Monday, September 30, 2019

Dr. Jose Rizal Essay

Every Filipino should know the national hero’s life, his youth, his brilliant works, as well as his love life, and the role he played in the Philippine Revolution. Every Filipino should know his dreams and aspiration for his country and for his fellowmen and the magnitude and intensity of his love for the land of his birth. Filipino should know how he suffered, endured, and died. Activity 1 : You are required to read the Rizal’s Life, Works and Writings in order to answer the following questions: Instruction : Give the important events and incidents happens on the following topics briefly and concise. 1. Jose Rizal’s Birth & Early Childhood a. The birth – June 19, 1861, Calamba, Laguna Philippines. b. Parents – Francisco Engracio Rizal Mercado y Alejandro II and Teodora Morales Alonzo Realonda y Quintos. c. Children – SATURNINA RIZAL, PACIANO RIZAL, NARCISA RIZAL, OLYMPIA RIZAL, LUCIA RIZAL, MARIA RIZAL, JOSE RIZAL, CONCEPCION RIZAL, JOSEFA RIZAL, TRINIDAD RIZAL, SOLEDAD RIZAL. d. Family – FRANCISCO MERCADO and TEODORA ALONSO Childhood – Jose Rizal was born to the wealthy Mercado-Rizal family in Calamba, Laguna of the Philippines. The Mercado-Rizals were considered one of the most prestigious Filipino families during their time. Jose Rizal came from the 13-member family consisting of his parents, Francisco Mercado II and Teodora Alonso Realonda, and nine sisters and one brother. His parents were leaseholders of a hacienda and an accompanying rice farm by theDominicans. From an early age, Jose Rizal Mercado showed a precocious intellect. He learned the alphabet from his mother at 3, and could read and write at age 5. 2. Early Education a. Education in Bià ±an – Rizal had his early education in Calamba and Bià ±an. It was a typical schooling that a son of an ilustrado family received during his time, characterized by the four R’s- reading, writing, arithmetic, and religion. Instruction was rigid and strict. Knowledge was forced into the minds of the pupils by means of the tedious memory method aided by the teacher’s whip. Despite the defects of the Spanish system of elementary education, Rizal was able to acquire the necessary instruction preparatory for college work in Manila. It may be said that Rizal, who was born a physical weakling, rose to become an intellectual giant not because of, but rather in spite of, the outmoded and backward system of instruction obtaining in the Philippines during the last decades of Spanish regime. b. Gomburza Execution – Night of January 20, 1872, about 200 filipino soldiers and workmen of the Cavite arsenal under the leadership of Lamadrid. Filipino sergeant , rose in violent mutinity because of the abolition of their usual privilege. Father Mariano Gomez, Jose Burgos and Jacinto Zamora were executed at sunrise of February 17, 1872 by order of governor General Izquierdo. c. The martyrdom of Gom-Bue-za truky insoured Rizal to fight the evils of Spanish tyranny and redeem his oppressed people. Rizal dedicted his second novel, EL Filibusterismo d. Mother’s Imprisonment – Some days after my return to Kalamba, my parents decided that I should remain, and that later I should go to Manila. I wanted to study with a teacher of the town, even though I could learn no more than multiplication, so I entered the village school. At this time, an uncle of mine, Don Josà © Alberto, returned from Europe. He found that, during his absence, his wife had left his home and abandoned her children. The poor man anxiously sought his wife and, at my mother’s earnest request, he took her back. They went to live in Bià ±an. Only a few days later the ungrateful woman plotted with a Guardia Civil officer who was a friend of ours. She accused her husband of poisoning her and charged that my mother was an accomplice. On this charge, the alcalde sent my mother to prison. I do not like to tell of the deep grief which we all, nine sisters and brothers, felt. Our mother’s arrest, we knew, was  unjust. The men who arrested her pretended to be friends and had often been our guests. Ever since then, child though I was, I have distrusted friendship. We learned later that our mother, away from us all and along in years, was ill. From the first, the alcalde believed the accusation. He was unfair in every way and treated my mother rudely, even brutally. Finally, he persuaded her to confess to what they wised by promising to set her free and to let her see her children. What mother could resist that? What mother would not sacrifice life itself for her children? hey terrified and deceived my mother, as they would have any other mother. They threatened to condemn her if she did not say what they wished. She submitted to the will of her enemies and lost her spirit. The case became involved until the same alcalde asked pardon for her. But this was only when the matter was before the Supreme Court. He asked for the pardon because he was sorry for what he had done. Such was his meanness that I felt afraid of him. Attorneys Francisco de Marcaida and Manuel Masigan, Manila’s leading lawyers, defended my mother and they finally succeeded in having her acquitted. They proved her innocence to the judges, her accusers and her hosts of enemies. But after how much delay ? — After two and a half years. e. Studies at Ateneo de Manila – To enter the Ateneo a candidate was subjected to an entrance examination on Christian doctrine, reading, writing, grammar, and elementary arithmetic. Jose did not take his entrance examinations Jose did not remain in Manila but returned first to his town to celebrate the fiesta of its patron saint; it was then that his father changed his mind and decided to send him to the Ateneo instead. f. Jesuit Education System – The Jesuits were considered the best educators of Spain, and perhaps of Europe, and so, when they were permitted to return to the Philippines, although their power to administer parishes was restricted except in the remote regions of Mindanao, the privilege of founding colleges, they had to apply to the City of Manila for subsidies. That is why the college which began to function in the year 1865, was called the Ateneo Municipal. g. Studies in Ateneo de Manila 1. 1st year – From the first days Jose learned to systematize his work; he  fixed a program of what he had to do in the twenty-four hours of the day and did not in the least deviate from it. Thus he disciplined his will and subjected it to the commands of his reason. As a newcomer, Jose was at first put at the tail of the class, but he was soon promoted and kept on being promoted so that at the end of one month he had attained to the rank of Emperor. At the end of the term he obtained marks of excellent in all the subjects and in the examinations. He had reason to feel proud of his advancement; and so when he went home on vacation that year, he ran alone to see his mother in the prison and tell her the happy news. He must have uttered this exclamation on learning from his mother that they had played her a mean trick. The judge, who was a blind partisan of the friars having been a domestic of theirs, told her that if she confessed her culpability he would release her at once. With the desire to see her children again, she pleaded guilty; but the judge, instead of releasing her, convicted her. In a few months the judge asked her forgiveness for what he had done because according to him his conscience hurt him, but the case had no remedy because it was already on appeal. 2. 2nd year – The second year, Jose had the same professor as in the previous year; but instead of lodging outside the City, he resided at No. 6 Calle Magallanes. At the end of the term he obtained a medal, and upon returning to his town, he again visited his mother in jail alone. This was three months before her release. 3. 3rd year – The rejoicing that her release produced in his spirit had much influence on the result of his studies in the third year, for he began to win prizes in the quarterly examinations. About that time he devoted himself to reading novels, and one of those he enjoyed most was Dumas’ (father) The Count of Monte Cristo. The sufferings of the hero of the twelve years. He also asked his father to buy him a copy of The Universal History by Cesar Cantanu, and according to himself he profited much from its perusal. 4. 4th year and last year – The family, who saw in Jose great aptitude for study, decided to place him as intern or boarding student in the college the following year. In the corner of the  dormitory facing the sea and the pier Jose passed his two years of internship. In the fourth year of his course he had Fr. Francisco Sanchez as professor. Jose describes him as a model of rectitude, a solicitude, and love for the student, and his studied mathematics, rhetoric, and Greek, and he must have progressed much, for at the end of the year he-obtained five medals, which pleased him immensely because with them I could repay my father somewhat for his sacrifices. His aptitude for poetry revealed itself early, and from that time on he did not cease to cultivate it. 3. Secret Mission a. Travel for Spain – The departure of Jose Rizal for Spain was kept secret from Spanish authorities, friars and even to his parents especially to his mother because she would not allow him to go. Only handful of family members and trusted family friends were informed. In order to avoid detection, he used the name Jose Mercado, name of his cousin in Calamba. Before his departure, he scribbled farewell letters to his parents and his sweetheart Leonor Rivera. b. Life in Madrid – Avoid detection by the Spanish authorities and the friars, His parents did not know because he knew, they would not allow him to go. The kind Jesuit priests letter of recommendation to the members of their Society in Barcelona. c. Travel in Europe 1. Paris – During his first summer vacation in Madrid, rizal went to Paris, gay capital of France. The prices of food, drinks, theatre, tickets, laundry, hotel and transportation were too high. Leannec Hospital where rizal observed the Dr. Nicaise treating his patients. Larboisiere Hospital where Rizal observed the eamination of different diseases of women. On march 1883 Rizal joined the Masonic Lodge called Acacia in Madrid. 2. Heidelberg – February 1, 1886 Rizal reluctantly left gay Paris for Germany. 3. February 3, 1886 Rizal arrived in Heidelberg, a historic city in Germany famous for its old university and romantic surroundings. Chess Player’s Club wherein the students made Rizal as a member because of being a good Chess player Dr.  Otto Becker distinguished German ophthalmologist where Rizal worked – University Eye Hospital. April 22, 1886 Rizal wrote a fine poem: â€Å" A Las Flores de Heidelberg â€Å"

Sunday, September 29, 2019

Discuss Concepts of Attachment in Human Development

Discuss concepts of attachment in human development. What implications does this have for a society in which the majority of Mothers are employed outside the home? Attachment is the bond and affection created by two people. It is a need developed in human beings since we are born to feel secure and safe. According to Bowlby, this theory is an emotion connection human beings generate when they are born where they get emotionally associated to caregivers, normally the mother, creating to an emotional reaction when this connection of attachment is in danger or gone. (Worden 1991) Lasing psychological connectedness between human beings† The caregiver is giving to the baby an emotional security needed for the development of the baby. (Hospice Slo) This attachment between baby and caregiver can be partially replaced when the baby grows and gets involved for longer periods of time during the day with other human beings but it is very important to keep the infant close to the main care giver to improve child’s chance of survival. Birth involves changes and adjustments, pain and joy and new beginnings (Kubler-Ross 1981) Key Features of Bolby’s theory of Attachment. Monotropy: Babies are strongly attached to the caregiver who is normally the mother, and this attachment takes its form on the first year of life. -If attachment with the mother has not taken place by age 2, it will be almost impossible to adjust it, even after 6 months of the baby’s life; it would make it very difficult. -Secure attachment to the caregiver is very important for a future emotional, social and intellectual development. -Once attachment is created, if it gets interrupted it can led to massive consequences on social, intellectual and emotional development. Reciprocal: The attachment is form in a two way. -Critical period. Between 6 months and 2 years is most important period where the baby and the caregiver should be close to creating a bond. -Maternal deprivation. As B owlby describes it, it is the serious developmental impairment caused by being separated from the mother in infancy. (Kubler-Ross 1981) Having in mind the theories of attachment according to Bowlby and the repercussions if interrupted, we can state the existence of a strong independence between mother and baby.We can understand that this bond between baby/toddler and caregiver cannot be eternally followed. In general, the mothers, after a giving birth, have created the attachment and get connected to the baby but at some point, most of them will have to go back to a productive life and join their job again if they had one, as most women will be obliged to contribute to the necessities of the family’s finances so she will be forced to assign the task of caring for the baby after just a few months of the baby’s life.That does not mean the attachment will be broken but the baby will spend some time during the day looked after by a second party. The baby will be responsive and create an emotional connection between the new caregiver once the caregiver is responsive and familiar. (Berger 1983) This is not a journey by choice most of the time. It would be greater if the mother could stay close to home and focus directly on what is right to be sure that her path is connected with the child. (Kornfield 1988)The task of looking after the baby while the mother is working could be given to a second party in the family, for example grandparents if they are able to take care of the child or any other relative. A nanny or infant day care are some other choices to achieve the right care for the baby. Once the task of carer has been assigned, the baby will be separated of his mother for most of the day and new attachments will be formed, but the main one will be the bond between mother and child.This change could be lived by the child in a very distressed way as new people or strange people will be caring for him and it could be upsetting for the mother if the b onds are too tight. As upsetting as it could be for the child this change in life and environment could be a crucial move for the child to start learning different things, interact with other people or children and start new discoveries. Mothers always think is safer to leave children with family relates, but depending the age, childcare could be a perfect option for a child.Once the infant is around 2 years old, being exposed to other children will help to develop and the start of relationships with other people or kids, so from being the main character in his house, children will learn to socialize with other children or people with the purpose of social growing. The father, who in a normal situation would have developed a bond with the child but in a smaller scale than the mother, he will make closer emotional connection with his child as he will have more responsibility sharing the tasks and caring for the baby. Cowan 1993) Having mentioned what attachment means for caregiver/mo ther and baby and the changes in modern life, we can question how this affects the working mother, the family and the child. Long-term study by University College London has studied the case and influence in young children when their mothers have to go to work and develop a professional career.The conclusions have been revealing that the kids exposed to this situation are not harmed emotionally or socially by being left with family, relatives or day care option and they would had the same behaviour so there were no changes with the absence of the caregiver. Some researches pointed out that there are no big difference between the time a working mother or a housewife dedicate to their children, as the working mothers compensate the attention to their children on the weekends to make up for the time they have been working and they have missed expending with their child.Psychologists’ point that it is more important the quality not the quantity of time spent with her children. Th e fact that the mother can develop a professional career can help to lift her self-esteem and that will be transmitted to the children instead the mother having to resign for the sake of her children which it can lead to a frustration and depression and these could also be transmitted to the children and affect their day life and their behaviour.This case study leaded to some other repercussions regarding children gender and different situations in the household which we can blame to some dysfunctional parental issues. (Meikle) The UCL Centre for Paediatric Epidemiology and Biostatics study states that children which are left in caring centres or looked after by relatives have poorer dietary habits, had more tendencies to drink sweet drinks between meals and they were an average of two hours a day in front of the TV or the computer than the children who were full time looked after by the mother.These statements link to appreciate that working parents have less time to provide their children with a balance diet and chances for physical activity leading children to a higher risk of obesity. (Journal of Epidemiology and Community Health) Another study by the University College London states that there were no detrimental effects for children if the mother goes back to work but that children’s health and emotional wellbeing could sustain if the detachment happens in very early life of the child.Dr Anne McMunn agrees with some of the statements above and she pointed that children looked after by the mother full time had the most behaviour difficulties. (Ross, T, Barker, C) She also stated that working mothers are more likely to have higher educational qualifications which would allow them to live in a higher class in society, with bigger incomes and have lower possibilities of getting depressed than non working mothers.These factors explain the levels of behavioural difficulties for males of non working mothers, but it would not be the same case for girls. ( McMunn, A) The American Psychological Association, in Washington, D. C has studied the case of families with low incomes and the benefits in children if mothers go to work. Children in a low class family will benefit more if the mother works as there will be a financial stability in the household and the mother will become a model role to follow for the family.Their case study was based in mothers returning to work at early age of the children (preferably almost straight away after giving birth) giving a result of benefits for the children and the family. On the other side, mothers who go back to work after her children turns 3 years old, these children will tend to have achievement problems in school, behavioural problems and conduct problems, believing that it was much better an earlier start for the mother to join work.Doing more research on middle and upper class families, children who were left in daycares were slightly more likely to see decreases in achievement, suggesting th at families with no financial problems may not see beneficial for the mother to go back to work while children are very young. These studies took place in USA and they agree there is no support for new mothers in terms of flexi time and maternity leave policies and that having more help to arrange more time with their babies could only have positive effects for children. Thompson, R. L) United Nations Children's Fund reported that children in UK are exposed to risk as mothers join work too soon having to leave babies in day care, nannies and they mentioned it reduces the emotional benefit and behaviourally if the mothers were able to look after the kids at home as maternity leave are not fairly paid and UK and it does not provide enough money for early childhood services.Unicef reckons by their research that the lack of contact between parents and children could lead the children to depression and withdrawn, performing poorly in school and developing behavioural problems stating tha t the younger the baby is, the greater the risk recommending that babies should be with the parents at least till they are 12 months old. (Beckford, M) We have had the chance to compare different studies and points of view in terms of the impact and implications for employed mothers who have to be away from their homes to bring an income to the house and leave their children in care of second parties.Some of this studies vary in opinions and we have pointed the main repercussions, but most of them agree there is no major repercussions in being absent from the household while they are working. In general, once the attachment mother-child has been established, the mother and the children will always be connected and it could be beneficial for the child for his on future development.In the old times, mothers were staying at home looking after the children and taking care of the house, but this society we are living now has made us change this tradition and our ways of behaving relating parental attachment have changed as we need the income to survive, but the success of our children in the future will not be measured by the material things received but the intensity and quality in the affecting relations parents have been able to provide since they are children.We need to bear in mind that most of the cases where the studies do not find any unbeneficial consequences are based in traditional families, mother and father together with no dysfunctional problems, which if these situation changes dramatically, and the consequences would be completely different. We also presume that the nanny, relative or care giver assigned for this task has experience or it is a high level institution where the children are not going to be in lack of caring of attention. References: – Beckford, M (2008) Unicef: English children at risk because mothers go back to work too soon [Online]. Available: http://www. telegraph. o. uk/news/uknews/3701376/Unicef-English-children-at-risk-b ecause-mothers-go-back-to-work-too-soon. html [Accessed 15 November 2011] -Berger, K. S, 6th ed. , (1983) The developing person through the life span. New York: Worth Publishers. – Cowan, P. A (1993) Family, self, and society: toward a new agenda for family research. New Jersey: Lawerence Erlbaum Associates, Inc. – Hospice SLO. Worden's 4 Tasks of Grief [Online]. Available: http://www. hospiceslo. org/helpful-info/82-wordens-4-tasks-of-grief. html [Accessed 15 November 2011] -Journal of Epidemiology and Community Health (2009) Children of working mothers have unhealthier lifestyles. Online]. Available: http://www. ucl. ac. uk/news/news-articles/0909/09092903 [Accessed 17 November 2011] -Kornfield, J (1988) A path with heart. New York: Rider. -Kubler-Ross,E (1981) Living with Death and Dying. How to communicate with the terminally ill. New York:Touchstone. -McMunn, A (2011) Working mothers and the effects on children. [Online]. Available: http://www. esrc. ac. uk/news-a nd-events/press-releases/16143/working-mothers-and-the-effects-on-children. aspx [Accessed 17 November 2011] – Meikle, J (2011) Working mothers do no harm to their young children, research finds. [Online]. Available: http://www. guardian. co. k/lifeandstyle/2011/jul/22/working-mothers-no-harm-children [Accessed 15 November 2011] -Ross, T, Barker, C (2011) New mothers told it's better to go back to work. [Online]. Available: http://www. telegraph. co. uk/family/8652948/New-mothers-told-its-better-to-go-back-to-work. html [Accessed 17 November 2011] – Thompson, R. L (2010) The Kids Are All Right: Few Negative Associations With Moms' Return to Work Soon After Having Children. [Online]. Available: http://www. apa. org/news/press/releases/2010/10/working-mothers. aspx [Accessed 17 November 2011] -Worden, J. W, 4th  ed. , (2010)  Grief Counselling and Grief Therapy: A Handbook

Saturday, September 28, 2019

Wildes play The Importance of Being Earnest Essay

Wildes play The Importance of Being Earnest - Essay Example It is said that satire gives rise to emotions which are not the best of humans. Such emotions would be anger, hatred, indignation and malice, as well as shame, guilt, and anxiety (Test 1). But satire also gives light to such negative emotions in the sense that it is combined with comedy, so that audiences could swallow reality better. It is also a common fact that people who are portrayed in satire are such that is a chore to be with, especially during the times that there is no choice in whom to be in company with. One of the most famous people who portrayed satire at its best is Oscar Wilde. Known not just for the plays that he wrote, he was also an icon, to the point that he and his flamboyant personality were far more famous than his works (Van Kirk 2). He was born into an affluent Victorian family and was surrounded by intellectuals. Eventually, he showed promise as a writer during his days in Oxford. But his times there were also the factors that made him the flashy person that he was (3). Unfortunately, due to the scandals that Wilde committed, his works became devalued and he was sent to prison, having his spirit and body crushed. He was never the same again, and he died an unloved man in 1900 (Gregory 2). However, his works were revisited in the 1960’s, and he was regarded as one of the best when it came to portrayals of his time (Van Kirk 9). Wilde’s play The Importance of Being Earnest was a hit when it first opened on February 14, 1895. While it did poke fun at the morals and values of the upper-class society, it was well-written in such a way that the elite believed the play was a glimpse of what they really do, for the middle-class and lower-classes to see (Gregory 7). This kind of style that isn’t bitter satire made Wilde’s plays successful and widely accepted by the Victorian Era, while at the same time exposing the hypocrisy of the elite. Also, aside from poking fun at the superficial concerns of the Victorian societ y (which he is quite very much familiar with), Wilde made his characters rather charming so that people can relate to them well and love them despite their traits (Quintero 465). The characters in the play are mostly members of the upper-class Victorian society, which consists mostly of people of aristocratic origin, those who were able to acquire immense wealth, as well as the middle class which had professionals. The poor and working-class people were only portrayed as lackeys and footmen but were still visible in the play. Exaggerations of trivial matters by the elite were emphasized while the acceptance of virtues such as hard-work and patience were showed well by the working and middle-class. In a way, the play mixes such values and at the same time shows that there is an eventual change in the way society works: that eventually the middle-class would be taking over and that the aristocrats would be losing their voices, while the lower-class would still be at the lowest rung (G regory 7).

Friday, September 27, 2019

Puritan ideals in colonial America reflected the cultural attitude and Essay

Puritan ideals in colonial America reflected the cultural attitude and defined the role of women in their society - Essay Example Choosing to be a single woman was considered by the Puritans to be disregarding ‘God’s will.’ These women were looked upon suspiciously and this choice heightened the chance that they would be accused of being a witch. This discussion will examine the role of women in colonial America and how the religious Puritanical system of the time defined women’s rights and duties within that society. Puritan women were prevented from owning property; they could not negotiate their own contracts or even keep any of their own wages. â€Å"Before the middle of the nineteenth century, the property rights of American married women followed the dictates of common law, under which everything a woman owned became her husband’s property upon her marriage† (â€Å"Married Women’s Property Acts†, n.d.). These restrictions on what a woman could do or own were partly due to the fact that most women were not considered intelligent enough to consider all the consequences involved in managing business or political situations. Women also played the subordinate role in defining the family’s religious beliefs. The observed religious traditions that guided the patriarchal family order allowed wives only a small authoritative role within the family unit. For instance, mothers were trusted and expected to pass along the teachings of the Puritans and Christianity to the children. Husbands could, and often did, entrust their wives to handle various legal and financial matters of the household or family farm but the extent of power the wife possessed always remained at her husband’s discretion. Wives that happily accepted their role and conformed to Puritan societal standards were openly referred to and addressed as ‘goodwife.’ However, the authoritative figure in the family and throughout all facets of Puritan society was clearly the man. The only role that wives served in the male dominated public psyche

Thursday, September 26, 2019

The Impact of Neocolonialism on the Social, Economic and Political Essay

The Impact of Neocolonialism on the Social, Economic and Political Life of Nigeria - Essay Example It can be derived from the report and the previous research conducted on the topic that British colonial rule in Nigeria from the second half of the nineteenth century to the early 1950s is associated with intense violence by the colonisers, with â€Å"the use of force to damage people and objects; the use of force to maintain control; and the use of humiliating words to generate violence reactions†. â€Å"Nigeria was a creation of British colonialism† states Wright, to fulfill British self-interest and political calculations. The country came into being only at the end of the nineteenth century, with British imperial policy drawing together different groups of people and ecological zones over the duration of several decades to form the country. In the first half of the twentieth century, imperial arrogance formulated and implemented policies promoting British rather than African advantage. These policies developed the social and political identities of the colony, and produced long-term problems which Nigeria struggled with after 1960 when the country gained independence from colonialism. Neocolonialism, the last stage of imperialism is defined as â€Å"control of the economic and development destiny by a former colonial area such as Africa by outside powers after independence†. Neocolonialism is illustrated by the British giving independence to Nigeria with one hand, while taking it away with the other. Thesis Statement: The purpose of this paper is to distinguish between Colonialism and Neocolonialism in Nigeria, and to assess the impact of neocolonialism on the social, economic and political life of the country. The Difference Between Colonialism and Neocolonialism in Nigeria Colonialism formed the root cause for political crisis by replacing pre-colonial political systems that worked for Africans with alien models. Ethnic conflicts that now destablise the continent were created by changing the geographical outlines in the map of Africa , bringing diverse people together without taking into consideration established borders. â€Å"The new nation states were artificial and many were too small to be viable† (Obadina 2000, p.1). Not even one-thirds of the countries in Africa have populations larger than 10 million, with Nigeria being a significant exception. African societies were divided into separate groups on the basis of western multi-party democracy imposed by colonial powers. The introduction of party politics by colonial administration fuelled the blaze of ethnic conflicts in Nigeria. The imposition of alien rule makes colonialism a dictatorial regime that did not allow people their right of self determination. Colonialism â€Å"brought death, pain and humiliation to millions of its victims† (Obadina 2000, p.2). Colonialism as a civilizing mission is only a myth, because Europe’s economic and political selfinterest drove the system. However, some useful acts carried out by colonial powers f or fulfilling their economic and administrative needs were the buidling of infrastructure such as railway for carrying export commodities, and undertaking the education of a few Africans to assist them in running the colonies. At the same time, beneficial contributions were not made by colonialism to any part of Africa. Significantly, economically stronger countries like Nigeria and Ghana were depleted of their infrastructure, leaving only a few railway lines, rudimentary communication and commuting systems and limited numbers of graduates. Although colonialism did not help Africa’s poor, the elites flourished as a result of the creation of opportunities by the linking of the continent to the western world. The emergence of neocolonialism with the end of British colonialism

Wednesday, September 25, 2019

Career Immersion Day Assignment Example | Topics and Well Written Essays - 750 words

Career Immersion Day - Assignment Example Economic analysts are hired by companies, organizations or even businesses for a specified length of time depending on the length of the assigned project. Their services are essential and important for the success of any project. The most prominent employer in this area is BNY Mellon. This is an exciting career as I will always remain updated on what is happening in the global market influenced by both the public and private sectors in the economy. Later in the future, I would love to establish my consultancy firm in this area in order to reach more clients in the global market.Cover LetterMy grades at all levels are excellent, especially in mathematics and business. My transcripts in the university are also good. Since I have specialized in financial economics; I believe that I have acquired the best in terms of knowledge and skills from the University. The learning environment is very challenging also exposes me to different situations and challenges in my line of study. The course outline provided during every semester has always ensured that I have been able to cover what is expected of me. Through the different case studies and researches issued by my professors and instructors, I have been able to explore the real situations in the global market by analyzing them and drawing up the conclusion. When it comes to the financial markets, analyzing different stock portfolios is quite interesting and challenging in all aspects.I believe that I also pose qualities that most employers are looking for.

Tuesday, September 24, 2019

Contract Disputes Paper Term Example | Topics and Well Written Essays - 1250 words

Contract Disputes - Term Paper Example I will give an example of a contract dispute that occurred between the Government Printing Office (GPO) and Microform Data Systems, Inc. between 1980 and 1981. In a letter written by the Acting Controller General of the United States to Mr. McClosky, House of Representatives in Microform Data Systems, he explained the correspondence made by Microform Data Systems, Inc. for their contract appeals and dissatisfaction with the processes and composition of GPO board. Microform Data Systems, Inc was not happy at all by the steps taken by the GPO board in dealing with their Contract dispute and claims concerning a business contract between the two associates (Government Operations: Contract Dispute Involving Government Printing Office, 1981). The facts about the Contract Dispute Involving Government Printing Office and Microform Data Systems The statement from the acting controller General clearly indicated that Microform criticized a couple of actions taken by GPO board against their comp any. They claimed that the administration of the GPO was too harsh by handing over their contract dispute to a new board to rehear. They expressed their concern that the GPO board in question is not a full time working board characterized by unqualified staff members and lack of consistency. Microform Company was not amused about this step taken by GPO administration. The question in their mind was that, how can a new board, handle a case like that without the prior knowledge and deeper understanding of what they were claiming. Microform believed that the act used by GPO administration to delegate their contract issue is not a direct application required by legislative branch agencies. The controller General office directly disagrees with Microform claim about a contractor shopping immediately after receiving an administrative ruling from the board. Microform required the GPO Board to satisfy a Contract Disputes they claimed in the first matter (Government Operations: Contract Dispu te Involving Government Printing Office, 1981).

Monday, September 23, 2019

Organizational Profile Using Secondary Research Assignment Paper

Organizational Profile Using Secondary Assignment - Research Paper Example In 1871, the company was known as Nokia Ab. Nokia entered the telecommunication industry in 1981, with its very first mobile service named Nordic Mobile Telephone service (NMT). Nokia was the pioneer in introducing the first car phone to the telecommunication network. Mobira 450 car phones were introduced in 1982 and portable phone in 1986. To meet with the changing need of the customers in the era of innovation, Nokia came up with 3G (third generation) mobile in 2002. In 2007, the company was recognized as 5th most valued brand worldwide. This enhanced the goodwill of the company and its brand recognition to a large extent (Nokia, 2011). The very recognition provides the company with the stronger grip into the market. The mission of the company is simply â€Å"connecting people†. The company deals with mobiles and cell phones and enjoys market share of 31% internationally. The company also has an excellent team of skilful manpower. The HRD department of Nokia is very well dev eloped (Nokia, 2011). 2.0. Industry Analysis The frequent changes experienced in the wireless telecommunication market have resulted in both challenges and opportunities for the companies operating in this sector. After an exceptional growth for over a decade, the telecom sector has witnessed many ups and downs. The innovation of technology in this industry makes the competition fiercer in which the initiator accumulates maximum benefits (Jayashree & Et. Al., 2010). Currently, the global telecommunication industry has expanded itself to nearly double since its commencement in the early 1980s. Competition experienced in this industry is intense in nature and emergence of several factors is enabling certain drastic changes within the organisational management trends executed by telecommunication companies. Internet and wireless technologies have been bringing in dramatic changes in the preferences of customers, disrupting traditional communication systems despite decreasing the prices . Telecommunication industry includes several technology related business segments such as wireless communications, internet, local and long distance telephone services among others (Ingres insight, 2008). 3.0. Organizational Analysis In order to gain competency, Nokia tends to inculcate the cultural social aspects that in turn is effective in rewarding the company with greater brand equity in its market (de Wit B & Meyer, 2004). Nokia is enhancing its competency in emerging markets through the adoption of latest technology. Nokia had experienced losses in terms of its market share due to the ineffective strategies implemented by the company in relation to market trends and customer demands of the targeted market. But the market also offers huge prospective opportunities to Nokia such as operation in developing countries like China and Japan. Telecommunication market is increasing vigorously providing more opportunity for Nokia to operate in the market. Planning and developing appro aches are both of use. Resource based strategies and market strategies both played quite important roles in the development of Nokia (BBC New, 2007). 4.0. Prominent characteristics of Nokia 4.1. Strengths Largely varied product range User friendly and update technology usage in the products The resale values of Nokia mobiles are comparatively high attracting price concerned customers Continuous product innovation Considerable percentage of market share internationally Has a persuasive branding image towards its customers as well as

Sunday, September 22, 2019

Analysis principles of logisties management within Mishubishi company Assignment

Analysis principles of logisties management within Mishubishi company in singapore - Assignment Example The competition in the local industries and markets grew stronger, and therefore, the production of products and services improved in the domain of quality in the recent years. The industry of sophisticated transportation developed as a niche of many industries (Spanos, Zaralis, & Lioukas, 2004). The companies have a duty to provide their clientele with their orders on their doorsteps, and therefore, the companies are busy in developing their private cargo services so that they can ship orders to their clients at a global level (Akhter, 2007). The company known as Mitsubishi has developed the most advanced transportation system in the world, and they have the proven capability to deliver products within one or two days beginning from the time when the customer placed the order (van de ven, 1992). The key of success in the industry of consumer goods lies with the power of marketing and advertisement (Beasley & Frigo, 2011). The ultimate level of success an organization can achieve thr ough placing the products into the market effectively and timely as well. However, the company does not use any single means of transportation. They decide according to the specific needs of the consumers (David, 2015). The company applies various statistical models in order to manage the demand of its products (Child, 1972). The applied techniques include regression analysis that measures the impact of different independent variables over a target one (David, 2015). The companies have a keen interest in knowing the semi-exact level of demand that they might face in the future (David F. R., 2011). The company uses linear programming as well that assists them in terms of balancing out productivity with quantity so that the organisation can create an optimal level of cost structure that will in turn generate maximum level of profitability in the market (Roulac, et al., 2005). The company operates with the help of having

Saturday, September 21, 2019

Agriprocessors - Muckrakers of the 21st Century Essay Example for Free

Agriprocessors Muckrakers of the 21st Century Essay Despite common belief, child labor still exists in the United States. In some areas more than others. The government defines child labor as work which, by its nature or the circumstances in which it is carried out, is likely to harm the health, safety or morals of children. There are companies in America that employ kids who; ââ€"  are under the required age to do jobs in dangerous environments ââ€"  are paid less than minimum wage ââ€"  are not even supposed to be in this country (illegal immigrants) Many of these companies would not be the first place you would look for illegal workers. One such company that was thriving from its illegal ventures was the Agriprocessors Inc. Kosher Slaughterhouse and Meats Packing Plant in Postville, Iowa. The so called â€Å"religious† CEO, Sholom Rubashkin was involved in many behind the counter activities. Besides the $35 million dollars he gained illegally through bank fraud, he was a strong supporter of child labor. His company helped provide fake documents for children who were either under-aged or illegal immigrants, so that they would be able to work for him. Kids as young as 13 were working on slippery, blood-covered floors, using ban-saws and other such limb-removing equipment to cut up livestock. They had little of the proper safety equipment. They were mostly paid minimum wage, but there were some kids that were paid â€Å"behind the counter† to do â€Å"low risk jobs, such as cleaning floors or transporting materials. What is now known as the Postville Raid, occurred in 2008. A large scale raid was performed by Homeland Security and the CIA. It resulted in over 400 arrests of both adult, and child illegal immigrant workers (pictures below). This is just one company that took advantage of children in need. There are many more out there that havent been caught. Not all companies that hire children use illegal child labor. There are plenty of organizations that help kids find jobs that will suit them and are actually able to do. One example of these organizations is Youth Employment Services with IYB. There are also businesses that hire older teens to do jobs such as running a cash register, or restocking shelves. Two examples of businesses that hire older teens are Wegmans and Rite Aid. The circumstances that caused the Postville Raid, were not at all uncommon in the early 20th century. Many children worked in dangerous environments, doing difficult jobs for very little pay. At one point, 19% of all children in the US had jobs. There were many types of jobs for children. They could work in mines, factories, mills, farms, and food processing. They worked long shifts (12 hours was common) and were lucky if they make 80 cents in that time. The government passed few laws regarding these issues at the time. Today’s government is doing its best to shut down any company or business that uses illegal child labor. The problem is that these illegal activities are getting harder and harder to spot. It used to be that children needed to worry about bad working conditions. In modern times, children are being used in downright illegal activities. For example, children are used to transport/smuggle illegal goods throughout the United States. In general, the issues of child labor have changed since the 1900’s. The main difference that separates the modern era from the 20th century, is the existence of laws that protect children and prevent them from performing dangerous jobs. The pictures below are from the Postville Raid. I learned about it from a show I saw on the Discovery channel. There may be a documentary on netflix. if you are at all interested, I would highly recommend watching it.

Friday, September 20, 2019

Poverty Java Poor

Poverty Java Poor This thesis examines the incidence of poverty in Central Java in the period from 1996 to 2002. Susenas expenditure data in 1996, 1999 and 2002 were used to measure the incidence of poverty based on the Foster, Greer, and Thorbeckce (FGT) index. Using the decomposition formula developed by Huppi and Ravallion (1991a, 1991b), this thesis also investigates the effects of urban and rural poverty on the change in overall poverty. The incidence of poverty was higher in rural than that urban areas before the economic crisis. However, the urban poverty has worsened more significantly than the rural poverty after the crisis, as indicated by the higher headcount and poverty gap index in 1999. Spatially, poor people were distributed unevenly across districts. There were two major clusters of poor districts: one in the eastern part and the other in the middle of Central Java. One of the policy implications from our analysis is that poverty reduction programs seem to be more effective if they are targeting the poor in specific location. Poverty reduction programs should be targeted both on rural and urban poor people with specific policy measures and instruments between the rural and urban sectors. Since economic growth is found to be very effective in reducing poverty in both rural and urban areas, growth promoting policies in general should be conducive to alleviating poverty across the country. CHAPTER 1 Introduction 1.1. Background Central Java is one of six provinces in Java Island, which is the heart of Indonesia. It is located between West Java and East Java. Administratively, it consists of 29 kabupatens (regencies) and 6 kota (municipalities). According to data from Indonesia Population Census, the population of Central Java was 31,223,258 in 2000 and 31,997,968 in 2005. Compared to other provinces, it is the third most populous province in Indonesia, with the percentage of 15.2 % in 1995, 15.2 % in 2000 and 14.6% in 2005 out of the total national population of the country. According to Indonesia poverty information data base, 19.04 % of the poor people of Indonesia lived in this area. Among other provinces in Java, Central Java has the lowest GRDP. Until 1996, the growth rate of the GRDP was approximately 7% per year. In 1997, its GRDP shrank and grew negatively due to the economic crisis. The economic crisis following the currency depreciation triggered the increase of price of basic needs, especially foods. The inflation rate in Central Java increased sharply from 5.4 % in 1996 to 10.9 % in 1997 and reached 75.5 % in 1998. This undoubtedly affected the living standard of the people. The people not only suffered from the price increase, but also lost their jobs. Many industries collapsed, increasing the unemployment rate in Indonesia, including Central Java that brought many households into poverty. 1 1.2. Objectives of Study Firstly, the objective of this study is to examine the poverty incidence in Central Java in 1996, 1999, and 2002. By calculating the incidence of poverty using the FGT measure for each kabupaten and kota, this study tries to describe the spatial distribution of poor people at the district level. It aims at finding out the most severe districts in the period from 1996 to 2002. Using the same poverty measurement, the incidence of poverty is also measured for urban and rural areas, to investigate where the poor are concentrated. Secondly, using the decomposition formula developed by Huppi and Ravallion (1991a), this study also aims at investigating the influence of poverty incidence in urban and rural areas on aggregate poverty changes in Central Java. 1.3. Organization This study has six chapters, including this introductory chapter. Chapter 2 provides a literature review of studies on the impact of economic crisis on poverty and living standard in Indonesia, and the spatial analysis on poverty. Chapter 3 presents an overview of Central Java economic performance in 1996-2002 and poverty reduction policies that have been implemented in Central Java. Chapter 4 describes the method and the data used in this study. Chapter 5 presents the pattern of poverty in urban and rural areas and pattern of poverty by kabupaten/kota. Finally, chapter six presents the conclusions. CHAPTER 2 Literature Review 2.1. The Impacts of Macroeconomics Condition on Poverty Studies on the impact of the changes in macroeconomic condition and government policy on poverty have been conducted by many researchers. Their objectives were to find desirable development policies to facilitate poverty alleviation. One of the interesting issues is the impact of the financial crisis that caused high inflation in the mid 1997. Since poverty is often defined in terms of income, price changes must have a significant effect on individuals living standard. The external shock that affected macroeconomic condition in Indonesia in the mid 1980s was the declining of oil prices which caused GDP per capita growth rates to fall sharply (Huppi and Ravallion, 1991b). To examine how this shock affected the aggregate poverty in Indonesia, Huppy and Ravalion (1991a) employed the Foster, Greer, and Thorbecke (FGT) index to measure the incidence of poverty. Using Susenas data in 1984 and 1987, they developed a decomposition formula to assess relative gains to the poor within the specific sectors and the contribution of each sector to the change in aggregate poverty. They found that aggregate poverty, both in urban and rural areas in Indonesia declined during this adjustment period. 3 Using the same data and method, Huppi and Ravallion (1991b) continued their research to examine the change in the sectoral structure of poverty in the adjustment period. They employed their decomposition formula to examine the sectoral gains due to the reduction in aggregate poverty. According to the findings, a high concentration of poverty was found in rural farming areas, therefore gains within rural farming sector had the highest contribution to the aggregate poverty reduction. An increase in rural farming sectors mean income and consumption had strong contribution due to aggregate poverty reduction. This study also found that more than a half of the gains were contributed by rural farming sector in Central Java and East Java. After the adjustment period, Indonesia was hit by the financial crisis in the mid 1997, which caused a significant decline in GDP per capita. Friedman and Levinsohn (2002) analyzed the distributional impact of Indonesias financial crisis on household welfare. They used the consumption module of the 1996 National Socio-Economic Survey (SUSENAS) as the pre crisis data and monthly price data for 44 cities throughout Indonesia from January 1997 to October 1998. They matched both data to obtain compensating variation which is the amount of money sufficient to compensate households following price changes and enable a return to pre crisis level utility (Friedman and Levinsohn, 2002). According to their finding, the impact of the crisis on household welfare depends on the consumption choice, sources of income, and location, i.e., urban and rural areas. In general, households were severely affected, and the urban poor was the most adversely affected by the crisis. Rural poor were not affecte d as much as the urban poor because of their ability to produce food to mitigate high inflation. Skoufias et al.(2000) also conducted a research about the changes in household welfare, poverty and inequality during the crisis. They used the 100 village survey data conducted by CBS (Indonesian Central bureau of Statistics) in May 1997 and August 1998. Using the social welfare function developed by Atkinson in 1970, where welfare at time t is the function of the mean level of per capita consumption expenditure (PCE) in period t multiplied by one minus the level of inequality in the distribution of PCE in period t, they investigated the changes in households welfare. They used the Foster, Greer, and Thorbecke (FGT) index to calculate the incidence of poverty, while to calculate inequality, they used the generalized entropy class of indices, the Gini index and Atkinson index. The findings of this study were that the welfare of Indonesias household decreased in the first year of the economic crisis and the incidence of poverty doubled. One of the other studies about the dynamics of poverty during the crisis was Suharyadi et al. in 2003. To obtain a complete picture on the changes in poverty during the crisis, they used a consistent series of data which were obtained from various sources. The method used for estimating the change in the headcount ratio with the poverty line equal to the food poverty line plus non food poverty line after considering the change in prices (inflation rate) during the crisis. The result was that the headcount ratio fluctuated over the period, and reached the peak in 1998 then declined until 2001. After 2001, it started to increase, but until the early 2002. This study found that there were approximately 36 million additional people who experienced absolute poverty. Suharyadi and Sumarto (2003) investigated poverty and vulnerability in Indonesia before and after the crisis. The study used the three-step feasible generalized least square (FGLS) method to investigate the vulnerability, by combining 1996 SUSENAS as pre crisis data and 1999 SUSENAS as the post crisis data with the village potential (PODES) datasets. The result showed that the poverty incidence increased significantly, and the chronic poor (the poor who have consumption expenditures below the poverty line and will most likely stay poor in the near future) increased from 20% before crisis to 35% after the crisis. ( Suharyadi and Sumarto, 2003). Using SUSENAS data of 1984 and 1990, Cameron (2000) examined the impacts of the changes in age, educational structure, and industrial structure on poverty and inequality in Java by employing the method used by DiNardo et al., (1996). This study modified the method used by DiNardo by decomposing the changes in cumulative distribution functions, Lorenz curves and generalized Lorenz curves. Following DiNardo, the decomposition was presented visually rather than in statistical form. The results show that poverty in Java decreased during the period from 1984 to 1990, but income inequality increased in the same period. Increase in educational attainment, income of less educated workers and income of outside agriculture workers contributed to the poverty reduction in Java. On the other hand, an increase in non-agricultural income and education attainment also contributed to the inequality increase. 2.2. Spatial Analysis on Poverty Poverty can also be analyzed spatially. It is a spatially heterogeneous phenomenon where poor people tend to be clustered in specific places. Geographic variation in the incidence and magnitude of poverty is due to such spatial factors as natural resource endowments and access to services including health care, education, labor and products markets (Henninger and Snel, 2002). Islam and Khan in 1986 conducted a study on spatial pattern of poverty and inequality by using Susenas data in 1976. Inequality measures used in this study were Gini ratio, Atkinson index, Theil T index, and Theil L index, while to measure poverty, they used head count index, poverty gap index and Sen index, with different poverty lines for each province. This study investigated the correlation between poverty (using Sen index) and income inequality (using Atkinson index) by categorizing the incidence of poverty and income inequality into three categories, low, medium and high. Seven provinces, i.e., Jambi, South Kalimantan, Aceh, East Kalimantan, North Sumatra, Bali, and Central Kalimantan, had low poverty and low inequality. Six provinces, i.e., Yogyakarta, West Java, West Nusa Tenggara, South Sumatra, Riau and Bengkulu had medium level of poverty and medium level of inequality. Provinces which had high levels of poverty and inequality were Lampung, North Sulawesi, East Nusa Tengga ra, Central Sulawesi, Maluku, South Sulawesi and South East Sulawesi. Jakarta had low poverty but high inequality, West Kalimantan had a medium level of poverty but high inequality, West Sumatra had a medium level of poverty and low inequality, while Central and East Java had high poverty and a medium level of inequality. To examine the effect of a regional poverty target program in Indonesia, Daimon (2001) conducted a research on the spatial dimension of welfare and poverty. He found that there were significantly different social effects of the economic crisis across geographical locations. This study used spatial econometric method to estimate the spatial poverty trap in Indonesia. The data used was the Indonesian Family Life Survey (IFLS) in 1993, which included 6,000 households throughout 13 provinces in Indonesia. Poverty target program, called Inpres Desa Tertinggal (IDT), was designed to empower the local communities. Empowerment of local communities was the key factor to remedy the targeting policy. CHAPTER 3 Overview of Central Java Economic Performance in 1996-2002 and Poverty Reduction Policies in Central Java 3.1. Overview of Central Java Economic Performance in 1996, 1999 and 2002 Located in the middle of Java Island, Central Java has a strategic position due to its regional economic development. Its northern part, which mainly has a low terrain and passed by main transportation route, has various kinds of economic activities, particularly a lucrative fishery on Java Sea. For that reason, infrastructure developed more rapidly in this area. While the southern parts main economic activity is a less productive fishery, the central part is mainly dominated by farming due to the mountainous terrain. This province consists of 35 districts, consisting of 29 kabupatens (regencies) and 6 kotas (municipalities). 8 Central Java is the third most populous province in Indonesia. The population of Central Java was 29,698,845 in 1996, 30,761,221 in 1999 and 31,691,866 in 2002. Kabupatens Brebes, Cilacap and Banyumas were the largest districts in terms of population; while Kotas Surakarta, Tegal and Pekalongan had the highest population density. The population density of those three districts was 11,734/km2, 8,609/km2, and 7,213/km2, respectively. . Generally, per capita income decreased in the period from 1997 to 1998. It should be noted that during this period, economic crisis occurred. Only three districts (Kab. Cilacap, Kota Semarang and Kab. Brebes) experienced an increasing per capita income during this period. Based on data presented in table 3.3, 1998s growth rate was negative, due to the economic crisis in 1997, which shrank the GRDP from Rp. 43,129,839 million in 1997 to Rp. 38,065,274 million in 1998. Looking at the economic structure, the largest contributor of Central Java economy was the manufacturing industry, followed by trade and agriculture The structure of Central Java in terms of employment was slightly different from the structure in terms of GRDP. As shown in table 3.5, the highest share of employment was registered by the agriculture sector, followed by trade and manufacturing. It indicated that agriculture sector had lower productivity compared to trade and manufacture. The 1997s economic crisis also had a negative impact on employment because many industries had to reduce their production cost, mainly their labor cost. The number of unemployed people increased from 552.914 people in 1996 to 599.237 people in 1997, and 831.435 people in 1998. 3.2. Poverty Reduction Policies in Central Java In 2002 central government initiated a poverty reduction program by establishing an independent board called Komite Penanggulangan Kemiskinan (KPK) or The Poverty Reduction Committee and Komite Penanggulangan Kemiskinan Daerah (KPKD) or The Regional Poverty Reduction Committee in each province. Poverty reduction policies in Indonesia are classified into two groups. The first is aiming at community development and the second includes the safety net programs. The aims of community development based programs are to create job opportunity, to develope local/regional capacity, infrastructure building, and to improve community based activities. These programs include the following programs. Inpres Desa Tertinggal ( IDT) / Presidential Instruction to Underdeveloped Villages According to Daly and Fane (2002), this is the first anti-poverty program in Indonesia. The aim is to raise the employment opportunities and household expenditures through community development. This program was targeted to underdeveloped villages in the form of a revolving block grant, where each village accepted Rp.20,000,000.00 per year for 3 years. The fund was distributed among groups of people based on each groups proposal, and should be used for productive activities. Program Pengembangan Kecamatan (PPK) / Kecamatan Development Program. Kecamatan is a sub district which consists of several villages. The Kecamatan Development Program (PPK) was a program that also included a revolving block grant, but the fund was distributed on kecamatan level. Each kecamatan is given a fund from Rp. 750,000,000.00 up to Rp. 1,000,000,000.00, which could be used to support the private sector economic activities as revolving loans or as a capital for providing public infrastructure. This program was supported by NGOs. Program Penanggulangan Kemiskinan Perkotaan (P2KP ) / Urban Poverty Alleviation Program The idea of this program was almost the same as PPK, except that this program was targeted specifically to kecamatan in urban areas. The aim is to mitigate poverty in urban areas by supporting economic activities with loans and creating jobs for unskilled workers. Each group given the fund has to return the loan within two years with low interest. 4. Program Percepatan Pembangunan Daerah Tertinggal (P3DT )/ Supporting Infrastructure Development of Underdeveloped Villages (Desa). This is the newest program which replaced IDT program. The program has been implemented by local governments and NGOs. Hence, the NGOs help to facilitate recipient groups in each of the planning, implementation, evaluation, and report making stages. Program Pemberdayaan Masyarakat akibat Dampak Krisis Ekonomi (PDMDKE)/ Regional Empowerment to Overcome Economic Crisis Impact. This is a special program to overcome the impact of economic crisis through labor intensive activities. The aim of this program was to create jobs and to build public infrastructure. Gerakan Terpadu Pengentasan Kemiskinan (Gerdu Taskin) / Integrated Movement for Poverty Eradication. This program was administered and coordinated under The Ministry of Demography / Indonesian Family Planning Board ( BKKBN). There are three targeted groups: Family This group includes poor household, the elderly, the disabled, the unskilled unemployed workers. The program provides, for example, foods, and subsidized contraception. Regional/areas Underdeveloped villages, slum areas, coastal areas are included in this category. The programs provides basic infrastructure, such as clean water piping and public toilets. It is also used to improve housing quality in these areas. Institutions This includes governments and non governmental organizations. The program is aimed at empowering these institutions in order to overcome poverty. Social safety net programs are in the second group of poverty reduction policies. These programs were made mainly in response to the 1997 economic crisis. They are aimed at meeting basic needs, by providing subsidized rice for the poor, supplementary foods for primary school pupils, and supplementary foods for children under five years old. Under social safety net programs, governments provided free health services and subsidies for primary school fees to the poor people. They also gave a specific block grant for schools and hospitals. In 2005, a new social safety net program started, after the central government reduced oil subsidy, especially a subsidy for kerosene which is widely used by poor households. Under this new program, each poor household received the sum of Rp. 100.000 per month. CHAPTER 4 Data and Methodology 4.1. Data This study used national socioeconomic survey (Susenas) carried out in 1996, 1999 and 2002. Susenas is a consumption based survey, conducted annually by the Central Bureau of Statistics of Indonesia (CBS) since 1963 (Core Susenas). In addition, there are three modules of Susenas that has been carried out every three years since 1981. One of the modules is the consumption expenditure module that captures more than 300 items of consumption expenditure for representative of 30 provinces. This study used the consumption expenditure module for Central Java that was conducted in 1996,1999 and 2002. The sample size for Central Java Province was 6,803 in 1996, 7,303 in 1999, and 7,374 in 2002, covering 35 districts. The consumption expenditure module is classified into food and non food categories. The food category consists of 216, 214 and 216 items, whereas the non food category consists of 103, 105 in 1996, 1999 and 2002, respectively. This module also presents the way those items are obtained, whether they are purchased in the market, self produced, or received as a gift. 17 All the data are in 1996 constant price because in the mid 1997, Indonesia was hit by the economic crisis that caused the growth rate of GDP to decline, from a positive 4.7 percent in 1997 to a negative 13.1 per cent in 1998. The crisis affected the living standards of the people because the inflation rate increased substantially due to large depreciation in rupiah against US dolar. In 1998 and 1999 the inflation rate was 57% and 20% respectively, but declined to 4 % in 2000. It increased again to more than 10% in 2001 and 2002. Therefore, nominal household expenditures need to be deflated using the consumer price index in 1996 as the base year. Household consumption expenditure data are very useful when we estimate individuals living standard. Many researchers have used household consumption expenditure as an indicator of an individuals living standard. The reason is that consumption expenditure is a better welfare indicator than income. The data can be used to measure poverty by setting a poverty line based on consumption expenditure. According to Central Bureau of Statistics of Indonesia (CBS), the poverty line is defined as the total expenditure in rupiah that are able to purchase foods needed to satisfy 2,100 calories energy requirement per capita per day. It is based on the recommendation of the National Workshop on Food and Nutrition in 1978, which states that in order to stay healthy, a person must consume as much as 2100 calories per day (Maksum, 2004). The method for computing the value of the daily minimum standard of living has improved over year. The poverty line was determined separately for urban and rural areas and also for each province since the basket of food items differs among urban and rural areas and provinces. The calculation is based on the average consumption of basic items, including 52 foods items and 46 non-food items. The poverty line set by BPS for Central Java in 1996 is Rp. 30,499 for rural, Rp. 40,075 for urban and Rp. 33,444 for overall (urban and rural) in terms of monthly per capita expenditure. 4.2. Methodology 4.2.1. The Measurement of Poverty In order to measure poverty, the class of poverty measures developed by Foster, Greer and Thorbecke (FGT) will be employed (Foster et al., 1984). By using the FGT index, a quantitative estimate of the effect of a change in subgroup poverty on total poverty can be obtained. The index is defined as follows: (1) where is total number of people, is the poverty line, is the total number of poor people, is the expenditure of individual and ÃŽ ± is a parameter. The formula can be redefined according to the value of ÃŽ ± . When ÃŽ ± = 0 (2) It is simply , that is the proportion of people living below the poverty line, known as the head count index . When ÃŽ ± = 1 (3) It presents the extent to which each individuals expenditure falls below the poverty line as a percentage of the poverty line. It is called the poverty gap index. When ÃŽ ± = 2 (4) It measures the severity of poverty. P2 is distribution-sensitive for any transfer of expenditure, since the square term gives a higher weight to poorer people. 4.2.2. Decomposing Change in Overall Poverty To analyze the change in overall poverty over the study period, this study uses the decomposition formula developed by Huppi and Ravallion (1991a, 1991b), where the change in overall poverty is decomposed into intrasectoral, population shift, and interaction effects. The decomposition formula is given as follows. In this decomposition analysis, we consider two sectors: urban ( = 1) and rural sectors ( = 2). (5) In this formula, is the incidence of poverty in sector i in year t, as measured by the FGT index with the parameter , while is the population share of sector i in year t. It should be noted that in this formula, refers to the population share, rather than the total number of people. presents the change in overall poverty due to the changes in the intrasectoral poverty ( = 1, 2). presents the change in overall poverty due to population shifts, i.e., due to the change in the distribution of population between urban and rural sectors. presents the interaction effect, which captures the correlation between the sectoral and population shift effects. Since this study uses Susenas data for 1996, 1999, and 2002, we analyze the change in overall poverty in two periods: from 1996 to 1999 and from 1999 to 2002. 4.2.3. Mapping the Incidence of Poverty Using Arcview GIS 3.3 (a software package), this study presents the incidence of poverty by Kabupatens (regencies) and Kotas (municipalities) on a map using the FGT index. The aim is to show the spatial distribution of poverty in Central Java, i.e., to see whether poor people are concentrated or dispersed. In order to present the distribution of poverty on a map, we classify all districts (i.e., all Kabupatens and Kotas) in Central Java into three groups: low, medium, and high poverty groups. The low poverty group includes those districts that have the FGT value smaller than , while the high poverty group includes those having the value higher than , where is the average value of the FGT index, is the standard deviation. The medium poverty group consists of those between and . CHAPTER 5 Poverty Incidence in Central Java From 1996 to 2002 5.1. Incidence of Poverty by Location (Urban and Rural Sectors) The incidence of poverty was higher in rural areas than that in urban areas in 1996 by any FGT measures (. The headcount index ()was 0.189 in rural areas, while it was 0.172 in urban areas in 1996, its means that rural areas had a larger proportion of poor people than urban areas. The poverty gap index () was also higher in rural than urban areas, as it was 0.032 and 0.029 in rural and urban areas, respectively, meaning that rural poverty was deeper than urban areas in 1996, though this was due mostly to the fact that rural areas had a larger proportion of poor people than urban areas. 22 The incidence of poverty increased significantly both in rural and urban areas in 1999. But the increase was more substantial in urban than rural areas, as the headcount index () was 0.215 and 0.227 in rural and urban areas in 1999, respectively. In 1999, both the headcount index () and poverty gap index () were larger in urban than rural areas. The economic crisis that occurred in 1997 seems to have a much larger impact on urban than rural areas in Central Java. Food prices skyrocketed because of the large depreciation of Rupiah against the U.S. dollar after the economic crisis, and many people lost their jobs due to the collapse of some industries. But the effects were much less severe in rural areas than urban areas, since many rural people were able to produce their foods by themselves, so that they could mitigate the impact of the inflation. In 2002, Central Java seems to have recovered from the crisis, as both the headcount index () and poverty gap index () decreased prominently in both rural and urban areas. The headcount index () was 0.100 and 0.099 in urban and rural areas, respectively, meaning that mere 10 percent of the people in Central Java were under the poverty line in 2002. In 1999 and 2002, rural areas had a much larger value than urban areas (0.020 vs. 0.012 in 1999 and 0.009 vs. 0.004 in 2002), even though both the headcount index () and poverty gap index () were smaller in rural than urban areas. This indicates that while rural areas had a smaller proportion of poor people than urban areas, their poverty was much more severe than urban poverty, meaning that there were a large number of extremely poor people in rural areas whose consumption expenditures were far smaller than the poverty line. 5.2. Incidence of Poverty by District (Kabupaten and Kota) and Its Spatial Pattern In 1996, Kabupaten Blora had the highest head count index (), which was followed by Kabupatens Grobogan, Wonosobo, Sragen, and Temanggung. On the other hand, Kota Magelang had the smallest head count index (), which was followed by Kotas Salatiga, Tegal, Pekalongan, and Kabupaten Pekalongan. Except Kabupatens Pekalongan, Demak, Sukoharjo, and Kudus, kabupatens had much larger values of the head count index () than kotas, showing that poor people were concentrated in kabupatens. The poverty gap index () had almost the same pattern as the head count index () in 1996. Kabupaten Blora had the highest poverty gap index (), which was followed by Kabupatens Wonosobo, Sragen, Grobogan, Magelang, and Temanggung. On the other hand, Kota Magelang had the smallest poverty gap index (), which was followed by Kotas Salatiga, Tegal, Pekalongan, and Kabupaten Pekalongan. Again, except a few kabupatens, kabupatens had much larger index values than kotas. The number on the map shows the rank of districts with respect to poverty measures within Central Java. There were two major geographical clusters of poor districts

Thursday, September 19, 2019

Sickle Cell Anemia: A Curse and a Blessing :: Disease Health Sickness Essays Papers

Sickle Cell Anemia: A Curse and a Blessing Sickle Cell Anemia is a disease found right here in America, but in low levels compared to some areas of the world. The rate for this disease is around five times greater in certain places in Africa. That is because the potentially fatal disease Sickle Cell Anemia can also work as a sort of vaccination for another disease called malaria. First the mechanics of Sickle Cell Anemia will be discussed, then its possible benefits. Sickle Cell Anemia is an inherited condition. One gene for Sickle Cell Anemia must be inherited from each parent in order to have the disease. A person who receives a gene for Sickle Cell Anemia from one parent and a normal gene from the other has a condition called sickle cell trait. Sickle cell trait produces no symptoms or problems for most people. Sickle Cell Anemia can neither be contracted nor passed on to another person. The severity of sickle cell disease varies greatly. Some people with sickle cell disease lead lives that are nearly normal. Others are less fortunate, and can suffer from a variety of conditions. Sickle Cell Anemia is caused by a change in the chemical composition of the protein hemoglobin which is responsible for delivering oxygen throughout our bodies. Normal hemoglobin is found as a round shape, and is composed of four proteins – two alpha chains and two beta chains. The change that causes Sickle Cell Anemia occurs when an amino acid called valine is substituted for glutamic acid in both of the beta chains. This change in the composure of hemoglobin causes the shape to change when under certain conditions. Two of these conditions are low oxygen and dehydration. The hemoglobin of a person with Sickle Cell Anemia then becomes elongated and curved, hence the name sickle cell. When this happens many problems can occur, primarily blood clotting which leads to a lack of oxygen in body tissues. Other negative affects of Sickle Cell Anemia are a weakened heart because it is constantly overworked. Also, bone marrow is affected and bones become softer than usual. Whi le there is no cure for Sickle Cell Anemia there is treatment. The primary goal is to reduce the frequency of the Sickle Cell Anemia crisis episodes and maintain enough red blood cells to keep body tissues healthy. Sickle Cell Anemia: A Curse and a Blessing :: Disease Health Sickness Essays Papers Sickle Cell Anemia: A Curse and a Blessing Sickle Cell Anemia is a disease found right here in America, but in low levels compared to some areas of the world. The rate for this disease is around five times greater in certain places in Africa. That is because the potentially fatal disease Sickle Cell Anemia can also work as a sort of vaccination for another disease called malaria. First the mechanics of Sickle Cell Anemia will be discussed, then its possible benefits. Sickle Cell Anemia is an inherited condition. One gene for Sickle Cell Anemia must be inherited from each parent in order to have the disease. A person who receives a gene for Sickle Cell Anemia from one parent and a normal gene from the other has a condition called sickle cell trait. Sickle cell trait produces no symptoms or problems for most people. Sickle Cell Anemia can neither be contracted nor passed on to another person. The severity of sickle cell disease varies greatly. Some people with sickle cell disease lead lives that are nearly normal. Others are less fortunate, and can suffer from a variety of conditions. Sickle Cell Anemia is caused by a change in the chemical composition of the protein hemoglobin which is responsible for delivering oxygen throughout our bodies. Normal hemoglobin is found as a round shape, and is composed of four proteins – two alpha chains and two beta chains. The change that causes Sickle Cell Anemia occurs when an amino acid called valine is substituted for glutamic acid in both of the beta chains. This change in the composure of hemoglobin causes the shape to change when under certain conditions. Two of these conditions are low oxygen and dehydration. The hemoglobin of a person with Sickle Cell Anemia then becomes elongated and curved, hence the name sickle cell. When this happens many problems can occur, primarily blood clotting which leads to a lack of oxygen in body tissues. Other negative affects of Sickle Cell Anemia are a weakened heart because it is constantly overworked. Also, bone marrow is affected and bones become softer than usual. Whi le there is no cure for Sickle Cell Anemia there is treatment. The primary goal is to reduce the frequency of the Sickle Cell Anemia crisis episodes and maintain enough red blood cells to keep body tissues healthy.

Wednesday, September 18, 2019

Computer Science :: Graduate Admissions Essays

Computer Science I remember the day as if it were yesterday. During my second year in college, I was attempting to transmit a group of characters comprising my name from one computer to another. I connected the computers using RS-232 cable, wrote the necessary programs and executed them. I typed my name on one terminal and rushed to the other to see the results. "Wow, this is magic!" I exclaimed as I read 'Tom' on the screen. While I realized intuitively that a complex version of this elementary network could achieve much, at the time I had no real idea what. Now, four years later, I know that Networking makes possible a plethora of applications, from video-conferencing over the Internet to linking banks through private networks. It still seems like magic. Or rather, a grand adventure - one that I most certainly want to be part of. My interest in applied science dates back to my school days. During high school, I was fascinated with electronic gadgets. Soon thereafter, designing and building basic circuits started as a hobby. Along the way, however, I realized that the problem-solving aspect of making electronic gadgets was what I enjoyed the most. Engineering was a natural career choice after this. During my undergraduate studies at the Electronics & Communication department of M.K. College of Engineering, subjects like Microprocessors, C-Programming, Computer Networks interested me the most. I was awestruck by the potential of Intel 8086 microprocessor, more so by the manner in which its faster and more powerful cousins revolutionized the working of computers in a decade. I was now determined to focus on microprocessors during my Final Year project. I elected to do the project at National Space Research Organization (NSRO) as it has an outstanding infrastructure setup and a stimulating, world-class research environment. This enabled me to work with some of the best minds dedicated to engineering research in my country. I gained a lot from this association - in particular, an idea of how rewarding and meaningful a career in research could be. The more tangible benefits have been a deeper insight into architecture and working of microprocessors and thorough C-programming skills. Sometimes I spent more than ten hours a day at NSRO, reading manuals and troubleshooting circuits and debugging code. I am glad to say the effort paid off in the end.

Tuesday, September 17, 2019

My Writing is My Voice :: Teaching Writing Education Essays

My Writing is My Voice For the longest time, I really did not know who I was. Not that I was confused about who I saw in the mirror, but I had know idea why I thought the way I did about things. Science had always interested me. Animals have such a unique character created out of the need for survival. They are not influenced by outside pressures to conform. I made the decision to study them for the rest of my life. But I really did not know what separated me, as a human, from my cat. The school systems and church tried to give me explanations. They encompassed the fact that I think logically, have problem solving skills, emotions, and make decisions based on these emotions. Animals did not have these abilities and this separated them form us. But the education started to contradict itself. After being exposed to a vast majority of animals, I saw abilities that humans cannot posses. Some can fly, breath underwater, and exist in climates where humans cannot without artificial devices. Humans cannot survive winters without clothes or travel the oceans without boats. The system was lying to me. Animals could adapt and think quite well. We were not better, just different. This made me lose faith in the system and I began to take up independent thought. Because I thought I should be a truly independent thinker, I believed that everything I knew was a product of my own discovery. Within my own mind, everything was the way it was because I thought it. The rest of the information in my head was only a bunch of stuff set up by society for me to learn. When I left my small town of Big Lake after graduation, I was in search of a higher education. Where? A university of course! I rushed into the world of undergraduates with hopes and dreams of someday being able to explain a reason for everything. But I did not want to do it in the same fashion the system was requiring it. They made the rules and I was supposed to follow them. I did not like what they had to say. I questioned most everything. There were disciplines though that I did not question. Physics, biology, and chemistry existed long before humans. I have already seen them in nature. Nature itself was proof enough to believe in their validity.

Monday, September 16, 2019

Media and Communication Theory

In the 21st Century Media technology and Telecommunication Technology has undergone tremendous changes in its technological advancement. In the 1990’s this technological innovation has given birth to the World Wide Web and the Internet technology.Many writers in this field in many theoretical perspectives have analyzed the impact of media technology on society. In this essay I will discuss the theory of â€Å"technological determinism and its inevitability† using primarily the theoretical and historical evaluation of Media technology on society advocated by Burnett & P. David Marshall in their book â€Å"Web Theory: An Introduction†. In addition I will also use examples of Radio and Television on Western Society and the forces, which shaped the Medias impact on Society values and culture and, way of life as well as how it supplemented or whether it replaced the earlier Media technologies such as Television, radio, News papers and print technologies.Brief history of InternetThe origins of Internet are in the Military Institutions of USA. It was an incidental development to gather  Security information and assimilations within the defense bureaucracy. It was in the public domain as government was involved in its early development. Later the Universities recognized its potential to share information within the universities and they adopted this technology for their research work.As a result of this process the bulletin boards appeared first for science fiction and then for personal and other reasons by many user groups who had common interest. After the Internet was commercialized and independent service providers entered the market and e-commerce was introduced by the private sector and the control of web past from the public sector to the private sector. (Robert Burnett, P. David Marshall, 2003, pp: 11-12)Definition of the theory of â€Å"technological determinism and inevitabilityThe theory of technological determinism can be defined as the major influence of the dominant technology to have a major impact on society and its inevitability and its transformation power and the replacement of older technologies and social practices. It assumes that people react to technology and economic, social, institutional and political factors is not that important and the major force can be reduced to technology as a major change agent for the societies advancement and enlightenment. (Robert Burnett, P. David Marshall, 2003. pp: 10-11)Origins of the theory of â€Å"technological determinism and inevitabilityThe origins of the theory were due to several writers who promoted this theory as well as powerful people in politics and in Commerce promoted it. These writers attributed just like other media technologies the Internet also will have a revolutionary impact on society. (Robert Burnett, P. David Marshall, 2003, pp: 7-8)The ideology of technology and its effectsThe ideology of technology means is a representation is completely normal and natural for the culture as well asappropriate.   That is the new technology not only natural and normal bur also what is needed to make the society better. It reduces the debate to a functional level rather than public debate and becomes a cultural reality in every day lives and we accept new technology passively. It promotes that we cannot be happy without the latest model of technological equipment or model. (Robert Burnett, P. David Marshall, 2003, p: 9)Evaluation of Technological determinism based on Web TheoryAs discussed above from the brief history of the Internet and noticing other factors has also played a part in the evolution of the Internet such as institutional and social patterns it is obvious that new technology alone may not bring about a revolutionary change in society.   As well if this theory stifles public debate it may not produce positive outcomes and can be detriment for societies progress.   In addition it does not take in to account social, economic Institutional and political factors as important and it may oversimplify how technology impacts society and gives in appropriate weight for technology as a major factor for social betterment.However some writers of technical determinists have shed some light on the actual development of web technology, which in itself can be a major social change factor in limited situations.   They are H.A. Innis, Marshall McLuhan, Lewis Mumford (Robert Burnett, P. David Marshall, 2003, P: 12).   According to H. A InnisA dominant communication medium can be time-based or space based. (Robert Burnett, P. David Marshall, 2003, P: 13) According to him time- based communication system will produce a close society and a space based communication medium will produce a more open society. (, Robert Burnett, P. David Marshall 2003, P: 13) Web technology is an active play with space and time and its diffused and web does not have a center however as it originates in America on the other hand it may create a centralizing model of communication. (Robert Burnett, P. David Marshall, 2003, P: 14-15).Another interesting question. which arises from Inns insight is how the space is defined through the web? Does the control of virtual space control the geographical space? (Robert Burnett, P. David Marshall 2003, P: 15) The virtual space is discontinuous with the material world of countries and geopolitics. (Robert Burnett, P. David Marshall 2003, P: 15) However there may be new divides acrossEvaluation of Technological determinism based on Web Theory  geographical boundaries in the virtual world grouping activities and interests which may relate to power groups that may be not coordinated with the interests of empires if multinational companies do not control the cyberspace. If they control the cyberspace then it will have repercussions in the international geopolitics of work, economy and culture. (Robert Burnett, P. David Marshall 2003, P: 15)In the perspective of Marshall McLu han he theorizes technology as a medium. In the Web Theory of Robert Burnett, P. David Marshall they highlight the utility of seeing web as a medium rather than its content because it points in the right direction how a technology incorporates other technologies in the early stages and evolves on a long-term basis rather than replacing past technologies as web uses voice, text, visual and graphics to convey messages and linked with other networks and similar sites.(Robert Burnett, P. David Marshall. 2003 p: 17) In addition McLuhan saw the expansion of television and other communication technology internationally he came with an idea of global village. (Robert Burnett, P. David Marshall. 2003 p: 18). According to Robert Burnett, P. David Marshall this idea of global village in respect of television internationally a least for 80 years in their view television as a media technology has been a major force for the culmination of nation state and nationalistic cultures as well they concl uded in some circumstances the television and other media technologies can have similarities for example the death of Kennedy televised across the world may have produced a kind of global village.However they rejected that these events did not produce sense of community like a village, which depended on interpersonal knowledge to make sense of the world. (Robert Burnett, P. David Marshall. 2003 p: 18)Evaluation of Technological determinism based on Web TheoryMcLuhan also has theorized technology can produce electronic collective consciousness. (Robert Burnett, P. David Marshall. 2003, p: 19). In the view of Robert Burnett, P. David Marshall this idea is utopian however they concluded that in smaller ways web technology can produce collective consciousness because of its nature and accessibility to information learning in schools and beyond has become to retrieve information and transform in to knowledge and action rather than route learning and memorization in western societies befo re advent of the web. (Robert Burnett, P. David Marshall. 2003, p: 19).As well Robert Burnett, P. David Marshall point in page 20 that technology can shape our behavior in particular ways so that we often become unified with the technology and give examples of driving a car and it has to become automatic to drive the car with confidence.According to Mumford technology has become out-of control and poised to ask question whether web has become out-of-control and a channel for further centralization of power or web is an extension of general human interest and democratizing knowledge and power? As well on an individual level one can ask the question does the web intuitively an extension of self in to kind of collective network of knowledge or information or the individual is absorbed in to the web technology which produces technological rationality that does not allow the individual to examine the system the individual is using.(Robert Burnett, P. David Marshall, 2003, p: 20). Accordi ng to Robert Burnett, P. David Marshall these questions are complex and there is no simple answer and it depends on the web culture and the kind of information and knowledge it generates. (Robert Burnett, P. David Marshall, 2003, p: 20).Examples of existence of Radio and Television in the advent of web TechnologyIn the western world even in the era of web technology some groups get news and other information as a medium as opposed to web technology because of its appropriateness to some groups and in some contexts. For example if say a politician wants to convey a message then Television and radio is preferable to web technology as web technology is not accessible to may people and it has to have some interaction than the other medium and web technology is diffused than has a central point. That is the older technologies have their niche markets even in the advent of web technology and web technology supplements the other older technologies and they don’t replace overnight th ese technologies but in an evolutionary manner they enter in to our lives. The technology in itself has an impact on society.However as envisaged by the technological determinist theorists the dominant technology does not change in a revolutionary manner the society and other factors such as economic, Institutional, social patterns and cultural factors shape the use of technology and they play a part in shaping the society as a whole. In addition all previous technologies loose their transformation power after some time. For example Radio when invented promised a kind of utopian future for human knowledge, education and enhancement and change society in a revolutionary manner but radio did not realize this vision as envisaged by many technological determinist writers and powerful leaders at that time. It applies to Television as well.In addition news papers and libraries still exist side by side with web technology but they use web technologyTo advertise their services and to delive r services efficiently and expand markets as web technology is more spatial than the other technologies.ConclusionAs discussed above technology definitely to some extent shape our lives. However it does not shape our life in a revolutionary manner as proposed by the technological determinist theorists. Other factors play a part in shaping the technology itself and social, Institutional, political and cultural factors affect societies development and progress as well. In addition the new media technology as discussed above do not replace it but supplements and converge. It is also from the above discussion some theoretical insights in a limited manner applies to web technology as well in terms of its collective consciousness in some contexts and seeing web as a medium and the human-technological interface as theorized by some technological determinist theorists.In my view the Technological determinist theory is applicable in some circumstances and context but it is not applicable to web technology or any other technology that technology itself will transform society. However web technology compared to older technology has a potential to be in our day-to-day life in a long-term trajectory because of its versatility and its special communication medium.BibliographyRobert Burnett, P. David Marshall, (2003) Web Theory: An Introduction, Chapter 1: Web Technology, London & NY: Routledge, pp7-22

Sunday, September 15, 2019

Heart Disease

Heart Disease Kayla Tusa Adelphi University Abstract This paper is aimed to view heart disease and show the effects that it can have on the person who has it. The points made in this paper will show what heart disease does to the body. It shows symptoms and treatments that are used with this disease. It mainly shows the facts about heart disease. The illness in my family that I feel poses the greatest threat to me is heart disease. Heart disease has been in my father’s family for a few generations. My father has heart disease and has had two heart attacks during his life.My father had to have quintuple bypass surgery after his second heart attack. My grandfather and great grandfather on my father’s side also both had heart disease and passed away from heart attacks. Since I have all of the knowledge I am aware of this disease and the effects it can have. I also realize the risk I have and take precautions as often as I can. The full name for heart disease is coronary he art disease. This is when there are blockages in the coronary arteries. These blockages are usually cause by atherosclerosis. Atherosclerosis is the buildup of cholesterol and fatty deposits, also called plaques, on the inner walls of the coronary arteries† (A, 2). When these blockages start to form issues come about. Since the arteries are being blocked, it can result in less blood traveling to the heart. If the blood traveling to the heart is restricted then this can cause problems to arise. If the heart does not get enough blood that means it is also not getting enough oxygen and nutrients. One signal that shows this is occurring is chest pains. The name of these chest pains is angina.Another problem that can occur from this blood restriction is a heart attack. A heart attack happens when the heart needs more energy than can be supplied to it from the blood supply it is receiving. There are many factors and causes that heart disease can have. â€Å"The most common risk fac tors include smoking, family history, hypertension, obesity, diabetes, high alcohol consumption, lack of exercise, stress, and hyperlipidemia† (A, 8). Studies have shown that about 54% of cases are linked to smoking, 20% of cases are linked to obesity, and 7-12% of cases are linked to lack of exercise (A, 9).I have asked my father what the causes have been for his heart disease. The causes of my father’s heart disease were smoking, family history, and stress. My father is not able to control family history. He also cannot control when he has stress but he has made efforts to manage his stress better. One thing he has done is that he quit smoking after his second heart attack. He knew that he needed to do this in order to not make his disease worse. A person can also have a higher risk of having heart disease if they have a history of high blood pressure in their family (A, 13-14).There are symptoms of having heart disease. Unfortunately these symptoms are not always not iceable. Sometimes the symptoms are obvious and sometimes there are no symptoms at all. In the early stages of heart disease it is likely for there to be no symptoms. Angina is the most common symptom of heart disease. This is why chest pains are seen as being very serious. The chest pains are felt when the heart is not getting what it needs to function properly. The pain that one experiences differs depending on the person (B, 14-15).This is very dangerous because when the heart is not getting what it needs there may be pains in other parts of the body. The pains do not always occur in the person’s chest. Pain may be felt in the neck, arms, stomach, upper back, or under the sternum (B, 16-17). This is dangerous because one may not realize what the cause of the pain is and may not get the proper treatment for it. When my dad had his second heart attack he did not have chest pains. He had pains in his upper back and was not planning on going to the hospital. He ended up changi ng his mind and was lucky he did because he needed immediate care. Women, elderly people, and people with diabetes are more likely to have symptoms other than chest pain, such as: fatigue, shortness of breath, and general weakness† (B, 20-23). Heart disease cannot be cured, but it has been proved that people can reduce it by making some changes in their lifestyle. One thing listed is a plant-based diet which was shown by Caldwell Esselstyn and Colin Campbell. It states that this diet is â€Å"effective as a treatment of coronary disease, and generalized atherosclerosis† (A, 16-17). Some other changes that can help are weight control, not smoking, avoiding trans fats, consuming fish il, decreasing psychosocial stress, and exercising. When exercising, it is most helpful to do aerobic exercises like walking, jogging, or swimming because it can help decrease blood pressure. When having heart disease, people may take medications as well. One type of medication that is used i s a daily intake of aspirin. Other medications used are usually ones that lower cholesterol. If someone with heart disease has enough blockages in their arteries, they may need to have coronary artery bypass surgery. This surgery is also known more commonly as open heart surgery.This surgery helps clear the blockages that are in the arteries. Another option for treating blockages is coronary angioplasty. This is more commonly known as stents and it is non-surgical (A, 27-29). Multiple tests must be done before heart disease can be diagnosed. Some of the tests that are done are: coronary angiography, echocardiogram, electrocardiogram, electron-beam computed tomography, exercise stress test, heart CT scan, and a nuclear stress test. Coronary angiography is â€Å"an invasive test that evaluates the heart arteries under x-ray† (C, 29). An echocardiogram allows doctors to see the heart beating, and to see the heart valves and other structures of the heart† (D, 14-15). Electr on-beam computed tomography is used to look for calcium. Sometimes there is calcium in the lining of the arteries which increases the chance of getting heart disease. â€Å"An exercise stress test is a screening tool used to test the effect of exercise on your heart† (E, 1). A Heart CT scan is â€Å"an imaging method that uses x-rays to create detailed pictures of the heart and its blood vessels† (F, 1-2).A nuclear stress test is performed to see the blood flow is to the heart both when the body is resting and when it is active. Heart attacks are likely to occur when someone has heart disease. â€Å"Most heart attacks are caused by a blood clot that blocks one of the coronary arteries. The coronary arteries bring blood and oxygen to the heart. If the blood flow is blocked, the heart is starved of oxygen and the heart cells die† (G, 3-4). The substance that could block these arteries is plaque. This is the most common cause for a heart attack. When someone has a heart attack the cause of the heart attack cannot always be determined.Heart attacks can happen at many different times. Some of these times are, â€Å"when you are resting or asleep, after a sudden increase in physical activity, when you are active outside in cold weather, or after sudden or severe emotional or physical stress, including an illness† (G, 10-15). Heart attacks can come suddenly and can cause a lot of damage, so it is very important that they are dealt with right away. As soon as someone thinks they may be having issues they should get help and not wait. This is because with heart attacks, the patient is more likely to die within the first few hours of having the heart attack.Some other symptoms of a heart attack that have not been stated are anxiety, cough, fainting, light-headedness, dizziness, nausea, vomiting, heart palpitations, shortness of breath, and sweating (G, 30-37). Heart attacks with no symptoms are known as â€Å"silent heart attacks† and are dangerous because the person has no signs. When someone goes to the hospital for a heart attack they will be cared for in many different ways. The patient is first hooked up to a monitor so that the doctor is able to see how their heart is beating.The patient also receives oxygen because it helps relieve the heart and takes stress off of the heart because it doesn’t have to work as hard. The patient is also giving an IV because this gives medications and nutrients to the patient. Some people may receive a drug such as morphine in order to reduce chest pains. Another medication that can be given is aspirin. The medication that is administered to the patient depends on what is safe for the patient. If the patient has abnormal heartbeats then they may need electric shocks in an attempt to fix these (G, 57-62).Heart disease is the number one killer of men and women. Heart disease is deadly and can take someone’s life before they know they are in any danger. My great gr andfather had heart disease and passed away after having a heart attack. My grandfather passed away after having a heart attack as well. He was having a normal day and doing his day to day routine when he had his heart attack. He did not speak of any symptoms and had a sudden deadly heart attack. My father has had two heart attacks in his lifetime. He went to the hospital for his first heart attack because he was having chest ains. He had his second heart attack he went to the hospital because he had pains in his back. Soon after being there he found out he had five arteries blocked and needed to have immediate surgery. The recovery took a very long time for him, but he has made some changes in his lifestyle for the better. Heart disease is a serious illness. It is a disease that has been in my family for generations. I am scared because I feel I am at risk of getting this disease. Although I am nervous I am also very informed on the topic and what steps I can take to try to prevent this disease.I am very cautious and try to shape my life around preventing heart disease from entering it. Works Cited a- http://en. wikipedia. org/wiki/Coronary_disease#cite_note-Prevent_and_Reverse_Heart_Disease-11 b- http://www. ncbi. nlm. nih. gov/pubmedhealth/PMH0004449/ c- http://www. nlm. nih. gov/medlineplus/ency/article/007115. htm d- http://www. nlm. nih. gov/medlineplus/ency/article/003869. htm e- http://www. nlm. nih. gov/medlineplus/ency/article/003878. htm f- http://www. nlm. nih. gov/medlineplus/ency/article/007344. htm g- http://www. nlm. nih. gov/medlineplus/ency/article/000195. htm