Monday, September 30, 2019

Culture and Telecommunication Essay

Telecommunication has been defined as a science of technology and communication at a distance by electronic transmission of impulses, as by cable, telephone, telegraph, radio, or television. Telecommunications is an important area of professional growth. It has also been define as the electronic systems used transmitting messages, as by cable telegraph, telephone, radio, and television. Despite of the sophistication of today’s state of the art communications technology, communication gap is still prevalent and unresolved in the twentieth century. According Minako O’Hagan, communications technology has done â€Å"nothing to resolve the language barriers that prevent a free flow of communication among people who speak different languages† (p. 1) O’Hagan pointed out that today’s world of modern communication, distance, time, and quality have â€Å"ceased to be an issue† as â€Å"Webs of communications networks covering the globe criss-crossing each other with electronic highways on which voice, data and images flow at the speed of light, oblivious to physical boundaries and national borders. These highways provide the backbone of the information structure in the same way as the transport network provides the backbone of the physical infrastructure† (p. 2) However, despite of the modernization of the technology of human communication language barriers remains unresolved in most parts of the world. O’Hagan cited a case in March 1989, at an international hotel in Auckland New Zealand, where a Japanese businessperson with very limited English made a call to the hotel reception. The English-speaking receptionist struggle as she cannot understand her Japanese guest, she then assumes that the man wanted to make a long distance call to Japan guest so she connects him with the international operator who had also difficulty communicating with the man so she puts him through to an international operator in Japan. Finally, the Japanese operator informs the New Zealand operator that the man merely would like to order breakfast delivered to his room. An internet article entitled Communication emphasized that not understanding the language can impede human communication as shown by the case in point above as messages, verbal and non-verbal are in a different language. Context, history of the occasion, relationship, and culture are some of the factors that need to be addressed to be able to have effective human communication. Human communication varied depending on the particular occasion. Jungle drums, smoke signals, morse code, photography, and art are artificial communication instrument used by different groups of people even today. These instruments are as effective and as clear as the verbal communication. The most common methods of communication, which commonly used every day, are the written and spoken language, hand signals, and body language. In general, the mediums of human communications are the mass media, composed of print and broadcast, which denote a section of the media, conceived and designed to reach a large audience, and the telecommunication, which is another major communication medium that conveys signals over a space for the purpose of communication. The article emphasized that modern method of communication such as; via-e-mail, internet forums, and text messaging now permit for intense long-distance exchanges between larger numbers of people, while the traditional broadcast media and mass media such as television, cinema, radio, newspaper, and magazines, still cling to one to many type of communication. Verbal Communication According to Robert M. Krauss of the Columbia University, communication takes place when signals transmit information-bearing messages between a source and a destination (p. 2). Krauss noted that human communication is distinguished for its exactitude and flexibility through the use of language. Verbal communication necessitates the use of words, symbols, vocabulary, and numbers and is arranged in sentences using language. It includes phrasing of words clearly and positively, in which the words and its explanations affect thought and determine emotion (Krauss p. 2). In general, human communications use two kinds of signal, signs, and symbols. Signs are indications that are causally associated to the message they convey, while symbols are the result of social gathering. An internet article entitled How to Improve Verbal Communication cited that verbal communication can be express through telling or reading a story to convey effectively a message. The article noted that stories hold influence to persuade a person to relate to the message. Human communications have four main channels common to the work place or even in the society, the written communication, the telecommunication, the third party communication, and the face-to-face communication. The written communication includes letters, memos, faxes, e-mails, and even text messaging. The concept of written communication according to a web article entitled Communication is that it provides a common message for everyone, as recipients will read the same words. However, the same article stated that the actual words amount to only 7 percent of the message and the remainder is made up of 38 percent tone and nonverbal clues at 55 percent. In other words, the receiver of the message is left with the remaining 93 percent for his or her own interpretation of the message. Telecommunication on the other hand, includes telephones, cellular or mobile phones, intercoms, and other voice communications. According to the same article, telecommunication is more effective than the written communication in conveying a message because it used 45 percent capability of understanding the message as it allows immediate interaction between the sender and the receiver, although there is still remaining 55 percent of the message’s potential unavailable to the receiver. The worse of the four human communications channel, The Third-Communication, the message is subjected to a second meaning, which is that of the person acting as the channel of communication. The message may no longer be concrete as what the sender intended. The fourth communication channel however, which is face to face conversation offers the full array of communication as sender can pass on the desired meaning, and the receiver can clarify or ask question if necessary. Thus in human communication, the most effective would be face-to-face communication followed by telecommunication, written communication in third and third party communication. E-mail simply means electronic mail and is a store and forward method of creating, transferring, and storing, receiving messages to a web portal, or straight to one’s computer or laptop by means of a program such as Microsoft outlook. E-mail messaging has improved the web mail service, which has now the ability to send text message to cell phones directly from e-mail for free. Jefferson Graham calls it â€Å"social Communication† as it makes easier for the public to go back and forth between e-mail, instant messaging, and text messaging. The e-mail messaging is currently dominated by Yahoo mail service with 83 million users in the United States alone. Instant messaging on the other hand is a form of real time communication between two people base on typed text. Text messaging is transmitted using computers linked over a network such as the internet. The difference between instant messaging and e-mail is that instant messaging offers a real time conversation while the e-mail is in letter format where communication may be delayed. Text messaging is a popular form of online messaging. It is defined as a means of conveying short messages to and from mobile phone. Text is a usually the term for transfer of short messages, consisting of 160 characters or lower. Text messages are the individual messages sent using the SMS or the Short Messaging System from the mobile phones. Cultural Differences and Similarities between Koreans and Americans In his article, Conflict Management in an Age of Globalization: A Comparison of Intracultural and Intercultural Conflict Management Strategies between Koreans and Americans, Jongbae Hong noted that findings of his study reveals that both Koreans and Americans were inclined to use similar patterns of Conflict Management Strategies CMS in administering intracultural conflict. Hong found out that while Americans prefer a competition strategy and an assertive orientation, the Koreans tend to avoid strategy and a cooperative orientation to Americans. Another cultural difference between Koreans and Americans is in the Korean’s use of compromise and collaboration strategies and their supportive tendency for managing difference in intracultural interface, Hong explained that Koreans tend to decrease in interaction, the American on the other side tend to also decrease in intercultural interaction in their use of competition strategy and their assertive tendency for managing conflict. Further difference between Koreans and Americans can be observed in the concept of family. In their article entitled Korean Version of the Geriatric Social Readjustment Questionnaire: Cross-cultural Comparison between Koreans and Americans in the Perception Life Events, Seung Chul Shin, SunTaek Whang, Chan Hyung Kim, and Ho Young Lee emphasized that Koreans strictly valued family in line with Confucianism, and are keenly mindful of the importance of the family unity, continuity of the family name, and economic security. Elderly are living with their adult children and tend to be dependent on their children. In Contrast, American family centers on individualism. Children 18 years old and above are expected to live on their own and adults live in the retirement villages or home for the aged. According to Hong, the development of communication and transportation technologies has made the world become a huge global community. Because of this development human interactions and communications between different cultures such as political, social, economic, and cultural boundaries have greatly increase as a result of global connections. The internet technology has facilitated intercultural interactions and communications in cyber space and the development in international transactions, for people who are seeking to study, or to work overseas, and for migration. The intercultural communication provided by the internet establishes the link between cultures through the e-mail messaging service. Language Barriers and Miscommunication caused by Cultural Backgrounds Language barrier normally occurs in every situation particularly if there is a language, cultural, or sexual differences. However, Kimberly Moynahan Garson asserts that language barriers even occur between two people who speak the same language, with the same culture, and even of the same sex. This language barrier according to Garson has to do with behavioral preference for perceiving or judging. Moynahan explain that people differ in perception and judgment regards less of cultural linguistic or sexual similarities. She points out that a person can obtain information and never applies judgment or can apply judgment to something without receiving complete information. Moynahan goes on to further explain that these tendencies, creates language barriers as some would chose the perceiving process withholding judgment as long as possible, while others would jump to the judging process hastily as they can which leads to different actions. This in turn becomes a language barrier. The differences on the human preferences between these two, leads to miscommunication, never-ending rounds arguments and conflict and frustrations. According to a web article entitled Language Barrier Leads to Medical Mistakes, language barrier pose serious threat in hospital patients’ particularly non-English speaking patients. The article emphasized that even with interpreter, translations mistakes may result to serious medical consequences. Realizing the serious consequences of the language barriers, hospitals employed trained interpreter to assist patients who are non-English speakers. Language barrier is one cause of miscommunication in America due to the growing foreign-born population and cultural diversity in the population of the United States. The truth is, cultural and language hindrances can create complications and hinder effectiveness in the workplace. In a report, eighteen percent of the U. S. residents aged five and older speak other than English at home while Spanish and Asian languages has eleven and four percent respectively, which pose barriers for settlers as well as in the workplace. Language alone affects the way of interacting and relationship of people, which reflect with the way they exhibit behavior, beliefs, values, and practices (Lee, 2003, p. 3). Lee mentioned in his paper that language barriers were ranked among the top three barriers †¦ that prevented minorities and the poor from receiving necessary [health] care (p. 6). The influx of immigrant workers in America and other part of the world is a respond to the growing need for workers particularly in the construction, service, and manufacturing industries; and that it creates challenges among them to overcome cultural and language barriers that they experience. Thus, it is the best concern of company manager and owners to bridge the cultural and language barriers that divide the workers in the place of work. The Charlotte-Mecklenburg Workforce Development Board (2002) has identified common cultural and language that often show up in the workplace in general; they are: roles and status, personal space, body language, religion, and personal appearance (p. 4). Roles and status refer to interaction that goes with male and female while doing various roles assigned to them considering the fact that men and women are distinct in personality and differing cultures have dissimilar outlook to sexes. Personal space is another cultural value since people have contradictory perspective when it comes to distance when conversing with one another; Americans prefer five feet distance while Arab and Latinos like closer space, and others like more distance. Body language as a nonverbal communication gives meaning, which may be interpreted wrongly by person from other culture. Personal appearance like hygiene and grooming is obviously different from one country to another. People give their judgment based on their cultural standards. Thus, language barriers and cultural barriers go hand in hand while in the workplace, which present nuances or problems among the employee. In order to prevent problem, it is necessary that employers have clear understanding of what is going on, and face the problem by giving the workers continuous seminar in order to overcome the differences. Writer’s Personal Experience with SK Telecom SK Telecom as a telecommunication company based in South Korea is one of the country’s largest business group. The company that started in 1984 offers its clienteles with a wired and wireless incorporated multi-internet service. Being internationally known and globally competitive, it almost achieved its peak in handling intercultural differences, from handling clientele, stakeholders, and workers to meeting demands for much advance technology through which communication is vital in the success of the company. Working in a Korean company is totally contrasting to the typical American culture primarily because of language and other cultural values. Koreans are hardworking people, yet they enjoy life and entertainment as well. With a strong devotion to vertical relationship such as with family, relatives, co-workers, classmates, and friends, Koreans tend to support the people closest to them than with other people of different culture. They are also nationalistic who take pride of their national identity. In my experience as a Korean-American employee in that company, I encountered some difficulty adjusting to the culture; though I grew up in a Korean community in America, working in a Korean company is a different experience. The mere fact that Korean company uses a â€Å"top-down management style,† many workers and employees at the bottom of the chain often exploded into violent strikes; usually the chairman and other top administrative personnel are very powerful and all-knowing who do not accept opinion. However, in the recent years, they began to adapt new policies of teamwork among them in order to bridge the gap and lessen the problem brought by cultural diversity. Conclusion Human communication is a blessing from God to humanity for with out it, human society could have ruined along long time ago. Communication makes life more exciting as it brings the world closer especially during the present time in which modern communication technology has transcends all the barriers that were considered in the past as next to impossibility. Practically, the blessings of modernization have erased all this barriers, and the world is heading towards a more unified global community in its effort to further improve the quality of human life. Regardless of race, cultural orientation, and educational attainment, every one must take advantage of the opportunity to communicate with another not only for personal gain but to be able to contribute in the global direction to improve the quality of life, and the world that we live in. Work Cited Cultural and Language Barriers in the Workplace. Charlotte-Mecklenburg Workforce Development Board. http://www. charlotteworks. org/clbpositionpaper. PDF Communication http://www. cod. edu/Course/MGT100/mgtcomm. htm Graham, J. Yahoo gives E-mail Texting Capability http://www. usatoday. com/tech/products/services/2007-08-26-yahoo-mail_N. htm Hong, J. â€Å"Conflict Management in an Age of Globalization: A Comparison of Intercultural Conflict Management Strategies between Koreans and Americans. † http://lass. calumet. purdue. edu/cca/gmj/sp05/graduatesp05/gmj-sp05gradinv-hong. htm â€Å"How to Improve Verbal Communication. † http://www. about-personal-growth. com/verbal-communication. html Krauss, R. M. The Psychology of Verbal Communication http://www. columbia. edu/~rmk7/PDF/IESBS. pdf â€Å"Language Barriers Lead to Medical Mistakes. † http://healthlink. mcw. edu/article/1031002276. html Lee, Sharon M. (2003). â€Å"A Review of Language and other Communication Barriers in Health Care. † http://www. hablamosjuntos. org/resources/pdf/SMLeeCommunication_and_Health. pdf Moynahan, K. â€Å"Language: What’s Your Style? † http://www. archaeolink. com/language_barriers. htm Shin,C. S. , et. al. â€Å"Korean Version of the Ceriatric Social Readjustment Questionnaire: Cross-cultural Comparison between Koreans and Americans in the Perception of Life Events. † http://www. eymj. org/1989/pdf/38. pdf â€Å"View Source for Communication† http://en. citizendium. org/wiki? title=Communication&action=edit â€Å"What is Online Messaging† http://www. ancomm. com/igeneration/what_is_online_messaging. html

Sunday, September 29, 2019

Psychology Ia Notes

Psychology Summer Assignment 2011 Due first class back in August/ September: Draft of Introduction and Design of Psychology Experiment. HL Psychology: IA is graded out of a score of 28. It is worth 20% of your final grade. 1500-2000 words SL Psychology: IA is graded out of a score of 20. It is worth 25% of the Final Grade. 1000-1500 words Refer to the IB Guide for First Exams in 2011 as you write your paper, and keep in contact with me. Here is a website from which you can download the Psychology Guide: http://www. bsurvival. com/files/file/1134-psychology-guide-for-first-examinations-in-2011/ Here are the parts of the IA that you must submit in our next class in August: Introduction (5 points HL; 2 points SL)) Method: Design (2 points for SL and HL) Method: Participants (2 points for SL and HL) Method: Procedure (2 points for SL and HL) Key advice: NUMBERS: Make sure that you choose an experiment that has results that can be measured on a broad scale. So observers in Bandura were not told to rate violence on a â€Å"yes† or â€Å"no† basis, but to count the number of violent acts; Milgram had many intervals on his â€Å"shock machine† that enabled him to measure and compare statistics about what point people would drop out at; Loftus and Palmer asked participants to estimate speeds in miles per hour, as opposed to â€Å"were they going fast or slow. † You will be calculating statistics and showing trends. The more detailed the numbers, the more you can say about them. And nearly half of your IA grade will be based on what you do with these numbers. ETHICS: Refer closely to the Guide as you prepare. PARTICIPANTS: there are many characteristics of participants that can be considered confounding variables. You should know your experiment well enough to avoid these. DESIGN: Repeated measures or independent samples. The answer to which one you choose is always logical, but you must show that you understand the logic. METHOD: It must be possible for the reader to replicate your study based on what you write. A word of encouragement: You should be carefully selecting the experiment that you will replicate over the summer. I have asked for a draft of the first parts of the paper to get you to start writing in the IA style. If you over the summer you find that you cannot write about your experiment, you will still have time to choose another one. I will be available throughout the summer through emails, and at times through Moodle, so keep in touch. The IB says that you must have 30 hours (SL) and 40 hours (HL) of class time devoted to the IA. I prefer to use this time to work on how to do the experiment, express the results, debate the conclusions. But for that, you need to get through the simplest processes on your own. Every one of you is capable of a grade of â€Å"5† if you are diligent. And once you know you have an IA grade of â€Å"5,† you'll have renewed confidence and motivation to get through the final months of the course. Due Dates: First Draft (all parts) by October 20 (last class before the Toussaint break) Papers will be returned with comments and advice after the Toussaint. Final Draft: IB and Ermitage approved deadline is December 10. This information can also be found on your Moodle Y1 Psych site.

Saturday, September 28, 2019

The Rise of Fascism and Japanese Imperialism Essay

The Rise of Fascism and Japanese Imperialism - Essay Example The three primary factors were: Japanese militant imperialism, the failure of the League of Nations, and Nazi Germany’s inability to abide by their own treaties. America tried to avoid being directly involved with the military, by assuring its military neutrality at several conferences and through arms deals. Despite America’s proposed neutrality, it did certainly favor its old allies from the days of the First World War, and oppose the spread of fascism. It thus attempted to aid its allies through arms deals such as the lend-lease act, which would provide American made military machinery of various sorts to the British for free in the short term, supposedly expecting repayment in the long term (Brinkley 243). America thus tried to avoid getting directly involved with the conflict while still providing its allies with the materials necessary to win it themselves. America’s attempts to avoid conflict were foiled by several factors, the most notable of which was Ja panese imperialism. The United States and Japan both had significant pacific colonies, with the United States holding Hawaii and the Philippines while Japan had a series of pacific islands. This brought the two nations into conflict, and all but assured that Japan’s imperial aims would eventually come up against American land claims. This conflict led to the proximate cause of America entering the Second World War, the Japanese attack on Pearl Harbor. Because of the alliance between Japan and Germany, the attack had to be considered an act of both parties, and the United States was thus directly thrust into the Second World War. Though Japanese imperialism was a proximate cause that directly led to the United States entering the conflict, there were several other factors that would have all but guaranteed that the United States would have eventually had to get involved regardless. One of these was Germany’s lack of honesty and integrity when dealing at peace conference s, especially the Munich conference. At this conference, a European line in the sand was drawn, indicating that Germany’s actions up to that point, such as annexing Austria or Czechoslovakia would be accepted (in part because those, especially Austria, were already in Germany’s sphere of influence and at least partly culturally German). Germany’s technically illegal expansion of its army was also legitimized, in large part because allies had begun to realize how unreasonably harsh their victory conditions after WWI were. The conference also indicated, however, that Germany would not continue future territorial expansions such as invading France or Poland. Germany agreed to this plan, then relatively quickly afterwards, built up their military and invaded Poland. This indicated that Germany’s peace promises could not be trusted, which means that the United States would never feel assured of its safety. The failure of the League of Nations also guaranteed a n eventually entry into the conflict by the United States. The League of Nations was a group proposed by Woodrow Wilson at the close of the First World War as a mechanism to stop future wars: it would be a place both for diplomatic discussions and have military power to engage in defense actions, forcing an armed truce amongst all

Friday, September 27, 2019

Essay Questions 100-150 words Assignment Example | Topics and Well Written Essays - 250 words

Essay Questions 100-150 words - Assignment Example This occurs also because of giving little emphasis on pre-writing stage. Thus, the topic about audience identification interests the author most. Knowing the readers with their knowledge, â€Å"technical expertise,† subject perception, social stratification, etc. (Druker, n.d.) and considering restrictions like essay length and information enables the writer to successfully narrow the subject (Hunter College Reading/ Writing Center, 1999). Audience orientation also gives an advantage to properly identify the writing format, tone formality, and information complexity. Understanding the elements of writing situation can improve the author’s ability to keep abreast with the needs of the readers. This learning also ignites a paradigm shift in dealing with compositions: one should first spare enough time, understand the audience, and determine the reasons for writing before putting anything in paper. The author would like to emphasize that writing situation is about writing effectively through analyzing all the elements of an article. Furthermore, its elements assist amateur writers to properly prepare and deliver a

Thursday, September 26, 2019

WALMART'S OPERATIONS AND MANAGEMENT Essay Example | Topics and Well Written Essays - 500 words

WALMART'S OPERATIONS AND MANAGEMENT - Essay Example Market analysts are of the opinion that Walmart will retain its top position ("Turning Point"). With this trend, it seems that Walmart will definitely continue its dominance in the consumer market, at least in the foreseeable future. It definitely does not hve a problem with the number of retail stores it owns; in the United States alone,it has about 3900 retail outlets ("Annual Dividend"). Walmart is a very aggressive company, and is currently opening about 1.45 stores per day. Although Walmart shares have mostly not grown, it will most likely increase in the immediate future. In a research note, Edward Jones analyst David Powers said "We believe Wal-Mart's growth outlook remains favorable." Powers believes that by April this year, growth will accelerate to nearly 13%. (Van Riper) Walmart's main concern is its slow growth rate, although this seems to be a minor problem at the moment. In January 2006 Walmart's same-store sales growth was 4.7%, compared to the previous december's 2.2%. (Van Riper) It is interesting that Walmart has what is probably the world's largest computer database, in its 1000-person Information Systems Division. This database has a capacity of 460 terabytes, equivalent to almost half of the information on the Internet. (Bianco) Walmart is able to reduce payrol costs through automated generation and adjustment of work sch

Wednesday, September 25, 2019

Collecting Waste Recyclable Products and Different Projects Essay - 7

Collecting Waste Recyclable Products and Different Projects - Essay Example The project managed to collect as much as forty million pounds of waste materials in this year. The project only concentrated on moving around the Terre community and collecting waste material that is recyclable and delivering it to the enterprise for recycling. As a recycling facility, Indiana State University started out with a Wastage Management department in 1990. This department, at the time, comprised of two old cubic yard compactor trucks, five employees and a Cushman truck. The knowledge regarding recycling was not as plentiful as it is nowadays. In addition, the department did not have the necessary budget to undertake effective recycling activities. However, this did not deter them from recycling aluminum can which was the recycling trend at the time. Since then, the department has grown by leaps and bounds to its current state. At the moment, ISU recycling activities are recognized by the Indiana community. The program has developed a drop-facility and has started accepting e-Scrap. Its recycling statistics are impressive considering they have recycled more than 2 million pounds to date. The main activity was driving around collecting garbage. We would drive around in trucks and load recyclable materials to the trucks. The materials include plastic bottles except those that carried oil, glass bottles, cardboard, old telephone books and any other recyclable materials and glass containers provided they did not contain Pyrex. While recycling trash and garbage, we learned the procedures of handling solid waste in the county of Indiana. In the state, we learned that the Indiana County Solid Waste Authority was the authority in matters regarding the disposal of solid waste. This authority was formed as part of the county’s compliance with the Pennsylvania Act of 101 of 1988. All members of the Commonwealth of Pennsylvania has to enforce the  appropriate solid waste disposal techniques.

Tuesday, September 24, 2019

Proto-oncogene in prevention of cancer is my focus biochemistry Research Proposal

Proto-oncogene in prevention of cancer is my focus biochemistry - Research Proposal Example A mutation at the proto-oncogenes results in the production of oncogenes that can cause the hereditary cancer syndrome. The mutation causes the change in the oncogene protein expression level and a change in the structure of the protein. If more than one oncogene is activated in the cell, then the abnormal cancerous cell production occurs. Proto-oncogenes are activated by three mechanisms. They are point mutations, chromosomal translocations, insert mutations, protein-protein interactions and gene amplification. Ras protein is an important product of proto-onco gene. Ras is one of the most important switches in the cell signaling pathway.1 There are three Ras proteins in the mammals. If any mutation occurs in the ras protein then it will result in the cell proliferation stimulation and finally apoptosis will be inhibited. Thus tumor cells will be produced. The ras mutation is one of the reasons for 30% of all the human cancer. H-ras, K-ras and N-ras mutations are found in almost all types of cancers. 1 Hence research in this field is much essential because of its importance in the carcinogenesis. Anti cancer therapy for the Ras protein is preferred in order to reduce and cure the cancer. Can anticancer therapy cure cancer? Scientific Background: McGlynn et al. (2009) looked up at the Ras/Raf-1/mitogen-activated protein kinase (MAPK) pathway and looked its role in the development and proliferation of cancer.2 They used chemotherapy for the treatment of cancer. Tamoxifen was used for the treatment. They looked up to know whether MAPK pathway has any major role in the carcinogenesis or not? Tamoxifen is an estrogen antagonist and the study was performed to check whether they can act as a target for the estrogen cancer therapy or not? For these two questions Mcglynn et al have found that Ras pathway responds very less for tamoxifen and good for chemotherapy. pRaf(ser338) is found to be the best marker with great effect for the targeted estrogen therapy. A combinati on of chemotherapy along with tamoxifen is required for the therapy. Further new researches are going on to identify small and simple molecules for the treatment of cancer. The signaling pathway molecules are considered to play a very important role in the cancer therapy. Farnesyltransferase (FTI) is an important inhibitor of small molecules. This enzyme is very important for the prenylation of Ras. Tipifarnib is one of the FTI that are used for the treatment of cancer. Here the role of tipifarnib in the Ras signaling pathway was analysed and the growth arrest and cell death related to the ERK and MAPK pathways were looked upon.3 Tipifarnib treatment was found to inhibit and sensitize the ERK and MAPK pathways. They have concluded that geranyl geranylated N-Ras or K-Ras BÂ  are sensititve to tipifarnib and interact in a different manner in the downstream signal processing at the osteosarcoma cells. This helps to maintain the balance between the cell death and proliferation. 3 The m etasatasis ability of the cells is found to be enhanced by the ras activity. The poor understanding of the Ras protein is a big draw back in the treatment of cancer. Here Varghese et al (2002) have looked up to know whether macroscopic metastases are being affected by Ras or not. They have used Green fluorescent protein-transfected NIH 3T3 and T24 H-ras-transformed (PAP2) fibroblasts in the mouse and looked for the

Monday, September 23, 2019

Airline Scheduling. A Business Plan For An Airline Essay

Airline Scheduling. A Business Plan For An Airline - Essay Example Moreover it needs to be estimated that what is the amount of revenue that would most probably be generated and how would this revenue effect the airline business as a whole. The emerging courage from within the skies runs through the staff of the company as well. â€Æ'SELECTING A FLEET FOR THE AIRLINE The construction of a good quality of flight schedules is essential for the effective and optimal performance of an airline business. This optimal performance involves the achievement of customer satisfaction and the maximizing of profits. The robust the acquiring of fleet and aircrafts is, the better it shows how good and optimal would the prospective schedule of the airline would be. Selecting a fleet for the airline is the first process that needs to be evaluated. Modeling of a fleet is usually a highly complex process. This process involves a number of skills and knowledge of the business to a considerable extent. In the words of Paul Clark, â€Å"Fleet planning is a process by which an airline acquires and manages appropriate aircraft capacity in order to serve anticipated markets over a variety of defined periods of time with a view to maximizing corporate wealth.† (Clark, 2007) While constructing the making of a fleet it should be considered that buying airplanes is a large task and should not be done keeping only the current time period in mind. Rather, several upcoming time frames should be taken into consideration. One of the factors that effect fleet planning is fleet management tactics such as aircraft trading. Moreover the following factors should be taken into consideration: Total Cost of Ownership including Purchase Price Maintenance Costs Fuel Efficiency. The $500 Million that have been assigned need to be properly bifurcated in the above mentioned parts. ACQUIRING AN AIRCRAFT Acquiring an aircraft is the biggest step among all the steps that are involved in the acquiring of an aircraft. Aircrafts can be acquired anew or they can even be reused. There are number of commercial jet organizations that lend their jets on rental basis. Moreover, they even have jets that are reused and can be purchased. One thing that should specifically be taken into ac count while purchasing aircrafts is their need to last long. These are the basic investments in the airline business of the company. The better investment there is in this regard, the better it would be for the future prospects of the company. According to a leading edge CEO Gary Justice, the following mentioned methods of aircraft acquisition work best for all types of people who want to go for the purchase of an aircraft may they by needing it for personal or corporate use. He is quoted to have said: â€Å"The three phases of aircraft acquisition are strategic planning, tactical implementation (execution of the strategic plan) and operations (operational

Sunday, September 22, 2019

Article analysis Assignment Example | Topics and Well Written Essays - 1250 words

Article analysis - Assignment Example In both scenarios, the business success for both companies and suppliers will depend on the depth and strength of their relationship. This paper starts with an explanation of the common mistakes companies commit in dealing with their suppliers. Several factors that companies should consider before getting a supplier or outsourcing a business process will follow. Different types of supplier relationships are then explored. The paper ends with a discussion of properly managing supplier relationships. 2. Mistakes to avoid in supplier relationships The first mistake that companies commit even before entering into supplier relationships is the lack of organizational/business process analysis. Companies often enter into supplier relationships without first knowing what the company really needs. These â€Å"unevaluated processes† blind a company from the areas where it excels and areas where it needs improvement (Aron and Singh 136). A company, then, might mistakenly outsource core p rocesses which are vital to its functioning, or manufacture in-house those components which can be sourced from suppliers at lower costs with same quality, for instance. Another mistake companies make involves getting into supplier relationships for the wrong reasons. ... Venkatesan talks about the fear of some companies on being â€Å"hollowed out† once they establish a relationship with a supplier (99). These companies fear that sourcing components from suppliers makes their products lose their unique qualities which make them less competitive. While this fear may have a rational basis, companies tend to forget the purpose of getting a supplier in the first place. 3. Factors to consider in sourcing Several factors need to be analyzed first before coming up with a decision of whether or not to source. A thorough analysis of a company’s areas of strength and weakness should be accomplished first. This analysis will help the company determine which processes are vital and, therefore, should be kept in-house, and those processes that don’t necessarily add value to the product and, therefore, are better left at the hands of a service provider or a supplier. Aron and Singh suggest differentiating the â€Å"core, critical, and commodi ty processes† of a business organization (136). Core and critical processes usually involve management and analytical processes while commodity processes are clerical in nature. Venkatesan, meanwhile, differentiates â€Å"strategic and non-strategic components† (100). When it comes to manufacturing companies, the decision to source from suppliers usually come from an understanding of the products strategic and non-strategic components. Strategic components, as decided by management, are those that make the product stand-out from the market. These components have a direct impact on the product’s quality, differentiation, and market position. Non-strategic components, on the other hand, don’t necessarily affect the outcome of the final product. This can be the screws of a DVD player, capacitors

Saturday, September 21, 2019

Sisterly Love Essay Example for Free

Sisterly Love Essay In Bernhard Frank’s literary criticism, â€Å"Sophocles’ Antigone†, he presents the reader with elements of questionable motive and incest, not readily seen by most. Frank essentially believes that Antigone’s obvious death wish comes from being the â€Å"ill-fated bride† (line 801) not of Haemon, but rather, of her deceased brother, Polyneices. Frank says that, â€Å"it is as the bride of her slain brother that Antigone may see herself† (Frank, pg1). Frank uses Antigone’s indifference to Haemon and excessive love of her brother as support for his argument. Frank suggests that it would be reasonable to expect Antigone to want to live to become the bride of Haemon. He says it would also be reasonable to expect Antigone to wish for death if she were the intended bride for Polyneices. Frank goes even further with his incest theory in implying that Antigone has incestuous feelings for her sister, Ismene. He mentions that the chorus in the play compares Antigone to her father, â€Å"the violent daughter of a violent father† (line 430) and that Creon says, â€Å"if she triumphs / and goes unpunished, I am no man- she is† (lines 439-440). Franks believes that Oedipus had inappropriate affections for his daughters and that Antigone, like her father allegedly did, has an excessive love for Ismene. Frank points out, that in the end when Ismene offers her support, Antigone turns her down and taunts her as one may do a jilted lover. Frank feels that since Ismene has betrayed her, Antigone is all the more ready to join her brother in d eath. This is a fairly well written article. Frank uses a few specific examples and quotes that make his argument understandable, possibly even believable. However, his is use of terms such as â€Å"may† and â€Å"could†, make the reader question his ownership of this theory. It appears that he is asking the reader to just consider his line of thinking, rather than really persuading the reader to believe as he does. So while Frank’s argument is certainly interesting, and will likely cause a reader to pause and consider his theory, it is not likely to win many over. He only offers a few examples of why he feels as he does, and these examples could easily be interpreted differently. Antigone’s indifference to her betrothed is not necessarily indicative of her incestuous love of her brother, but only of her lack of real love for Haemon. Just because she was supposed to marry him, does not mean that she wanted to. She was ashamed and afraid of the curse put on her family, and wanted to escape that. Marrying her cousin/uncle was certainly not the way to end the family curse. Antigone’s treatment of her sister Ismene, is not that of a jilted lover, as Frank suggests, but just the hurt and anger that her sister did not choose to help her in the first place. She didn’t want to share the glory that the gods would certainly bestow upon her with her undeserving sister. This was an instance of sibling rivalry, and Antigone was acting as a spoiled child, but not a jilted lover. Frank’s argument that Antigone being like her father is evidence that she had incestuous feelings for her siblings is ridiculous. While Oedipus did commit incest with his mother, he did not know she was his mother when he married her. Antigone has known her siblings her entire life, and is very clear that she fears the family curse set in motion by her father, and wants to be out from under it. Antigone may be strong willed like her father, and may even have some masculine characteristics, for that time period (strong women today are not considered masculine), but that does not equal incest. Frank’s theory is certainly interesting, worth considering and definitely basis for discussion. However, there just isn’t enough evidence to back him up, and the evidence he does have is circumstantial at best. Works Cited Frank, Bernhard. â€Å"Sophocles’ Antigone†. Explicator 56.4 (1998): 170. Literary Reference Center Plus. Web. 11 Dec. 2012. Sophocles. â€Å"Antigone†. Trans. David Grene. The Norton Introduction to Literature. Eds. Alison Booth and Kelly J. Mays. 10th ed. New York: Norton, 2010. Print. 1493.

Friday, September 20, 2019

Reinforced Concrete Walls Engineering Overview

Reinforced Concrete Walls Engineering Overview Reinforced Concrete (RC) walls are often used as coupled systems in construction of multi-story buildings because of their advantages in comparison with individual walls such as higher lateral stiffness, lower bending moments on each individual wall, and higher energy dissipation because of the inelastic deformations of coupling beams (El Tawil et al., 2010). These elements have been extensively utilized in medium-rise and high-rise building structures within the past decades. Nowadays, RC coupled shear walls are popular lateral force resisting systems, especially in high-risk seismic zones (Farhidzadeh et al., 2013). The reason behind this trend is that RC coupled walls are significantly capable of controlling the inter story drift ratio, which has been frequently used as a performance indicator in design of structures (Carrillo and Alcocer, 2012). Similarly, these structural systems are quite efficient in reducing the associated implication of non-structural elements damage. The expected energy dissipation mechanism of a ductile RC wall system under lateral deformations is flexural yielding (i.e. plastic hinges) at the base of both the cantilever and coupled wall systems, and at both ends of each coupling beam in a coupled wall system (Boivin and Paultre, 2012). Series of design provisions are specified in the current codes to confine the inelastic response at the wall base. These are aimed at ensure enough strength against undesirable modes of failure like brittle shear failure(Ghorbanirenani et al., 2012). Many researchers have conducted both experimental and analytical investigations to identify the behavior of coupled walls, and to improve the performance of these systems. The C-shaped coupled wall system (i.e. core wall) is one of the simplest and is a popular arrangement used in practice. Despite their popularity, however, there have been relatively few studies on the seismic behavior of these RC structures (Beyer et al. 2008), necessitating research on the seismic performance of C-shaped cores. One of the most important characteristics of these nonplanar wall systems is their response when the structure is subjected to torsional efforts due to the eccentricity of lateral forces. This will be more significant when the structural system is asymmetric in plan regarding the lateral stiffness and strength distribution. Such a configuration in plan of a building is prone to have large torsional response during a severe earthquake. Reports and field observations after the past earthquake s showed severe structural damages because of torsional effects (Hart, 1975; Esteva, 1987). A recent investigation by Dizhur et al. (2011) reported significant structural damages, which was apparently caused by a torsionallysensitive response, after the Christchurch earthquake in 2011. Most of the researches carried out in the past focused on the behavior of planar RC walls, including various proposed approaches for predicting their nonlinear flexure-shear interaction behavior (Colotti, 1993; Elwood, 2002; Massone et al., 2006 and 2009; Mullapudi and Ayoub, 2009; Zhang and Xu, 2009; Jiang and Kurama, 2010; Beyer et al., 2011; Panagiotou and Restrepo, 2011; Fischinger et al., 2012). These approaches were mostly based on fiber-section elements such as multiple-vertical-line-elements (MVLE) proposed by Vulcano et al. (1988). Biaxial behavior of concrete material (e.g. modified compression field theory; Vecchio and Collins, 1986) were also considered in some of these approaches. On the contrary, experimental researches on the performance of non-planar (e.g. C-shaped) RC walls subjected to lateral loads are very limited. In one of the first attempts, Ile and Reynouard (2005) examined three full scale U-shaped RC walls under thecyclic lateral loading. The purpose of the study wasto study the behavior of U-shaped walls against uniaxial and biaxial bending and shear, and to compare the design provisions required by two versions of Eurocode 8. A shell model was also developed for simulation of non-planar RC walls. Beyer et al. (2008-a) investigated the bi-directional quasi-static cyclic response of ductile U-shaped RC walls by conducting experimental tests on two half-scale specimens with different thicknesses. The tests mainly focused on the flexural behavior of walls, considering different directions of loading (two orthogonal as well as diagonal). Results showed the diagonal direction as the most critical direction, in which the maximum moment resisted by the wall was less than the corresponding value calculated by the plastic hinge analysis. Moreover, the displacement capacity of the wall in diagonal direction was found to be smaller than the other two orthogonal directions. A simplified numerical model was also developed by Beyer et al. (2008-b), and a practical approach was proposed for implementation and analysis of of U-shaped walls. The numerical approach was based on wide-column analogy, and has been shown to produce reasonable estimation of the inelastic displacement response for slender walls. Constantin and Beyer (2012) used a 3D multilayered shell element model for U-shaped walls to capture their local as well as the global behavior under diagonal loading. The model was developed using the software VecTor4 developed at the University of Toronto (Wong and Vecchio, 2003), and was found to be accurate in terms of loading capacity of the wall, but not for its displacement ductility. Lowes et al. (2013) examined three 1/3 scale C-shaped wall specimens, representing a part of a coupled RC core system, under biaxial loading protocols. Results of cyclic tests showed that bidirectional loading significantly affected the response for displacement cycles in excess of the yield displacement. At these displacement levels, bidirectional loading resulted in a significant reduction in the stiffness of the wall in the direction parallel to the web of the wall (loading activating strongà ¢Ã¢â€š ¬Ã‚ axis bending). Recently, Lu and Panagiotou (2014) presented a three-dimensional (3D) cyclic model for non-planar RC walls, based on beam-truss analogy. The model was able to predict the effects of flexure-shear interaction, considering biaxial behavior of concrete material, and account for mesh-size effects. Although the proposed model has been revised several times and they validated the model for three reinforced concrete T-shaped, C-shaped, and I-shaped section wall specimens, the modeling approach was found to be complicated in terms of calibration of truss members and material properties (Kolozvari, 2013). The results were also sensitive for precisely tracking the displacement responses of walls in a wide-amplitude. In design of RC shear walls, the fundamental design equations are mainly based on the plane sections remain plane assumption, which is unable to capture the shear lag effects related to flexure and warping torsion. Such effects can be substantial in non-planar (C-, I- or T-shaped) wall configurations, and might affect the response of structural system in seismic excitations. A study Boivin and Paultre (2010) was shown that the seismic provisions proposed by NBCC 2005 and the CSA standard A23.3-04 (2014) for design of ductile RC shear walls buildings could considerably underestimate the shear demand, especially at the base of the shear wall system. This issue would be due to the fact that the amplification effects from the higher modes of vibration cannot be efficiently taken into account by the current capacity design methods. In seismic design of a multi-story ductile RC wall, this can produce design strength envelopes that largely underestimate the seismic force demand. Hence, more studies need to be conducted on the seismic performance of these structural systems and effectiveness of available retrofitting methods, both of which were investigated in the current study. A recent research (Pelletier, 2015) showed that the dynamic shear amplification factor newly introduced in CSA A23.3-14 (2014) allows a more realistic seismic shear force demand to be obtained for RC shear walls. This factor should be applied to prevent brittle shear failure and to account for the inelastic effects of higher modes. However, RC shear wall systems that are designed based on the CSA A23-04 need to be controlled for shear demands. Moreover, CSA A23.3-14 excludes the coupled and partially coupled walls from the clause specified for accounting for inelastic effects of higher modes. Furthermore, NBCC 2015 provides a higher mode factor Mv which is equal to 1.0 for coupled shear walls except in very occasional cases, Ta=2.0 seconds and S0.2/S5=65, in which the Mv is equal to 1.03. On th e contrary, it was found by Boivin and Paultre (2010) that the shear envelope calculated based on the capacity design method is significantly unconservative in either the cantilever or coupled wall directions. Therefore, more accurate evaluations for the future designs and retrofit options for existing building are essential.

Thursday, September 19, 2019

Public Policy Problems In The Environment :: essays research papers

Public policy is defined by Webster’s as the â€Å"The basic policy or set of policies forming the foundation of public laws, especially such policy not yet formally enunciated.† The United States Government has many policies in the area of the environment. The Environmental Protection Agency (EPA) was created in 1970 to help identify environmental problems in our nation, and to set policy on how to deal with those problems. Yet, with so much money spent by the government to deal with problems with the environment, it must be noted that problems still exist, even within the bureaucracy that was meant to help in the first place. During the presidential campaign of the last election, an issue arose concerning the â€Å"energy crisis† that was driving gasoline and oil prices up throughout our country. Vice President Al Gore supported President Clinton’s ideology of waiting for the proper legislative initiatives to pass through Congress, and when the situation merited, provide some limited releases of oil from the national oil reserve. Candidate George W. Bush, on the other had, favored drilling in the government protected lands of Alaska to find future oil reserves so that America would no longer be so dependent on foreign oil. The problem with Bush’s plan, according to Gore, was that this could be devastating to the environment of the scarcely populated Alaskan wilderness. Regardless of the political, legal or moral implications of such drilling, there are problems dealing with multiple types of rationality in this issue. In his book â€Å"Reason in Society,† Paul Diesing describes six major types of rationality. These include technical, economic, social, legal, political and ecological rational. It is easy to comprehend that this environmental issue involves each one of these types of rationality. First of all, the technical rationality is demonstrated through the question of whether or not oil can be found in Alaska, and if it could, would there be enough present to really make a dramatic difference for the consumer? It must also be considered as to how this drilling may effect the environment of this area. Technical rationality also questions whether or not there are ways to drill that can possibly leave the natural resources of this area with as little human interference as possible. Engineers and scientists can try to come up with ways to create a process with which the area will not be devastated by the involvement with man in those areas.

Wednesday, September 18, 2019

Passionate About Teaching Essay example -- Personal Narrative Educatio

Ending Statement Feminist and Critical Pedagogies I came back to graduate school last semester at the ripe-old age of 31, unsure of what I wanted to get out of it. I had spent a year in graduate studies in English at the University of Maine about six years earlier, but left because I wasn't ready to commit to an academic life. In the six years since I left Maine, my life had been anything but academic. For the first year or so, I "temped" at conventions and tradeshows, went on auditions and performed in regional theater. Then a friend of mine introduced me to her acting teacher, and I got involved in a two-year intensive acting program which forced me to look at myself and my life deeply (and luckily got me into therapy)! During that time I began a temp job at a small executive search firm where a few acting friends also worked. The job turned permanent and lasted over three years while I finished my acting program and began auditioning. Looking back now, I guess the problem was, once I finished class, I wasn't the same person who h ad originally gone out on auditions. I found myself reading books on writing (never acting) on my lunch breaks from the stifling office secretarial job. But people who asked about my life heard about my auditions and singing classes and wish to be on Broadway. I never looked at the fact that that wish was a very old, childhood wish which had slowly stopped giving me what it had for so long: something to dream about, aspire to. Something, I now admit, to make me interesting. The decision to leave it behind was painful (no one outside of "the business" could understand why I would want to leave behind such a glorious, exciting dream. Interestingly, all of my friends who were at various levels of s... ...at at least I now know that I need to teach--in some format, somewhere, and I need to apply what I've learned and continue to learn and question my own learning. But I can't decide if going on for a PhD is really what I want anymore. I always thought that was the mark of success. But I wonder if it will really allow me to work with the students I am most interested in helping. I am particularly interested in working with those who didn't get enough out of school but who decided to come back and give it another try, to see if they'd find something different this time around. I want to provide something different. I know I want to keep teaching and talking about teaching. I know I want to keep the hope that teaching writing is valuable and opens up possibilities for students who maybe thought they had none. Is that too naive? Maybe. But it seems like it's worth a try.

Tuesday, September 17, 2019

Jean Toomer Biography Essay

Jean Toomer was born as Nathan Eugene Pinchback Toomer on December 26, 1884 in Washington, D.C. His father was a wealthy farmer, who was originally born into slavery in Georgia. Nina Pinchback was also of mixed descent. Jean’s father abandoned his family when he son was an infant, so he and his mother lived with her parents. As a child in Washington, Toomer attended all-black schools. After his mother remarried, they moved to New Rochelle, New York, and he attended an all-white school. After his mother’s death, Jean returned to Washington to live with his grandparents. He graduated from an academic black high school. By his early adult years, he refused to be segregated and wanted to be identified only as an American. Between 1914 and 1917 Jean Toomer attended the University of Wisconsin, the Massachusetts College of Agriculture, the American College of Physical Training in Chicago, the University of Chicago, New York University, and the City College of New York. He majored in agriculture, fitness, biology, sociology, and history but he never completed a degree. After leaving college, Jean published some short stories and continued writing after World War I. In 1923, Toomer returned to New York where he became friends with Waldo Frank, who became his mentor and editor on his novel Cane. In 1923, he published the novel Cane, in which he used material inspired by his time in Georgia. Below is an excerpt from his novel, Cane. â€Å"whisper of yellow globes gleaming on lamp posts that sway like bootleg licker drinkers in the fog and let your breath be moist against me like bright beads on yellow globes telephone the power-house that the main wires are insulate (her words play up and down dewy corridors of billboards) then with your tongue remove the tape and press your lips to mine till they are incandescent† ReadingWoman.com states, â€Å"Cane is one of the works of fiction that announced the arrival of the Harlem Renaissance. Though a slim volume, this collection of sketches, stories and poems makes up a dense and powerful book. Through vivid imagery and authentic dialects, Jean Toomer realistically portrays the lives and experiences of African-Americans, from the Southern peasant to the urban black in the North. Neither glorified nor stereotyped, Toomer’s characters speak in their own voices and are completely themselves, their behavior reflecting the truth about who and what they are. Cane compels the reader to feel its power on a physical level. At the time the book was published, and still today, these full, rich characters and images lead us to a greater understanding of the human condition.† He stopped writing literary works in 1950. Jean Toomer died on March 30, 1967 in Doylestown, PA after years of poor health. Works Cited â€Å"Jean Toomer – ENotes.com Reference.† Enotes.com. Enotes.com. Web. 02 Apr. 2012. . â€Å"Writers of the Harlem Renaissance – Book Reviews.† Great Books for You to Read. Web. 02 Apr. 2012. . â€Å"Jean Toomer Biography.† Department of Mathematics, University at Buffalo. Web. 02 Apr. 2012. .

Monday, September 16, 2019

Encyclopedic System of Herbert Spencer

The most extreme reflection of nineteenth-century individualism is to be found in the encyclopedic system of Herbert Spencer (1820-1903). Both his paternal and maternal ancestors were of a long English and French nonconformists, dissenters and rebels, and Spencer traces in his â€Å"Autobiography† his â€Å"conspicuous disregard† of political, religious, and social authority to the tradition of independence and dissent so long cherished by his family. Spencer†s education was informal, unconventional, and highly deficient in the more traditional studies of literature and history. His father encouraged his interest in the science and tecnology, and Spencer became an engineer. However, he practiced his profession for a few years, because he became increasingly interested in political economy, sociology, biology, and philosophy. He was a subeditor of The economist from 1848 to 1853, and then ventured into a full-time career as a free-lance author. As early as 1842 Spencer contributed to the Nonconformist a series of letters called The Proper Sphere of Government, his first major publication. It contains his political philosophy of extreme individualism and Laissez Faire, which was not much modified in his writings in the following sixty years. Spencer expresses in The Proper Sphere of Government his belief that â€Å"everything in nature has its laws,† organic as well as inorganic matter. Man is subject to laws bot in his physical and spiritual essence, and â€Å"as with man individually, so with man socially. † Concerning the evils of society, Spencer postulates a â€Å"self-adjusting principle† under which evils rectify themselves, provided that no one interferes with the inherent law of society. In discussing the functions of the state, Spencer is concerned with what the state should not do, rather than what it should do. Maintenance of order and administration of justice are the only two proper realms of government activity, and their purpose is â€Å"simply to defend the natural rights of man to protect person and property. † The state has no business to promote religion, regulate trade and commerce, encourage colonization, aid the poor, or enforce sanitary laws. Spencer went even so far as to deny the state the right to wage war; but as he says in his Autobiography, his â€Å"youthful enthusiasm of two-and twenty† had carried him too far in this respect. Viewing the nature of the state in evolutionary terms, Spencer is little interested in forms of government, such as the traditional distinctions of monarchies, aristocracies, and democracies. The two main forms of the state and society, according to Spencer, are the military state and the industrial state. The military state is the early form of social organization, primitive, barbarian, and geared to permanent readiness for war. The individual is no more than a means to an end set by the state: victory in war. Society is firmly organized, and every individual occupies the place assigned to him by the exigencies of militarism and authoritarian government. Status is the characteristic principle of the military society, and there is little mobility between classes and groups. Spencer defines the military state as one in which the army is the nation mobilized while the nation is the quiescent army. Showing unusual foresight long before total war was a reality, Spencer understood the impact of war on society as a whole, although his analysis of the military state refers to an early stage of society, it anticipates with remarkable accuracy the developments of the twentieth century. In the military state, Spencer says, the military chief is likely to be the political leader, and the economic activities of the industrial classes are oriented to the military needs of the state. There is massive corporation in a military state, but it is enforced and involuntary. Because the security of the state is the primary objective of all public actions. As the military state expands its territory and achieves stability over a long period of time, it gradually evolves into the industrial type of state and society. The way of life in the industrial state and society is based on voluntary cooperation, and the tendency is toward gradual elimination of elimination of coercion in all forms. Diversity, variety, and nonconformity characterize the industrial society with its emphasis on the value of the individual as the supreme end of government. The purpose of the industrial society is to assure the maximum liberty and happiness of its members, whereas the purpose of the military society is to increase its power by â€Å"rigid regimentation at home and imperialists conquest abroad. † In relation with other nations, the industrial society is pacific, eager to exchange the products of labor rather than to acquire wealth by force. As Spencer explains the members of the industrial society are therefore antimilitarist, anti-imperialist, cosmopolitan, and humanitarian. Free trade within and between nations is the formula of the industrial society, whereas economic nationalism is the ideal of the military state. In 1884 Spencer published four essays in the Contemporary Review, which were assembled in a book under the title, The Man Versus the State. It is his most famous work on politics and it is still the most influential statement of the Laissez Faire. In the first essay, â€Å"The New Tories,† Spencer attacks the English Liberals for abandoning their historical individualism in favor of social reform and the welfare state. According to Spencer, English Conservatives, like any conservative party, are the historical descendants of the principles of the military state, whereas the English Liberals, like liberals generally are the descendants of the industrial society. Moreover, Spencer also noticed that economic individualism, abandoned by Liberals, was more and more adopted by Conservatives, so that the roles of both parties came to be the opposite of what they had originally been. Therefore, the English Conservative would become the party of economic individualism and free enterprise, whereas the Liberals would accept public control of the economy. The second essay is â€Å"The Coming Slavery. † In it, Spencer refocus on the necessity that the laws of the society must not be interfered with the beneficent process of the survival of the fittest, and that interference with natural selection lowers the standards of society as a whole. Spencer stresses â€Å"on the official regulations to increase in a geometrical ratio to the power of resistance of the regulated citizens. † People get more and more accustomed to the idea that the state will take care of them, and therefore, they lose the spirit of initiative and enterprise. Spencer predicted that social-welfare programs would lead to socialization of the means of production, and â€Å"all socialism is slavery. † Spencer defines a slave as a person who â€Å"labors under coercion to satisfy another†s desires. † Under socialism or communism the individual would be enslaved to the whole community rather than to a single master. In his third essay, â€Å"The Sins of Legislators,† Spencer rejects the spread of government activity in social and economic areas. Progress is the result of the desire to increase personal welfare, and not the product of governmental regulation: â€Å"It is not the state that owe the multitudinous useful inventions from the spade to the telephone; it was not the state which made the discoveries in physics, chemistry, and the rest, which guide modern manufactures; it was not the state which devised the machinery for producing fabrics of every kind, for transferring men and things from place to place, and for ministering in a thousand ways to our comforts. † Spencer charges legislators with confusing â€Å"family ethics† with â€Å"state ethics. In the family, benefits received have little or no relation to merit. In the state, the ruling principle ought to be justice; therefore the relation between benefits and merits should be proportional. Spencer explains that the intrusion of family ethics into state ethics is a dangerous interference with the laws of nature and society, and slowly followed by fatal results. The last essay is â€Å"the Great Political Superstition. † In which Spencer says that the great political superstition of the past, was the divine right of kings. Whereas, in the present it is the divine right of parliaments. He attacks the doctrine of sovereignty as propounded by Hobbes and rejects the claim of â€Å"popular majorities for unlimited authority as being inconsistent with the inalienable rights of the individual. † Spencer concludes his book with the final reminder that government is not a divine institution but a committee of management, and that it has no intrinsic authority beyond the ethical sanction bestowed on it by the free consent of the citizens: † The function of Liberalism in the past was that of putting a limit to the powers of the king. The functions of true Liberalism in the future will be that of putting a limit to the powers of parliaments. † Spencer†s political ideas hardly changed between 1842, when he published his Proper Sphere of Government, and 1903, the year of his death. The constancy of his political thought in the face of rapidly changing social and economic scene explains why the same ideas that were the last word in radical individualism in the eighteen-forties had become the orthodox conservatism by 1900. And Spencer†s appeal to the English Liberals to return to their original individualism remained unheard, but he correctly foresaw that Conservatives would become the defenders of economic individualism. Spencer failed to see that the issue of the state intervention in the economy was essentially one of means and not of objectives, and that Laissez Faire could be progressive, dynamic, and revolutionary at one time –early 19 century-, and conservative, stagnant, and sterile at another time – late 19 century-.

Sunday, September 15, 2019

Manage Risk final Essay

1 You must accurately complete the Student Assessment Pack. 2 Your Assessor may want to discuss written answers with you to get further evidence of your understanding and to check that it is your original work 3 You need to submit Assessment Cover Sheet for each assessment. 4 You are permitted to use dictionaries and to seek support, as required. 5 Where your work has been deemed as unsatisfactory, you will be permitted to resubmit the assessment. Refer to RGIT reassessment policy and procedure. 6 Unless the assessment task specifically allows pair work or group activities such as brainstorming, you must submit their own original work and are not permitted to copy the work of other students. Plagiarism is never acceptable. 7 Assessments must be submitted on their due dates. 8 Extensions are permitted in consultation with the trainer. Performance objective You must demonstrate knowledge of design requirements for workspaces that support innovation and work with a team to redesign a workspace. Assessor Instructions for Using This Assessment Workbook 1. Prepare for Assessment by reviewing support material for this unit/s. 2. Ensure that any pre-requisite units have been assessed as competent prior to the assessment of this unit/s 3. Trainees must complete all sections of the assessment. Be sure to reference the assessment context and proposed environment to ensure any mandatory assessment methods are used 4. Conduct the assessment using the documents provided, gaining participant agreement on each stage of the assessment process. Evidence must be gathered using the assessment tools provided 5. Each assessment tool must be fully completed. Where this is not possible, the appropriate response area should be marked NYC (Not Yet Competent) and notes made as to how competency will be  assessed. Final sign-off must not occur until the participant is assessed as competent in this item 6. Identify and gather any other relevant forms of evidence and attach to the participant Assessment Workbook, making note of the relevance of the evidence. Attach it to the participant Assessment Workbook prior to submission to administration. 7. Provide assessment outcome feedback to participant and complete all relevant details on the competency record sheet, ensuring the participants complete their verification sections. 8. Provide feedback on the competency record sheet section All questions must be answered. Projects must be completed including forms and documents required by the project(s). Completion of the Training Checklist must be included. Please attach any additional information that may be required to this document. Knowledge Based Questions 1. Define in detail, what is a risk? What 2 categories could you place risks in? Risk is a natural part of our physical, social, financial and competitive environments. It is defined as a chance of something happening that will have an impact on the achievement of objectives or goals in an organisation. Iti is measured in terms of likeliness and consequence. Extreme Risk – Forklift running over team member due to no high vis shirt being wear and spotters not doing their jobs properly. Forklift not staying in designated area. High Risk – Spillages, boxes in aisles, floods, Empty crates, Electrical cords across the floor. Medium Risk – Customer slipping on wet floor Low Risk – Liquid on Computers, falling down stairs, staple through finger. 2. When completing a Risk Assessment who might you need to talk to (e.g. Stakeholders)? Risk assessments are usually reported to Managers, duty managers, WHS Officers, Supervisors and stakeholders. 3. What legislative bodies could you communicate with to develop and implement a Risk Management Plan? The legislative bodies you report to are local Councils, Unions, ACCC, and your management Safety Team. 4. What is the purpose of the standard known as AS/NZS ISO 31000:2009 Risk Management? The purpose of this standard was to create guidelines and protocols for safe work environments and to give everyone in the work force a chance to know that they will be looked after and be able to go home safe no matter how dangerous their job is. This Standard was prepared by Joint Standards Australia/Standards New Zealand Committee OB-007, Risk Management to supersede AS/NZS 4360:2004, Risk management. When AS/NZS 4360:1999 was revised in 2004 (as part of a routine five yearly revision), it was decided by the Joint Australian/New Zealand Committee OB-007 that rather than undertake a similar revision in 2009, Standards Australia and Standards New Zealand would promote the development of an international standard on risk management which would then be adopted. 5. Detail what a SWOT analysis is, how you might use it in a business Risk Assessment? A SWOT analysis is a structured planning method used to evaluate the strengths, weaknesses, opportunities and threats involved in a project or in a business venture. A SWOT analysis can be carried out for a product, place, industry or person. It involves specifying the nature of the business venture or project and indentifying the internal and external factors that are favourable and unfavourable to achieve that objective. 6. When completing a Risk Analysis what 4 items must you include in your analysis? The 4 items you should include are Checklists, Brainstorming, Fish-bone Diagrams and Flowcharts 7. What 5 levels of impact or consequence are there to assess Risk? The 5 levels of impact or consequence – Insignificant, Minor, Moderate, Major and Catastrophic 8. Read: WFD Pty Ltd has employed you as a consultant to assist in the Risk Assessment of the business in all areas of its operation. As you go through the process you find that the business is grossly lacking in many areas of business operations and WHS. Using a consultative process outline 2 processes you would have undertaken to arrive at the above conclusion? What relevant parties do you need to communicate your findings with? The 2 processes I would use, would be a workplace Audit and the Administration Records. The relevant parties I would Report to would be – Insurance Broker involved in the company, Manager the WHS Officer 9. Read: During your normal days activities you come across a document that says the business you work for, has no need or requirement for a Risk Assessment, as the owner of the business has assessed that his business does not have any risks. Explain what is wrong with this thinking? List some ways you may improve this policy. What would you conduct and who may you consult? Every business has a degree of risk about it. You just have to determine what they are. I would conduct a risk assessment myself and I would then give it to the Owner/Manager of the company. Fair Trade Office, WHS Officer, Government and the Local Council are also the governing bodies you should give the report to. It is to show were such things like fire extinguishers and first aid kits should go for example. 10. The business you work for has 15 staff. All of them have according to the paperwork been inducted into the business WHS policy and guidelines. However you have realized that a Risk Assessment has not been completed on the new business operations including new machinery that has been introduced. What items would you include in an action plan to correct this situation? You must include what legislation and/or legislative bodies should you consult with. The things to be added into the Action plan would be uniform guidelines, safe  work procedures, mobile phone usage on the floor and guidelines for wearing jewellery on the floor. Legislative bodies to be informed would be Unions, Councils, Managers, Suppliers, added to user manuals, WHS Officers and most importantly would be the workers themselves. 11. After completing a Risk Assessment, how would you communicate your findings to relevant parties in your business and what would your run (2 items)? Monthly safety meeting – information nights, questionaries 12. Using a business you are familiar with, identify 3 of their business’ greatest risks. Using the hierarchy of control for the managing of risk, outline how you would manage those risks. The three greatest risks were I work are Lifting items that are two heavy i.e one person lifting an item that is described as a two person lift item Tripping over empty pallets and getting hit by a forklift.  Need to work out the risk, check to see what is on the box and lift according to the instructions, making sure that the pallet has something on the corners to minimise the danger of tripping, make sure there are spotters giving direction to staff members and customers to minimisethe dangers associated with the forklifts. 13. How and where might you store the Risk Assessment tools including Implementation Plans? Why would the storing of these documents be important to a business? Risk Assessment plans and Implementation plans are kept in the WHS Officers Office as well as near the designated equipment in which the risk assessment covers. It covers the misuse of the equipment, 14. Discuss why it is important to monitor an action plan regarding Risk Treatment once it has moved into its implementation phase. The reason you monitor the action plan is to make sure everyone is trained and using the equipment in the correct manner to reduce any safety issues. When an employee starts to shortcut on doing things that is when things happen. 15. Using the review scope and frequency triangle, give at least 2 examples of activities that could be performed at each level when reviewing the Risk Management Process. Slicing Meat – check equipment, using PPE, operation equipment properly, then when finished turn off machine, then clean with appropriate cleaning procedure. Standard operating procedures – review training Are our work procedures in line with WHS procedures? 16. Employees with a disability have the same rights as other employees to a safe and healthy workplace and they also have the right to workplace modifications or adjustments that ensure their safety. What Acts affords these rights to disabled workers? What types of adjustments might be required? The Disability Discrimination Act 1992 has as its major objectives to eliminate discrimination against people with disabilities promote community acceptance of the principle that people with disabilities have the same fundamental rights as all members of the community, and ensure as far as practicable that people with disabilities have the same rights to equality before the law as other people in the community. Toilets with disability access, ramps for wheelchair, work stations adapted for people in wheelchairs or vision impaired, etc. 17. Businesses can take out a variety of insurances that will indemnify them and/ or their employees, customers, members of the public in the case of an accident or other adverse occurrence. Provide 3 types of insurance a business can take out? Provide 3 companies that offer insurance for  businesses. Asset and Revenue Insurance, Personal and Workers Insurance, Public Liability Insurance

Saturday, September 14, 2019

Confidence in third world countries

BLOSTERING INVESTOR CONFIDENCE IN THIRD WORLD COUNTRIESThe history of world has been interposed by a cryptic series of roars and slacks. Historians have singled out the experience of the early 1930 ‘s as the ‘Great desperation. ‘ This undeniably amazing event damaged the so promising economic stableness in Europe and badly broken consumer and investor assurance around the World. Similarly the universe debt crisis of the 1970 ‘s and 1980 ‘s besides brought with it its ain storm effects that overcame both developing and developed states. The debt place of developing states became peculiarly upseting when as Stambuli ( 1998 ) comments it became clear that there was a lifting disparity of external liability and the capableness of states to serve their debt. This terrible disagreement was in the terminal described by several debt agreements and more notably states saying non-payment. ( Stambuli, 1998 ) In retrospection there have been many givens that have wanted to explicate the causes of this crisis, nevertheless this paper will research in peculiar whether developed or developing states should be held responsible for doing and by extension relieving this crisis and how investor assurance can surely be boosted in 3rd universe states. In order to wholly understand the thought of answerability we must foremost understand the common fortunes under which 3rd universe debt became disputing. Many development economic experts view the considerable addition in oil monetary values in 1974, which saw the cost of oil rise from $ 2.70 in 1973 to an intimidating $ 10.00 per container, as a chief footing. This rise immediately elevated the excess on the current histories of oil bring forthing states from $ 7 billion in 1973 to $ 68 billion in 1974. These big excesss twisted the status soundly documented by Stambuli ( 1998 ) that encouraged oil-exporting states who had more foreign exchange than they required invest in western Bankss. In a command to depute the consequent liquidness these Bankss so sought to recycle the excess of ‘petro-dollars ‘ with developing states that had experienced neglecting current histories. The most important charge confronting developed states was their overzealous and careless lending process after the first oil monetary values hurt that occasion small due procedure in set uping the recognition virtue of the recipient state. As the crisis became more evident in early 1980 ‘s international Commercial Bankss began to see some of the negative impacts of their actions. Due to the alteration in financial policy of developed states Bankss began imparting at bit by bit high and variable involvement rates. Bernal ( 1997 ) , reports that involvement rates moved from 12.1 % in 1978 to 17.4 % in 1981 and so to 12.9 % in 1985, therefore Bankss had begun to reexamine what Stambuli ( 1998 ) documented as the ‘Sovereign Risk Hypothesis ‘ , which assumed that states were protected by their built-in character from default Risk. The image farther deteriorated as developed states besides reduced direct assistance and investing to developing states and increased protectionist policies that strictly exploited Less Developed Countries chances for obtaining foreign exchange to go on serving their debt. ( Bernal, 1997 ) Consequently Less Developed Countries Governments have surely contributed in altering the job of debt into a catastrophe. Brown ( 1986 ) carries this competition farther since he comments that in Jamaica for illustration, the Government ‘s finding of fact between 1976 and 1980 to protect an overrated exchange rate and to promote communist policies influenced investor assurance and sudden capital flight. The authorities so found itself holding to borrow non merely to finance the current history shortage but besides increasing degrees of net capital escapes. Brown, 1986 It should hence be clear that both Most Developed Countries and Less Developed Countries should bear the incrimination of doing the Debt Crisis. Less Developed Countries nevertheless unsteadily could hold reduced these effects if they had managed their debt more professionally during the short period. Investing in Third universe Countries makes good concern sense while there are pools of planetary fiscal resources in hunt of chances for variegation and higher returns. Besides, investing chances in such states are reported to offer some of the highest rates of return on investing, even on a risk-adjusted footing. Most Third universe Countries authoritiess have over the last 15 old ages taken important stairss to make an encouraging concern atmosphere. These steps include far success macro economic betterment that have condensed budget shortages and rising prices degrees to individual figure degrees and fueled economic development. A figure of authoritiess have besides taken actions to reenforce the legal and judiciary system and regulative establishments such as those for venture support. While sufficient investing controls and fiscal tools are important to capital flows, most Third universe states have underdeveloped trade good and capital markets. Similarly, basic imitative and warrant instruments that enable investors manage hazard are partial. In add-on, undertaking supports rely chiefly on bank funding, given the inadequacy of Third universe states capital markets, where market capitalisation of most of the states ‘ equity capital markets is less than a 3rd of Gross Domestic Product ( GDP ) . Despite the growing made by many states to undertake the defect highlighted above and the anticipation for higher returns in Third universe states than in other parts of the universe, most investors have non taken the clip to reexamine the investing opportunities available in Third universe states. In acknowledgment of the significance of reliable economic information, the Bank Group is taking a programme to better informations quality, aggregation, and direction in all Third universe states. The Group is lending more than half of the entire undertaking cost of USD 40 million and expects that the undertaking will help coordination and regional integrating, and fuel capital flows by back uping investor assurance. The Group ‘s attempts to back up good control should besides beef up investor assurance. In add-on to financing institutional support undertakings that improve the capacity of legal and regulative bureaus, the Bank provides resources to bureaus such as the Organization for the Harmonization of Business Law in Africa ( OHADA ) , whose authorization is to make conditions that assure legal security for concerns. Similarly, the first theoretical account investing jurisprudence of the African Law Institute ( an institute sponsored by the Group ) , has been certified by cardinal regional establishments. This will further regional integrating and farther fuel investings and capital flows to Third universe states. To reason, I believe that each one of us has a critical function to play, every bit good every bit much to derive in increasing capital flows to Third universe states. It makes good concern sense, it makes good unselfish sense. Through due diligence and partnerships, you will be rejecting the doomsday scenarios of Afro pessimists, which leads to a vision of fatalism and hopelessness for Third universe states. You will alternatively be back uping a vision of Third universe states that are genuinely affluent offering moneymaking chances for investings.MentionsAyittey, George B.N. ( 1993 ) , Africa Betrayed.Stambuli, ( 1998 ) Sovereign Risk Hypothesis, New York.Bernal, ( 1997 ) , peripheral Debt, ChicagoBrown, ( 1986 ) , within the trigon of deflation & A ; InflationWorld Bank databases and UNCTAD World Investment Report, 2003

Compare and contrast the evil nature of Shakespeare’s antagonists

The following essay will compare and contrast the evil nature of Shakespeare’s antagonists King Richard and MacBeth.   Although Shakespeare intended his play Richard 3 to be a tragedy most of the play could be considered historical, but for the purpose of this paper it will be likened the insidiousness of MacBeth’s compromising morals.   In the dramatic terminology of degradation and tragedy these two works of art encompass the whole of these definitions.   While one is comparably a great portrayal of English kings, the other is a supreme example of how circumstance and identity may become the lingering plight of a man corrupted with autocratic power.   Both however exemplify human characteristics of paranoia, jealousy and victims of their action’s circumstances.   The following paper will play on the idea of comparing characters and event from the Shakespeare’s plays Richard 3 and MacBeth.King Richard is a gruesome man, with deformities, and a w icked personality.   He himself describes his traits as â€Å"rudely stamp'd† and â€Å"deformed, unfinish'd†, who cannot â€Å"strut before a wanton ambling nymph.†I that am curtail'd of this fair proportion, /Cheated of feature by dissembling nature, /Deform'd, unfinish'd, sent before my time /Into this breathing world, scarce half made up, /And that so lamely and unfashionable /That dogs bark at me, as I halt by them;/Why, I, in this weak piping time of peace, /gave no delight to pass away the time, /Unless to see my shadow in the sun   And descant on mine own deformity:/And therefore, since I cannot prove a lover, /To entertain these fair well-spoken days, /I am determined to prove a villain.This speech give insight into Richard’s character just as the speeches made by Lady MacBeth organize a reader to realize the depressed nature of MacBeth in comparison to his wife’s expectations from him, and his willingness to succeed with such actions, (Mac) If we should fail?(Lady M.) We Fail!But screw your courage to the sticking place,And we’ll not fail.   (Act 1, Scene 7).King Richard begins his Machiavellian procedures in gaining the throne in a similar manner as MacBeth; although, for the argument of this paper, Richard is the more evil of the two.The theme of the evil nature of man in King Richard the III deals with politics.   It is through marriage that the ugly King may become what he wants to be perceived as being; in marrying Lady Anne he allows himself the illusion that he is someone who is worthy of love even though King Richard had Anne’s husband murdered.   The transition qualities of marriage in this play serve to produce a faà §ade of change in the characters (Hunt 1997).It is the wooing of Lady Anne that the theme of love or the charade of love as it were in this play becomes apparent to the dynamic of transition.   Richard tells Anne that he killed her husband because he (Richard) loved h er,No! why? When he, that is my husband now /Came to me, as I followed Henry's corpse;/When scarce the blood was well wash'd from his hands,/Which issu'd from my otherangelhusband, /And that dead saint which then I weeping follow'd;/O! when I say, I look'd on Richard's face, /This was my wish, ‘Be thou,' quoth I, ‘accurs'd, /For making me so young, so old a widow! /And, when thou wedd'st, let sorrow haunt thy bed;/And be thy wife—if any be so mad— /More miserable by the life of thee /Than thou hast made me by my dear lord's death!' /Lo! ere I can repeat this curse again, Within so small a time, my woman's heart /Grossly grew captive to his honey words, /And prov'd the subject of mine own soul's curse:/Which hitherto hath held mine eyes from rest;/For never yet one hour in his bed /Did I enjoy the golden dew of sleep, /But with his timorous dreams was still awak'd. /Besides, he hates me for my father Warwick, /And will, no doubt, shortly be rid of me.In this line is found the bewitching personality of Richard.   In this personality there are striking similarities between King Richard and MacBeth.   Both men demand of their women obediance leastwise they go berserk when not obeyed (as is seen with the later episodes between Lady MacBeth and MacBeth) as is seen in Act One Scene Five of MacBeth as Lady MacBeth states,The raven himself is hoarse/ That croaks the fatal entrance of Duncan /Under my battlements. Come, you spirits /That tend on mortal thoughts, unsex me here, /And fill me from the crown to the toe top-full /Of direst cruelty. Make thick my blood, /Stop up th’access and passage to remorse, /That no compunctious visitings of nature /Shake my fell purpose, nor keep peace between /Th’ effect and it. Come to my woman’s breasts, /And take my milk for gall, you murd’ring ministers, /Wherever in your sightless substances /You wait on nature’s mischief. Come, thick night, /And pall thee in the dun nest smoke of hell, /That my keen knife see not the wound it makes, /Nor heaven peep through the blanket of the dark, /To cry ‘Hold, hold!’Thus is MacBeth’s evil nature propelled by his wife.   However, since MacBeth is the character whom carries on the theme of evil in his autocratic power over the throne, it may also be suggested that MacBeth is the stronger of the two characters, and henceforth, his evil nature becomes entirely his, and not something which is funneled into him from Lady MacBeth.   Therefore this demand of obseqious behavior warrents the premise of Shakespeare’s play being about the dominance of women and their gullability as Lady Anne commits to marry a man who killed her husband.   In this act is found that Shakespeare has created in Lady Anne a female character who is unable to gain retribution for her husband’s murder by sticking a knife into Richard’s chest.   Thus, as Lady Anne as a widow may have been of stro ng character, Lady Anne as she becomes the wife of Richards is duty-bound, sad, and realizes too late what her actions consists of, which is her culpability.MacBeth and King Richard are similar characters on other grounds as well.   When MacBeth’s wife urges him to murder for power, his protests are not long heard in the play, but MacBeth’s actions speak towards his depraved state. He is given to pity, and self-loathing as well as introverted nature with his overwhelming power once he achieves the throne.  Ã‚   King Richard uses a similar ploy when he convinces Anne Neville to marry him even after he kills her father and her husband.   Ã‚  Ã‚  In both characters then the capacity to hoodwink the general populace is exorbitant.   However, each character in turn must pay the price of their actions.;   it is the hunting of the boar’s quality of karma that kills Richard due to his plotting, and MacBeth dies the way the play began, as a warrior, without muc h power in politics.King Richard sees his ugliness as a crutch, as away to get people to feel sorry for him and thus gain power; King Richard does this covertly.   Richard has to disguise his true intentions leastwise he will be beheaded for treason.   Richard attempts a charade with Anne when he tells her he had her husband killed because he (Richard) loved her,No! why? When he, that is my husband now /Came to me, as I followed Henry's corse;/When scarce the blood was well wash'd from his hands,/Which issu'd from my other angel husband, /And that dead saint which then I weeping follow'd;/O! when I say, I look'd on Richard's face, /This was my wish, ‘Be thou,' quoth I, ‘accurs'd, /For making me so young, so old a widow! /And, when thou wedd'st, let sorrow haunt thy bed;/And be thy wife—if any be so mad— /More miserable by the life of thee /Than thou hast made me by my dear lord's death!' /Lo! ere I can repeat this curse again, Within so small a time, my woman's heart /Grossly grew captive to his honey words, /And prov'd the subject of mine own soul's curse:/Which hitherto hath held mine eyes from rest;/For never yet one hour in his bed /Did I enjoy the golden dew of sleep, /But with his timorous dreams was still awak'd. /Besides, he hates me for my father Warwick, /And will, no doubt, shortly be rid of me.Thus, in Richard’s view of himself and the man he truly has become is the juxtaposition of pity, jealousy and the actions therein.Another strikingly similar point of evil between these two Shakespearean plays is their willingness to gain power through any means necessary, and often times this involves murder.   The realism for MacBeth in knowing that his actions are stygian appears with Banquo’s ghost, while with Richard, the realization of evil comes from Queen Margaret.   Queen Margaret warns nobles about Richard and his devious nature, but her claims go unheeded by the table of noblemen.   Queen Margaret is ushered out or banished from the court, just as MacBeth’s choice of denying he really did see a ghost attests to him not accepting his own nature of evil.In the insanity that visits MacBeth’s character in Shakespeare’s play of the same name there is a definite difference between Richard and him, as insanity portends to evil.   MacBeth becomes increasingly insane throughout the duration of the play due in most part to the predictions and misleadings of the three witches.   MacBeth’s rise into power in Scotland was begotten due to his first murder (Clausen p. 43).MacBeth’s obvious insanity, and thus his evil nature can be seen most notably in the way in which he rules; his choices of using force, violence, and murder in his autocratic rule tend to be the persuasions of his debilitating sanity.   Although his actions may in part speak towards his psychosis, the fact of MacBeth’s personality remains in that he cannot cope with his active violence and it is way of ruling as a tyrant which also enables his role as an insane person.   MacBeth uses his position to thwart his will on the people and it is his way of ruling which leads to his further violence and his insanity.MacBeth’s evil nature may be submitted to be revealed through the introduction of the play with the three witches.   In the dialogue of the play, and the actions therein, which represent this initial scene, the true evil of MacBeth rests within his imagination, for this aggrandized factor of his personality is what drives MacBeth to desire power in its tyrant form, and through murder as Bloom states, â€Å"†¦the play depends on its horror of its own imaginings.   Imagination is an equivocal matter for Shakespeare and his era where it meant both poetic furor and a gap torn in reality, almost a punishment for the displacement of the sacred into the secular.  Ã‚   MacBeth†¦is a tragedy of the imagination† (p. 4).The shortc omings which lead to MacBeth’s degradation of mind is due in part to his own ambitions (and imagination) and his dealings with the three witches as well as his inferiority complex which in turn causes him to use violence in order to rule.   Another attribute of MacBeth’s evil nature is shown with his partner, Lady MacBeth.   It is her driving force to have MacBeth kill Duncan which furthers MacBeth’s self-doubt.   Lady MacBeth is inclusive of MacBeth’s insanity since she urges him to commit the necessary crimes to gain power while also disregarding the guilt burdening MacBeth; Lady MacBeth urges MacBeth’s evil nature,   his criminal acts, because she like her husband is addicted to power and knows the necessary means to gain such power, and so, urges her husband past the guilt, and self-doubt in order to achieve their goals.Richard plots to have Clarence killed by his own brother by making Edward believe that George of Clarence is trying to kill.   This is accomplished by Edward having a pretense of someone killing him whose name begins with the letter G (George in this case).   Richard succeeds in this plot and is named King.   However, Richard’s nephews are still in the Tower of London and could be successors to the throne once they come of age.   King Richard has Buckingham murder the nephews.   Not only does Richard succeed in his murdering campaign but he also beguiles the kingdom to believe he is a just king, as least for awhile.King Richard is abandoned on the battlefield by Lord Stanley and loses his horse and is murdered in a type of boar hunt.   These two characters are similar in this scene in their scope of personality and the actions that haunt them (Bradley p. 56).After Duncan’s murder however, Lady MacBeth’s character diminishes and so MacBeth is left even more alone in his act of betrayal which further leads to his suffering mind.   Plagued by guilt and contempt for h imself and his actions, the reader begins to see the disintegration of MacBeth.  Ã‚   Thus, it is proven that both characters of Shakespeare’s plays, King Richard 3, and MacBeth are evil.   Both Richard, and MacBeth’s mental powers show a decline in power and cohesion as the plays progress with murder and violence.The contrast between these two antagonists seem to depict no true relevant difference but in comparison the evil nature of either of these two men is one in which pure evil is seen.   In both of their quests for the throne, and the power which comes with the throne, the more evil of the two seems to be Richard, since his thirst for such a prize entails the con of marriage, as well as of killing his two young nephews, while MacBeth’s dirty deeds are supported by his wife (Bradley p. 101).These two characters are a great fascination because of their striking similarities.   Their evil nature warrants great sacrifice, as well as leading them down the path of fast glory, but ultimately ending in betrayal and death (as with Richard’s army, and as will Lady MacBeth’s eventual self-doubt as to MacBeth’s rise in power, and the means by which he gained it so swiftly).Shakespeare’s great accomplishment with these two characters is undoubtedly within the realm of pure evil, in that neither seems to have great remorse at the end of their power reign.   It is in the necessity of guilt which makes a character redeemable to an audience, and by denying any remorse for either character, Shakespeare has created two very strong, evil antagonists.   The fact that they remain of interest to the audience is found in just how despicable and evil their deeds, and just how far they are willing to push their power onto others in order to achieve the end of their goals.BibliographyBloom, H.   (2004).   Shakespeare’s MacBeth.   Riverhead Publishing, New York.Bradley, A.C. (2005).   Shakespearean Tragedy .   Adamant Media Corporation.   London.Clausen, C.   (2005).   MacBeth Multiplied.   Bodleian Publishing, Netherlands.Hunt, M.   (1997).   Shakespeare’s King Richard111 and the Problematics of Tudor Bastardy.Papers on Language & Literature, Vol. 33.Shakespeare, W. (1989).   King Richard the III. Manchester University Press, UK.Shakespeare, W.   (1990).  Ã‚   MacBeth.   Washington Square Press, New York.