible and since one of Dell’s most important distinguishing features is computer customization, the company risks not att... ... company’s desire to experiment without being afraid of taking risks that could bring failure as well. The IT industry is ever changing, and being innovative is a must if a company wishes to be successful. ?Weaknesses - The need to form market share in the laptop market from nothing. - Reentering the market causes further production costs (investments in new technology, new specialized employees, restructure assembly line and etc.). - Lower degree of customization that is possible for laptops and this in turn limits Dell’s ability to produce customized laptops which is its main feature of success. ?Opportunities - Company’s expansion to new market. - New potential customers and the need to redeem lost customers in terms of laptop production keeping in mind previous failure. - Possibility to take advantage in delivering products faster and providing service in competitively effective manner. ?Threats - Facing already well operating and widely spread competitors. - Other companies are adopting Dell’s direct model - Dell is losing its uniqueness. - The threat of rejection to buy Dell’s portables, because some former customers are prejudging Dell as producing low-quality laptops.

Saturday, August 17, 2019

Responsibilities of Business Organizations

With the rate at which technology is currently growing and the number of competitors available in markets also increasing, responsibilities by firms is obligatory. With all this, it is of great importance to observe issues relating to business ethics with a very keen eye. For businesses to be valued in terms of ethics, they must observe principles related to ethics. This value attached to business ethics can make a business boost its performance and achieve set objectives and goals (Donaldson & Werhane 34). Customers, employees and employer satisfactions will dictate the type of ethics to be followed in a business.The responsibility of acting ethically lies on the hands of each single person in the organization. Acting ethically means more than adhering to company rules, policies or laws. Everything done counts and constitutes of visibility concerns that must be held high. Some of the business’ responsibilities expected to be practiced include the following. Legal Systems It i s argued that the law binds the business to its ethics. Milton Friedman the view’s pioneer said that as long as businesses are faced with the obligation of making profits, all its activities should be inline with the country’s legal system.Friedman says that businesses should conform to core rules of both the country of operation and the ethics of the location where the business is located (Donaldson, & Werhane123) The legal system of a country ensure that firms are regulated from engaging in activities that can prove detrimental to the broader perspective of social good including its citizens and environment. It’s the responsibility of the firm to ensure that all these regulations are complied with as far as running its activities.This is despite the inability of government laws being unable to cover all perspectives of business operations. Business Practices and Priorities Businesses are expected to be responsible in performing their activities. This is becaus e the most crucial stakeholders of the firm dictate them to be. For instance it is the obligation of the business to carry out activities that are in agreement with their employees views. This is due to the benefits that accompany increased engagements and cooperation of employees. Other key stakeholders include customers, investors and consumers.The community of operation and regulators all require their needs to be satisfied by the corporations. It’s upon the organization to determine the degree of importance of each stakeholder and how to satisfy their different needs. Community Expectations It is the responsibility of the firm to work hand in hand with the local community. This in turn will prevent conflicts that are bound to take place when disagreements regarding some actions taken or not taken by one of the parties involved. The community will hold the corporation responsible for its actions.The community expects so much from the business and it’s of great impor tance if the firm fulfills this expectation. This can be in form of employment creation, participation in community activities and provision of better and improved living standard due to the other amenities attracted to the region. Education and Crisis Management It’s the responsibility of the organization to ensure that the society is educated regarding its operations. The society and the corporation should be able to work collectively with the society to tackle pressures that are taking place due to constant changes.If the company is involved in activities that can lead to crises, the duty of taking up cleaning measures lies on it. This is to avoid the effects that may result from the actions taken. The business has the responsibility of creating awareness to its customers and consumers regarding the side effects of their operations in the region and the products it’s selling. References Donaldson, Thomas& Patricia, Werhane. Ethical Issues in Business: A Philosophica l Approach. New Jersey: Pearson/Prentice Hall, 2008.

Friday, August 16, 2019

Posse Comitatus Act (1878) Essay

The Posse Comitatus Act is a United States federal law which had been passed on June 16, 1878 as an outcome of two sources, the first being the end of the Reconstruction Period. From the establishment of the Republic till the passing of the act in question it had been standard practice to position federal troops at polling spots in order to avoid inebriates from voting as well as to ascertain that those people who would be entering the polls were sanctioned to do so in a period of restricted suffrage. As the Civil War ended, those federal troops were positioned in the polls in order to assure that worldwide manhood suffrage was allowed, and also that no previous Confederate officers would be allowed to vote since all former Confederate officers were not allowed to vote nor to hold position above the state level and the end of the Civil War Reconstruction Period entails that implementation of the said restrictions are no longer needed (Price, and Rectenwald, 2007).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The second reason came from the terms on the western frontier in that fort commanders were usually the solitary law and order in a district, the solitary security for pioneers who are on the move to the west. The majority of these frontiers was still beyond the United States proper, and had not been allowed in the statehood. Fort commanders then started to put into effect civilian law enforcement accountabilities, at times in a random manner, to stalk those people they regard as criminals or Indians who are dangerous for the early settlers. The line of reasoning being that criminality and Indian assaults took place swiftly and necessitate swift action from those in powers who happens to be in the same location. They were also far away from Washington D.C. and thus the outcomes were at times infringements of the constitution and stipulations otherwise unsound to chosen civil authorities (Baker, 1999).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The Act then was passed to veto the army in civilian law enforcement the Act also represents the long-established American dogma of separating civilian from military authorities as well as to currently prohibit the use of Army and Air Forces in order to implement civilian laws. In the past 15 years, the Congress has intentionally worn down this belief by engaging the military in drug prohibition in the United States border. This particular attrition would carry on unless the Congress renovates the Posse Comitatus Act principle to protect the crucial and traditional separation and distinction of civilian and military officials (Isenberg, 2002).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The increasing swiftness with which the military is regarded as a universal remedy for domestic difficulties will promptly destabilize the Posse Comitatus Act if it continue as it is – unrestricted. Trivial exemptions to the Posse Comitatus Act could rapidly develop into major exemptions. For an instance, in 1981, Congress made an exemption to the Posse Comitatus Act to sanction military participation in drug outlawing in the United States borders, later on, in 1989, Congress assigned the Department of Defense as the â€Å"single lead agency† in drug banning endeavors.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The Posse Comitatus Act criminalizes, efficiently prohibiting, the utilization of Army or of the air Forces as a â€Å"posse comitatus† to implement the laws and regulations of US, it states: Whoever, except in cases and under circumstances expressly authorized by the Constitution or Act of Congress, willfully uses any part of the Army or Air Force as a posse comitatus or otherwise to execute the laws shall be fined under this title or imprisoned not more than two years, or both (Young, 2003).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   While a criminal law, the Posse Comitatus Act has a more significant function as a declaration of policy which represents the traditional American principle of the division among military and civilian authorities, which also happens o be one of the most vital guidelines of the United States form of government (Rossi, 2002).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Major as well as trivial exemptions to the Posse Comitatus Act which permit the utilization of the military in law implementation tasks, distort the line which separates the tasks of the civilians from the military officials, destabilize civilian jurisdiction of the military, injure military alacrity, and ineffectually solve the difficulties that they allegedly deals with (Rossi, 2002).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Moreover, amplifying the functions of the military would fortify the federal law implementation equipment which is at present, under close inspection for straining its power. While it appears to be kind, such augmentations in military influence renew the terror of past exceeds in limitations which occurred in the late 1960’s (Rossi, 2002).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   As was mentioned earlier, the Posses Comitatus Act of 1878 occurred as an immediate response to the escalating use of the military for tasks meant for civilians during the Reconstruction period. On numerous instances military troops were called upon to suppress civil commotions, to aid in creating governments in the southern states, as well as to implement civil laws and regulations. This topic came to a start when Rutherford Hayes came triumphant in the questionable presidential election which took place in 1876. Allegations were rapidly made that military troops which were sent to southern states acted as a posse comitatus (power of the people) for federal marshals at the polls played a role in giving the President the required vote he needed to win the election. In 1878, a Democrat controlled house of Representatives approved an army appropriations bill (20 Stat 145, 152) which hold language specifically banning the use of military troops as a posse comitatus, the act as a result, discarded the Mansfield Doctrine that military army could be put into use in civilian roles provided that they were subject to civilian laws and associated the use of the army with martial law. The things included in the said act basically, stayed unchanged save for the addendum of the Air Force in 1956 (70A Stat 626 (1956), however the Congress has made some developments to the some of the constitutional exemptions to the act (ex. 10 USC 331, 10 USC 332, and the like) (Young, 2003).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The Posse Comitatus act provided two situations in which the Act could be disregarded; when an exemption is specifically approved by the Constitution and when Congress specifically permitted an exemption. The first of the said stipulations has generated much perplexity in the use of the Act especially since the Constitution holds no condition specifically allowing the utilization of the army to implement the law of the land. Majority of the texts discussing the constitutional exemptions of the Posse Comitatus act centers on the clash between the indirect and intrinsic constitutional influence and control of the President. This is mainly because the President also happens to be the Commander-in-Chief of the armed forces (Baker, 1999).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The next condition which permits the exemptions to the Posse Comitatus act is Congressional approval, and it has been put into use in two ways. First is by providing a division of the armed services with civilian law enforcement capacities, and second by setting up rules for detailed kinds of aid, on so doing, modifying explicit constitutional exemptions to correspond to particular situations (Baker, 1999).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In the 1st case Congress has specifically allowed the coast guard to execute law enforcement tasks during peacetime, most particularly of anti-drug laws (14 USC 2) which had also been mentioned earlier in this paper. During wartimes power for the Coast Guard passes on from the Department of Transportation to the Navy, yet under the constitutional exemptions made by Congress the Coast Guard could still perform its law enforcement tasks, it should also be taken into account that the Navy and Marine corps have been subjected to the Act in question by DoD Directive 5525.5 (1986, as amended in 1989) as well as by Secretary of the Instruction (SECNAVINST) 5820.7B (1988) (Isenberg, 2002).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Secondly, congress has passed several sections of legislation allowing the use of the army backing and apparatus in helping civilian law enforcement (10 USC 371-82), majority of this legislation was derived in 1981 following the state of affairs in the â€Å"Wounded Knee†.   These state of affairs stalked from the 1973 occupation of a facility on the Pine Ridge Reservation in South Dakota, and the following blockade, capture, and hearing of the American Indian Movement, throughout the course of the blockade the federal civilian law enforcement officials made widespread use of information, personnel, and apparatus offered by the army. The support offered by the army eventually resulted to the weakening of the indictments against those people who had been seized, and it became apparent that Congress have to deal with the necessity for constitutional prohibitions to the original act, in addition to the legal exemptions regarding offering civil law enforcement with help at times of civil disturbance (10 USC 331, 10 USC 332). The guidelines spread under the decrees offer for the conservation of federal possessions and government roles, and permits the use of army in state of emergency when civil officials are incapable to control the state of affairs, further legislation has been passed including situations when nuclear materials is involved in the emergency (Young, 2003).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   It may seem that the Posse Comitatus Act 1878 represents the principle of the explicit division between the army and civilian forces, a tenet which had been a fundamental constituent of the US history. However, it is fascinating to take into notice that one has ever been found guilty with infringement of 18 USC 1385, and as could be seen in the first part of this paper, Congress is quick in making exemptions for the sudden intrusion of the army (most notable of which is the campaign against drugs) and this constant use of the army as well as the Congress amendment of the Act to use the military had been constant source of controversy up to this point in time. Works Cited Baker, Bonnie. â€Å"The Origins of the Posse Comitatus.† (1999) December 8, 2007   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   . Isenberg, David. â€Å"Posse Comitatus.† (2002) December 8, 2007   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   . Price, Lori R., and Michael D. Rectenwald. â€Å"The Posse Comitatus Act of 1878.† (2007)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   December 8, 2007 Rossi, C. T. â€Å"The Posse Comitatus Act: Can We Maintain American Freedom Without It?†   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   (2002) December 8, 2007 http://www.enterstageright.com/>. Young, Stephen. â€Å"The Posse Comitatus Act.† (2003) December 8, 2007 .

Thursday, August 15, 2019

Reading Development Essay

As literate persons, we all know something about reading, writing, and literacy. In fact, our understanding of what literacy is varies widely. Jeanne Chall concluded in Learning to Read: the Great Debate (1983), that children get a better start in reading if they are taught phonics because they break the code that links what they hear with what they see in print. Harvard Professor Jeanne Chall has outlined the stages of reading development that begin at preschool age and continue until university age. The stages of reading development explains how students’ progress as readers. Chall’s proposed scheme for reading stages includes six stages with the purpose of understanding the path of reading development from pretend reading to advance reading. The basic philosophy is that children learn to read as a developmental process; also advocating for the use of both phonics and exposure to challenging literature as the best method of teaching young children to read. Her approach encompasses the development of decoding, comprehension, and critical evaluation. Chall considers that her proposed stages of reading development resemble Piaget’s stages of cognitive and language development (Chall 1996). Accordingly, the methodology used to implement the theory entails the following. Each reading stage has a definite structure and varies from the other stages in characteristic qualitative ways. Each stage follows a hierarchical progression. Chall believes that individuals progress through the reading stages by interacting with their environments and that this interaction affects the individual’s reading development as much as the progression of the distinct stages (Chall, 1996, p. 11). Chall’s six reading developmental stages that describe how children typically learn to read. According to Chall (1996), students proceed through predictable stages of learning to read to becoming a proficient reader. During the pre-reading stage up until about six years old, learners begin to control language. By the time the learner reach kindergarten, he should have some print knowledge and vocabularies of about 6, 000 words. Many children at this stage know how to write their names. In stage 1, the learners develop a sense of alphabetic principle and utilize new sound-spelling relationships. The learner at this stage is more likely to be given reading materials easy to understand texts and that contains simple reading texts. Through Grades 2 and 3, the learner is at the second stage where he develops decoding skills, fluency and additional strategies in reading texts. At stage 3, the learner encounter wide varieties of texts and context, and all the reading demands that accompany these experiences. They extend on background experiences and strategic habits in reading. At stage 4 to 5, though high school and college, the language and intellectual demands of reader increase. They can analyze texts critically and they construct their own individual uses of reading based on analysis and synthesis. The age and grade conditions for the different stage may vary as the child’s culture and environment plays a part in how fast they progress. Therefore, individuals progress through the reading stages at different rates. How fast they advance depends upon the interaction between individual (biological, motivational, cognitive) and environmental (home, school, community) factors. The characteristics and descriptions given for the different stages serve primarily as models, presented to covey how reading develops, and changes. There are many ways to bring about the same results in reading. For instance, there are many procedures in teaching beginning reading from letters and sound to words to stories. Yet designed to accomplish the major beginning reading task of decoding. A person’s progress through the stages is not a straight upward path. At any reading stage, the individual’s performance also depends on the difficulty of the task. If the task is new and no additional instruction is received, the reader may temporarily drop to a lower level. For example, a child who has learned to decode familiar text (Stage 2) will start â€Å"guessing† when material is too difficult. The text may contain many words that needed to be decoded, too many that are not recognized immediately, and too many unknown meanings. According to the proposed reading stages, the table below shows each stage of reading development, what the child is learning, types of activities and the materials a child will be using.

Animal Farm and Lord of the Flies

The two novels, Animal Farm by George Orwell and Lord of the Flies by William Golding were both written over 50 years ago, meaning there is much to be said about both. All you have to do is type in the name of each of the novels into Google and out pops tonnes of information about each. If someone were to research enough of the two books they would be able to see that they are quite similar in plot and themes. Both books take a look at a newly built society which is slowly destroyed by the characters or people within them.The concept of one having power over the rest is what corrupts the societies and ends in death and adversity for all others within the society. The authors both use their characters in the novels to portray what society might be like in that type of situation and use their actions to demonstrate how it can fall apart if the correct steps are not taken to maintain a functioning society. Therefore, both authors show how power can corrupt a society and create great har dship for the people ruled through its stimulating characters and their fraught actions.The main characters in both of the books are the ones who ultimately cause the societies to crumble. In Animal Farm George Orwell uses pigs to satire the leadership of Joseph Stalin and Leon Trotsky and how they manipulated their people into thinking what they are doing is right (NovelGuide). The pigs led a revolution on the farm owner to take the farm and leave it in the hands of all of the animals, instead of man. They stated that the farm would be run by the animals with no rules other then that to never act like a human (Orwell).Twelve voices were shouting in anger, and they were all alike. No question, now, what had happened to the faces of the pigs. The creatures outside looked from pig to man, and from man to pig, and from pig to man again; but already it was impossible to say which was which (Orwell 88). At the start of the revolution, there was no clear ‘leader’ of the anima ls and they did as they pleased, however the much smarter pigs started changing some of the rules that were set forth to make sure none of the animals would behave the way the humans had.The much smarter pigs took advantage of all of the other animals and started changing rules, giving them increasingly more power over the group. In the end, the power hungry pigs ended up becoming exactly what they set out to destroy, humans. The result of this corruption of power ended with a couple animals dying and others working night and day endlessly. In the novel Lord of the Flies author William Golding uses children lost on a deserted island to represent a newly formed society.Two boys choose to take different approaches to surviving on the island and running the rest of the group, so they split up into their own little societies. Jack, one of the leaders chooses a more violent role of surviving; he disagrees with the methods of Ralph (the other leader) and takes command of most of the boys (Golding). Jack began his adventure on the island as a normal boy just like any of the others, however after he was elected into power by all of his friends, it quickly got to his head. â€Å"I agree with Ralph. We've got to have rules and obey them.After all, we're not savages. We're English, and the English are best at everything. So we've got to do the right things† (Golding 42). The power which is corrupting Jack causes him to do many things no person would think of doing while trying to survive (Bookrags). In the end, Jack’s power ended in the deaths of two boys and the utter destruction of an island. All in all, power was what lead the main characters in each of the novels to corrupt a society they had longed to be apart of, leading to deaths of others and the hardship of the rest.Both the pigs and Jack used manipulation and their power to control the others in their respective societies. Within Animal Farm the pigs used their smarts to out wit and manipulate the others into giving them power over the rest. When the revolution first happened, the animals established ‘The Seven Commandments’ which consisted of rules preventing any animal from acting like a human (Golding). Over time the farm animals grew suspicious of the pigs actions and reverted back to ‘The Seven Commandments’, which was no use since the pigs were the only ones that could read, and they changed the rules in their favour.‘It says, â€Å"No animal shall sleep in a bed with sheets†,’ she announced finally. Curiously enough, Clover had not remembered that the Fourth Commandment mentioned sheets; but as it was there on the wall, it must have done so (Orwell 42). Over time the pigs became more and more like the humans, and with no questions asked as well since none of the animals understood what the pigs were up too. The pigs used the saying â€Å"Four legs good, two legs bad† to justify most of their actions to the less inte lligent animals (NeoEnglishSystem). The pigs rise to power andthe corruption of the animal farm was aided by the smarts the pigs possessed over the other less clever animals. In Lord of the Flies, main character Jack uses persuasion and other un-ethical tactics to recruit other children into joining his ‘group’. Some of these tactics include threatening and bribing the others in order for him to gain power over the majority of the kids on the island (Bookrags). Jack’s methods of gaining the majority of the boys on the island results in him having complete power of what goes on, on the island.â€Å"Kill the beast! Cut his throat! Spill his blood! † (Golding 168). Jack orders an attack on the so called ‘monster’ that is living on the island with them. Without second guessing him, his tribe attacks the ‘monster’ which turns out to be one of the boys. All in all, the corruption of the others in the society by the leaders using manipul ation and other methods to gain power is what leads to the ultimate demolition of the two novels societies.Due to their mad hunt for power and the means they went through to achieve it, the pigs and Jack had a bunch of repercussions for their actions against their respective societies. The pigs used their brains as a way to gain power and control of their group of animals, however by doing this it resulted in the deaths of a couple of the animals as well as the expulsion of one of the other pigs (Orwell). About half the animals on the farm rushed out to the knoll where the windmill stood. There lay Boxer, between the shafts of the cart, his neck stretched out, unable to even raise his head.His eyes were glazed, his sides matted with sweat. A thin stream of blood had trickled out of his mouth (Orwell 74). Even though the pigs are the ones that organized the revolution on the humans, they ended up becoming what they had feared. They over worked the other farm animals and made them thi nk it was all for a better cause (NeoEnglishSystem). Lord of the Flies’ main character Jack also had major repercussions for his actions. Jack did not put him self in the leadership role, he was chosen by Ralph to help him run the group of boys.Things quickly got out of hand for Jack and he soon wanted to lead all of the boys by himself instead of with Ralph. Jack’s actions to get into power are what corrupted the small society of boys and those actions came with the repercussions of death for two of the boys and the near death experience for another. If anyone peered under the bushes and chanced to glimpse human flesh it might be sameric who would pretend not to see and say nothing. He laid his cheek against the chocolate coloured earth, licked his dry lips and closed his eyes.Under the thicket, the earth was vibrating very slightly; or perhaps there was a sound beneath the obvious thunder of the fire and scribbled ululations that was too low to hear (Golding 220). Ja ck told his tribe that they needed to kill Ralph and the only way to find him was to burn the jungle down. Ralph ran for his life away from the blood thirsty tribe of children and the fire (Cliffnotes). Jack’s actions to gain power have dire repercussions for the two boys who ended up dying and Ralph who was chased and nearly killed if he had not ran into a Naval Officer.All in all, the actions of the main characters who attempted to gain power over the others in the society were what eventually lead to the corruption of both societies. In conclusion, both William Golding and George Orwell do an amazing job of demonstrating how power can corrupt a society by using their characters in their novels. Both of the novels give the reader an insightful look at how society might be if the leaders of our countries grew corrupt with the power that they held over the rest of society.

Wednesday, August 14, 2019

The Devil in Disguise: Comparing and Contrasting the Devil Figure

The Devil in Disguise â€Å"Even before he reached me, I recognized the aroma baking up from the skin under the suit–the smell of burned matches. The smell of sulfur. The man in the black suit was the Devil. † (King) A common theme among depictions of The Devil is that of unusual physical attributes. The Devil is depicted in three different stories (Joyce Carol Oates’ ‘Where Are You Going, Where Have You Been? ’, Nathaniel Hawthorne’s ‘Young Goodman Brown’, and Steven King’s ‘The Man In The Black Suit’) in three different ways, yet each description bares remarkable similarities in some aspects to the next.Themes common to the devil are that of his physical appearance or how he presents himself, his apparent supernatural powers or attributes, and his victimology. In ‘The Man in the Black Suit’ the most striking thing, at first glance, about the man is that his eyes were â€Å"an orange that shifted and flickered. † (King). He is dressed in an all black suit, a solemn, dark, ominous color, and he was pale. He smelled like sulfur. Similarly, the Devil figure in ‘Young Goodman Brown’ appears to Goodman Brown as a traveler, â€Å"dressed in grave and decent attire. (Hawthorne) Note the connotation of the word grave (solemn). Adversely, in ‘Where Are You Going, Where Have You Been? ’ (Oates) the devil takes the shape of Arnold Friend, a typical, or so it seems, teenage boy. The supernatural attributes of the devil vary, for the most part, from story to story. In the ‘Man in the Black Suit’ he can kill by clapping his hands, and his very shadow causes â€Å"the grass beneath it to turn yellow and die. (King) The Devil in ’Young Goodman Brown’ has a magical staff, â€Å"which bore the likeness of a great black snake, so curiously wrought, that it might almost be seen to twist and wriggle itself like a living serpent. â₠¬  (Hawthorne) However there is one supernatural ability that holds universal for all three stories. In each the devil figure has a certain omniscient air. â€Å"And yet, though the elder person was as simply clad as the younger, and as simple in manner too, he had an indescribable air of one who knew the world, and would not have felt abashed at the governor's dinner-table, or in King William's court†¦ (Hawthorne) â€Å"’But I know what it is. I know your name and all about you, lots of things,† Arnold Friend said. He had not moved yet but stood still leaning back against the side of his jalopy. â€Å"I took a special interest in you, such a pretty girl, and found out all about you—like I know your parents and sister are gone somewheres and I know where and how long they’re going to be gone, and I know who you were with last night, and your best girl friend’s name is Betty. Right? † (Oates) This quote shows that he knows everything a bout Connie. In ‘The Man in the Black Suit’ The Devil knows all about Gary and his family. He knows how Gary’s brother died. He knows why he died. Another thing that is universal in these depictions is the Devil’s victimology. In each story, his victim is young, naive, and inexperienced. Gary is only nine years old. A nine-year-old is very gullible and easy to take advantage of. Young Goodman Brown is also naive at least in his belief that all men and women are what they appear to be.Connie is a young, inexperienced, teenage girl. The devil can appear in any shape or form. He has been personified throughout history in literary works such as in Joyce Carol Oates’ ‘Where Are You Going, Where Have You Been? ’, Nathaniel Hawthorne’s ‘Young Goodman Brown’, and Steven King’s ‘The Man In The Black Suit’. In each he has been portrayed differently, yet similarly in several key points: his appearance, his s upernatural abilities, and his victimology.