Thursday, October 31, 2019

CRITIQUE OF QUANTITATIVE ARTICLE Research Paper Example | Topics and Well Written Essays - 500 words

CRITIQUE OF QUANTITATIVE ARTICLE - Research Paper Example The researchers conducted a qualitative study in order to evaluate inadvertent perioperative hypothermia knowledge among nurses. This means that the study applied normal quantitative techniques and research design. Quantitative designs are useful when a researcher intends to measure the relationship between two or more variables. In this case, the outcome needs to have experimental significance. The study considered is descriptive indicating that the researcher did not utilize an experimental approach. The research design fails to satisfy the requirements of a quantitative study. Choice of dependent and independent variables also fails to comply with quantitative requirements. This implies that the study would be effective if it was conducted from a quantitative approach. Indeed, the quantitative approach does not answer some critical questions that are of interest to the audience. For instance, the study does not explain lack of inadvertent perioperative hypothermia knowledge among practicing nurses. Successful descriptive studies, utilizes large the sample size (Evans & Kenkre, 2006). This indicates that the researcher required hundreds of subjects to minimize errors and biasness. However, the study received only 130 responses from the 168 participants selected for the study. This was a fair outcome since the respondent provided quality data. Participants for the study were selected from nurses attending the Irish Anesthetic and Recovery Nurses Association Annual Conference. The study seems to have attracted participants of the right caliber as required in the initial proposal. The study also followed an acceptable protocol to request consent and participation of the nurses. Voluntary participation and completion of question contained in the questionnaire indicates a high level of consent among the participants. Questionnaires were the main data collection tools for the study. The questionnaires had nine questions that were designed to

Tuesday, October 29, 2019

The Janissaries from the Ottoman Empire Essay Example | Topics and Well Written Essays - 750 words

The Janissaries from the Ottoman Empire - Essay Example The head of the Ottoman Empire was the Sultan and he was vested with powers that were absolute, though with the understanding that he ruled with the expectation of being just. This concept is the foundation of much Middle Eastern thought, reinforced by Islamic tenets of fairness. Both Turkish and Persian traditions bequeathed the Sultan with the role of the protectorate of the rights enjoyed by all citizens, with a special focus on those at the bottom of the class system. Because of this, the Sultan received his authority in the belief that it was the only way to ensure that corruption could be avoided (Hooker 1996). This fidelity to both the authority and fairness to the Sultan was a key element in the evolution of the Janissaries. A significant portion of the training of Janissaries involved indoctrinating them to believe they were a family and the Sultan was their father. Until the late 1380s, Janissaries consisted prisoners and slaves. Sultan Selim I transformed the conscription by filling their ranks with non-Muslim youths. The training was highly disciplined that obeyed Islamic laws such as celibacy and not being allowed to wear beards (Greene). The Janissaries were an essential element of the Ottoman Empire throughout its major wars and battles from the 1453 capture of Constantinople to the wars against the Austrian-Hungarian Empire several centuries later. In the beginning it was the Sultan himself who very often led his Janissary troops into battle. As they began to assert their dominance in battle, their reputation and favor increased, along with the desire of many to join them. While this was an advantage in the arena of recruitment, it also quickly proved to be something less then desirable to the Sultan and his political advisors. The Janissaries slowly began to realize that their reputation could bring them an even better life, as well as more power. Over the course of the next few centuries there the evolution of the Ottoman Empire was marked by a series of uprisings and revolts that all served to increase the power of the Janissaries. The first revolt by the Janissaries did not take place until 1449 when they demanded better pay. The success of this revolt doubtlessly set the stage for future revolutions. In fact, this rebellion created the precedent whereby each new Sultan was expected not only to extend a reward to each Janissary, but also to raise pay. A later insurrection in the 16th century resulted in Sultan Selim II bestowing permission for Janissaries to marry. The Janissaries had achieved such a position of power by the 1700s that entire Ottoman bureaucracy was dictated by their desires. Any mutiny by the corps could result in a change of political policy. Coups directed by Janissaries had the effect of replacing Sultans who were not specifically sensitive to their demands. A key, and ultimately fatal, mistake by the Janissaries was moving to block modernization of the military in an effort to hold onto their own power (Gerolymatos 152). In 1807 a Janissary revolt deposed Sultan Selim III, who had tried to modernize the army along Western European lines. His supporters failed to recapture power before Mustafa IV had him killed, but elevated Mahmud II to the throne in 1808. When the Janissaries threatened to oust Mahmud, he followed suit and had the captured Mustafa executed and

Sunday, October 27, 2019

Resource Based View (RBV): Advantages and Disadvantages

Resource Based View (RBV): Advantages and Disadvantages This report reviews the empirical studies of the resource based view (RBV) and examines the benefits and limitations of RBV as the best strategy route in the developing a firms strategy. By having a clear and focused strategic intent, it mobilises an organisation towards achieving the desire position. Firm would be able to achieve sustainable competitive advantage (SCA) by analysing its internal and external environment using the RBV and Porters industry analysis (IA) respectively, The significant of RBV is through an understanding of the relationships between resources, capabilities, competitive advantage, and economic rent. The RBV identified characteristics of advantage-creating resources such as value, rarity, imitability and Organisation (Clulow et al, 2007; Barney, 1991). In contrast, Porters IA focuses on lower cost and product differentiation in achieving sustainable competitive advantage. Despite the conflicting issues, the RBV has examined issues and new directions that will help to clarify the value and boundaries by integrating with Porters industry analysis. Porters framework and the RBV of the firm essentially perceived the primary role of strategy in attaining a SCA (Hax A. C. and Wilde II D. L., 2003). Thus, both frameworks are complementary as they emphasised in different dimensions of strategy (Hax A. C. and Wilde II D. L., 2003). (183 Words) Introduction The RBV is one of the contemporary strategic management concepts to develop a firms strategy. The objective of this report is to accept or reject the contention that RBV analysis has a strong relationship with firms performance in attaining a SCA. This report reviews the literature on competitive advantage and firm performance. It is divided into five main components. The first section summarizes the literature on competitive advantage from two viewpoints, the RBV and Porters IA. The second section discusses on the strengths of the RBV in reviews with the literature on strategic intent, threshold resources, capabilities, competitive advantage, core competencies, SCA and VRIO. The third section illustrates Porters IA in reviews with cost, differentiation, and market focus. The fourth section deliberates the criticisms of the RBV. The fifth section illustrates how researchers have overcome some of these boundaries. It reviews an integration of the RBV and Porters IA in the proposed model of core competencies, competitive advantage and firm performance (Chabert J. M., 1998) (165 Words) The Resource Based View of the Firm Thompson et Al (2010) point out that RBVÂ  [1]Â  uses a companys VRIOÂ  [2]Â  strengths and competitive capabilities to deliver value to customers in an approach that rivals find it difficult to imitate. The RBV emphasises on the internal capabilities of an organisation in formulating strategy to achieve SCAÂ  [3]Â  in its markets and industries (Henry, 2008). It holds that firms can earn sustainable abnormal returns if and only they have superior resources and its protected by an isolating mechanism preventing their diffusion throughout the industry (Value Based Management.net, 2011). The Resourced Based View Assumptions The RBV assumed that resources are diversity and immobility (Barney, 1991; Mata et al, 1995). According to Mata et al. (1995), resource diversity concerns whether different firms possess bundles of different resources and capabilities; while resource immobility refers to a resource is difficult to obtain by competitors because the supply is inelastic or costly. These two assumptions can be used to determine whether an organisation is able to create a SCA by providing a framework to determine whether a process or technology provides a real advantage over the marketplace (Brown, 2007). Thus, the RBV tends to focus on the types of resources and the characteristics of these resources that make them strategically important. The RBV as the best strategy route in developing a firms strategy Today managers are moving manufacturing offshore to lower costs of labour, streamlining product lines to capture global scale economies, instituting quality circles and JITÂ  [4], and adopting Japanese human resource practices (Hamel and Prahalad 1989). It was believed that the application of concepts like strategic fit (between resources and opportunities), generic strategies (low cost, differentiation and market focus) and the strategy hierarchy (goals, strategies, and tactics) have often aided the process of CAÂ  [5]Â  (Hamel and Prahalad 1989; Andrews, 1971). Most companies have approached competitor analysis that concentrates on the existing resources like human, technical and financial of current competitors. Whereas, companies are only aware to the resources that able to increase the future margins and market share as their primary threat. There are few Japanese companies possessed RBV, manufacturing volume or technical competence of U.S. and European leaders. For instance, Canons first halting steps in reprographics business looked very small compared with the $4 billion Xerox powerhouse (Hamel and Prahalad 1989). Strategic Intent In addition, strategic intent envisions a desired leadership position and establishes the criterion of adding value to the RBV of the organisation, for instance, Komatsu set out to encircle Caterpillar (Hamel and Prahalad, 1989). The concept emphasises on an active management process that involved focusing the organisations attention on the principle of winning. For example, the Apollo program where landing a man on the moon ahead of the Soviets was as competitively focused as Komatsus drive against Caterpillar. It also motivates people through shared value, enabled individual and team opinions, sustaining enthusiasms as environments change and using intent consistently to guide allocation of resources (Hamel and Prahalad, 1989). Barney (1991) and Peteraf (1993) point out that a firm is said to enjoy superior performance comparative than its competitor when the firm can produce economically and higher customer satisfaction, thus empowered them to attain CA. Whereas, Porter (1985) defined CA as the ability to earn returns on investment consistently above the average for the industry by focusing on the companys external competitive environment and how they position themselves against that structure (Halawi L. A., Aronson J. E, and McCarthy R. V., 2005). In contrast, the RBV of strategy points not to industry structure but to the unique cluster of RCÂ  [6]Â  that each organisation possesses (Henry, 2008; Collis and Montgomery 1995; Stalk et al, 1992). Firms Outperform and Maintain Competitive Advantage The Benefits of RBV RBV is best applied for the assessment of a firms existing resource portfolio or when exploiting the firms resources to move into new product markets (Sheehan and Foss, 2007; Barney 2001; Penrose 1959). There are two essential reasons for using the RC as a substance to its strategy. It provides a direction for firms strategy and they are the primary source of return for the firm. The RBV perceives the value derived from management skills, information capabilities, and administrative processes as scarce factors that able to generate economic rents (Sheehan and Foss, 2007). Firms as bundle of Resources Threshold resources are defined as the unique combination of assets and capabilities within a firm that enable firms to develop and implement strategies to meet customers minimum requirements and to improve its overall performance (Scholes J. G., and Whittington, R., 2008). It can be classified as either tangible or intangible resources. Tangible resources refer to the physical assets that a firm possesses. In order to add value, these physical resources must be capable to respond to marketplace changes. Intangible resources comprise of human and organisational capitals. It may be embedded in cultures and practices that have developed over time within the organisation (Henry, 2008). It involves knowledge based economy, the tacit knowledge and specialist skills of many employees which are difficult for competitors to imitate (Henry, 2008). Nonaka and Takeuchi (1995) classified knowledge as explicit and tacit. A communication that can be readily transferred is known as an explicit knowledge; hence, it requires protection like copyright. While, tacit knowledge is discovered through its application and acquired through practices such as beliefs and perspectives and cannot be codified (Henry, 2008). RBV and Organisational learning The RBV stresses the significance of developing and enhancing those resources that are distinctive as distinctive capabilities (Olavarrieta and Ellinger, 1997). Ten3 Business e-Coach (2001) defined capabilities as the capacity for a set of resources to interactively perform a business process. Capability is a source to SCA as it is based on organisational routines and processes that are socially complex, knowledge-based and difficult to imitate. A firm is able to possess dynamic and operational capabilities, where dynamic capabilities are defined as those processes that allowed the firm to change its resources based on techniques to meet the differences in strategic and competitive challenges (Zubac et al, 2010; Helfat et al, 2007). The perception of a dynamic capability was developed to expound why some firms have been able to outperform their competitors over long periods of time and despite significant changes in the marketplace (Teece et al, 1997). It is specific and identifiable processes involved conceptualisation, product development and strategic decision making (Eisenhardt and Martin, 2000, p. 1105). Conversely, an operational capability is the firms capacity to combine, assemble and deploy the firms assets using pre-determined activities, routines, processes and the skills of its employees to make goods and services that are a source of potential profits to the firm available to its customers (Spanos and Lioukas, 2001). However when a firm is adopting a differentiation strategy, they would focus on new product development, whereas a firm which implementing low cost strategy would focus on improving manufacturing process efficiency (Henry, 2008). Capabilities are not built in short period; they are dependent on employees, knowledge based, understanding of the marketplace and customers requirements and operations (Olavarrieta and Ellinger, 1997). The Competitive Advantage of RBV Competitive advantages and disadvantages in resources are equivalent to strengths and weaknesses respectively, which stimulate cost and differentiation advantages or disadvantages in competitive product markets (Valentin K. E., 2001). When an organisation implements a value creating strategy where it is not implement by the rivals then it is said to have CA (Halawi L. A., Aronson J. E, and McCarthy R. V., 2005; Barney, 1991). CA can be created in various methods through size, location and accessibility to resources (Halawi L. A., Aronson J. E, and McCarthy R. V., 2005; Ghemawat, 1986). The CA gained by these RC is then reflected in superior performance of the firm in financial terms such as higher profits, increased sales or market share (Clulow et al, 2007; Hunt and Morgan, 1995; Collis and Montgomery, 1995; Fahy, 2002; Wilcox-King and Zeithaml, 2001). The Competencies of an Organisations Henry (2008) evaluated competency as the internal capabilities that firms require in order to be able to compete in the marketplace. In addition, Zubac et al (2010) defined CCÂ  [7]Â  as the collective learning of individual members within the firm and their ability to work across organisational frontiers. Prahalad and Hamel (1990, p. 82) stated that: The skills that together constitute core competence must coalesce around individuals whose efforts are not so narrowly focused that they cannot recognise the opportunities for blending their functional expertise with those of others in new and interesting ways. Thus, a CC or strategic capability can be thought as a collection of features that a firm possesses which enables them to achieve CA. Honda and BMW are examples of the organisations that have achieved CC in a way they configure their value chain respectively (Henry, 2008). RBV and Sources of Sustainable Competitive Advantage (SCA) Barney (1991) suggested that there can be heterogeneity or firm-level differences among firms that enabled them to attain SCA. Ten3 Business e-Coach (2001) describes SCA as the continued benefit when an organisation is implementing a value-creating strategy that is not being implemented by potential competitors and incapable to imitate the benefits of this strategy. Therefore, the RBV emphasises on strategic choice, structuring the management of the firm with the important task of identifying, developing and deploying RC to maximise returns (Value Based Management.net, 2011). Bharadwaj et al (1993) propose a framework of SCA for a firm is derived from the RC of the firm. The extent of the service firms SCA is essentially determined by the degree of imitability inherent in the firms resources. Kerin et al (1992) presented an integrative framework of the literature on first mover advantage, suggesting that the realisation of SCA, through market pioneering, is contingent on the resources that a firm possesses (Olavarrieta and Ellinger, 1997). Strategic resources and Superior performances As a source of CA, RC must have four attributes which is VRIO in order to outpace others. A resource must be valuable as it empowers the firm to perceive or implement strategies that enhance its efficiency and effectiveness through lower costs and incline of revenue (Ecofine, 2010). Substitutability states that there must be no strategically equivalent valuable resources that can be exploited to implement the same strategies (12manage, 2008). For instance, Wal-Mart sells most of the same merchandise as its major competitors, but the effectiveness and innovation of its logistics system ensures that it is the market leader in the industry. Wal-Marts valuable and imitability point-of-purchase inventory control systems and cross-docking distribution plants have resulted in competitive advantage relative to its major competitors (Olavarrieta and Ellinger, 1997; Barney, 1995). Porters Framework Porters Industry Analysis Porter (2008) illustrates CA as an understanding of industry structure that guides managers toward productive possibilities for strategic action that includes positioning the company to be better cope with the current competitive forces, anticipating and exploiting shifts in the forces, and shaping the balance of forces to create a new industry structure that is more favourable to the company. There are three sources that is irreproducible, for instance, market structure that limits entry, a companys history which by definition will require time to imitate and tacitness in relationships refers to the routines and behaviours which cannot be imitate since the organisations themselves are unsure how they work (Henry, A., 2008). Porters mentioned that there are only two generic studies to compete either through low cost or product differentiation that lead to superior performance (Hax A. C. and Wilde II D. L., 2003). To assist managers in understanding, improving, and implementing a low cost or differentiation strategy, Porter (1985) developed the value chain framework; it is a generic activity that is used to decompose the firm into the individual activities it undertakes to create value for the customer (Sheehan and Foss, 2007). Economies of Scale Cost leadership is achieved through the aggressive pursuit of economies of scale, product and process simplification, and significant market share that empower companies to exploit experience and learning effects (Hax A. C. and Wilde II D. L., 2003). Dell being one of the organisation are protected by scale economies in their direct-sales method, efficient lean-manufacturing approach, expertise in logistics and supply-chain management. Hence, these capabilities provide it with CA and which its competitive incapable to imitate (Henry, 2008). Differentiation and Core Competencies It requires firm to differentiate for creating a product that customer perceives as highly valuable and distinctive (Hax A. C. and Wilde II D. L., 2003). The first-mover advantage refers to firms which benefit from the learning and experience they acquire as a result of being first in the marketplace like Toyota has achieved CC in the production of petrol-and-electric hybrid cars (Henry, 2008). Hence, a CC should provide access to a diversity markets, make significant contribution to perceived customer benefits of the end products and difficult to imitate. Honda is one of the organisations that focuses on the technical excellence of 4-cycle engines, have facilitated it to leverage its CC to compete in markets from motorcycles to automobiles to a broad range of gasoline-engine products (Grant, M. R., 2001). Market focus Strategy can be viewed as building defences against the competitive forces or discovering the weakest forces in the industry. For instance, Paccar, a firm with heavy-truck market, has chosen to focus on owner-operators group of customers. They have customised the value chain to work immensely with the forces in the segments. Thus, Paccar has earned a long-run return on equity (Porter, 2008). Criticisms RBV Implications The RBV of the firm is a contemporary theory that provides insights on both strategic and organizational issues. An often-recurring critique on the RBV is that its core logic contains circular reasoning in the specification of the relationship between rents and resources (Truijens, 2003). It resulted based on the assumptions of firm heterogeneity and economists preference (Truijens, 2003). Rents are frequently used as firms critical resources which acknowledged by comparing successful firms with unsuccessful firms (Truijens, 2003; Mosakowski et al., 1997, p.2). The RBV also emphasises on the role of human capital in the creation of CA, which at the same time caused issues for accountants in terms of total business and intangible asset valuation (Toms, 2010). Accountants equally are concerned with controls which prevent misappropriation of resources that ultimately are shareholders property. Thus, a theory of value also needs to be accountability (Toms, 2010). Conclusion Porterian thoughts on value chain activity actually ways in which to configure and coordinate internal RC in various ways to achieve value at every stage until it results in SCA, and ultimately, achieving strategic intent, i.e. a desired leadership position. Porters value chain model was a contribution that helps complement his views on strategic positioning and CA. His views on analysing the industry five forces and selecting one of the generic strategies ultimately require the firm to look into its value chain activities. If, for example, the goal is to achieve cost leadership, then every activity, resource and capability in the value chain will be configured, coordinated, combined and utilized in such a way as to bring down costs and achieve greater productivity and higher profit. The strategic intent may be to attain no. 1 position. But cost leadership as a generic choice becomes the driver that guides all RC decisions and activities in the value chain. Activity-based drivers and RBV has many similarities, both influence a firms cost and differentiation position, and both need managerial involvement in a way that drivers must be made controllable, while resources must be organised (Sheehan and Foss, 2007). Although these frameworks have often been presented as conflicting views; they can contribute greatly to the development of a strong business strategy. By integrating these frameworks, it enables activity-based view solves implementation issues that are unresolved when using the RBV (Sheehan and Foss, 2007; Barney and Arikan, 2001). It enhances many of the individual weaknesses of the two views. The activity-based view is weak in its assumptions about factor markets, which would be addressed by the RBV (Sheehan and Foss, 2007; Teng and Cummings, 2002). Thus, Porters IAÂ  [8]Â  remains crucial and the choice should not be seen as one of either but rather one of complementarity.

Friday, October 25, 2019

Frankenstein Relationships :: Essays Papers

Frankenstein Relationships Many stories have progressed enough to be the topic of conversation from time to time. The novel, Frankenstein or The Modern Prometheus has different relationships to many other topics. The author of the story, Mary Wollstonecraft Shelley who was born almost 200 years ago bringing with her the age of horror (Edison 5), used biographical strategies to write Frankenstein. Also, as time progressed, Frankenstein became a well-known story. It was turned into many different films that depicted the time period that it happened to be from. One final relationship that Frankenstein has happens to be the way that everyone can draw morals from the story, no matter what the reader’s age, or how the reader’s life has evolved. Mary Wollstonecraft Shelley used biographical strategies to write her well-known novel. Frankenstein has plenty of tragedy included to form the storyline. Many women passed away throughout the entire novel. Perhaps the reason for these mishaps was because Shelley watched many women and children die all through her life. For instance, her mother died after giving birth to Shelley. Also, only one of Mary’s children survived infancy. Mary herself almost died after a miscarriage. Percy Shelley’s wife, Harriet, committed suicide. (Percy married Mary after his wife took her own life.) Shelley also demonstrated a bond between specifics such as names, dates and events. For example, the letters that form the narration of the novel were written to Margaret Walton Saville (Whose initials M.W.S are those of Mary Wollstonecraft Shelley). These letters were written not only during the time that Mary was going through her third pregnancy, but also during the time when she was writing the novel itself. It appears that Mary tries to be a silent person in her story. Most of the important scenes revolve around her in some way. Certain dates had a large enough impact on Mary’s life that she integrated them into her novel. â€Å"Mellor discovered that the day and date on which Walton first sees the creature, Monday, 31 July, had coincided in 1797, the year in which Mary Shelley was born. This fact and other internal evidence led Mellor to conclude that the novel ends on 12 September 1797, two days after Mary Wollstonecraft’s death.

Thursday, October 24, 2019

Family Members’ Perceptions of the Quality of Long-Term Care Essay

This is a journal study that primarily assesses the different reactions of several family members towards the long-term care given to patients through special health care cases. In terms of social healthcare matters, this journal aims to show how much the nursing practice works for the patients in a long span of time. Through scaling the process itself along with the measurement of the competence of the nurses working with the program, the implications of the long-term care applications has been examined well by the authors of the research. The methodology that has been used made this research a primary validated account for further studies in connection with nursing practices. IT is through this journal that the researchers were able to point out the role of nurses in the society as well as within families who are caring for sick members. The ease that is brought about by the long-term care programs handed in service by nurses serves much on the part of the family ties of the individuals directly affected by the application of the said medical process. Undeniably, it is through this process that the nursing practice is further proven both effective and efficient in implying social growth among families through health.

Wednesday, October 23, 2019

A Study on Lawrence Venuti’s Translation Theory Essay

Lawrence Venuti is a distinguished translator, translation theorist and master of deconstruction whose works are included in two collections of stories by Dino Buzzati. Venuti is the recipient of a translation grant from the National Endowment for the Humanities and a Premio di Cultura for translation from the Italian Government. A former judge of the PEN-BOMC Translation Award, he teaches at Temple University as an Associate Professor of English. He is the editor of anthology Rethinking Translationï ¼Å¡Discourseï ¼Å'Subjectivityï ¼Å'Ideology; the compiler of The Translation Studies Reader and the author of two major books on translation. —The Translator’s Invisibility: A History of Translation and The Scandal of Translation: Towards an Ethics of Difference. Lawrence Venuti has studied the translating practice with a critical eye since the 1660s and introduced the dominant position of the fluentness in translation strategies, which helps form the canons for translated literature in Anglo-American language and culture; he has analyzed the influence of the textual and non-textual elements to translation such as relationships between ST and TT and between writer and translator, etc., in hopes of finding a text that can load the foreignness and situate the translator in the foreground. Venuti’s theory has re-analyzed the connotation of translation. He is strongly against domestication of translation, which embodies the ethnocentrism and cultural hegemony in essence. So he puts forward new translation methods such as â€Å"resistance†, â€Å"symptomatic reading† and â€Å"abusive fidelity†. He hopes to make a new position for translation that should be read as a translation with its own value, which not only puts post-modernism in translation but also leaves enough space for Chinese scholars and students to rethink translation. Beside Introduction and Conclusion there are five chapters in this thesis: Introduction briefly introduces the present situation of translation studies and the theme, the structure and goal of this thesis; Chapter One collects and briefly introduces the most important parts of Venuti’s translation theory, trying to find the essence and key points from either textual or non-textual aspects; Chapter Two tries to analyze Venuti’s theory from both diachronic and synchronic perspectives in hope to find the properties in the modern times; Chapter Three integrates theories of different schools and focuses on analyzing the functions of Venuti’s translation theory in translating practice and review through comparative studies. Chapter Four briefly analyzes the backgrounds and ways of introduction of Venuti’s theory and its influence on translation studies and practice in China, as well as the present status of its misreading and mistranslating; Chapter Five analyzes the merits and demerits of Venuti’s theory from both positive and negative aspects, hoping to generalize his contribution to translation studies and draw attentions to the void space for rethinking translation; Conclusion sums up the whole thesis. Key Words: Lawrence Venuti power relationships resistance foreignness rethinking

Tuesday, October 22, 2019

Movies Adapted From James Patterson Books

Movies Adapted From James Patterson Books James Patterson is an American author best known for his compelling books. His works tend to fall into the young adult fiction, thriller, and romance categories. With such exciting plots, many of his books have been turned into movies. For James Patterson book fans interested in watching a movie adaptation, or for those who would rather experience a story through film rather than text, here is a list of James Patterson movies by year. Kiss the Girls (1997) The protagonist is Alex Cross, a sharp Washington D.C. cop, and forensic psychologist. His niece is kidnapped and held captive by a serial killer by the name of Cassanova. One of his victims who escaped, Kate, joins forces with Alex to find his niece.   Starring Morgan Freeman and Ashley Judd, this crime-mystery thriller will keep you on the edge of your seat. Miracle on the 17th Green (1999) This sports drama revolves around the game of golf. Mitch loses his job, and rather than find another job at age 50, he decides to compete on the senior golf tour. But this decision affects his home life, as his wife and family start to feel neglected.   Along Came a Spider (2001) Another movie in the Alex Cross series, Morgan Freeman returns as the titular psychologist and detective. Alex loses his partner on the job. Experiencing insurmountable guilt, he retires from working in the field. That is until a senators daughter is kidnapped and the criminal will only deal with Alex. First to Die (2003) Homicide inspector Lindsay Boxer is dealing with a lot. In the case of her career, her team successfully captures a serial killer but she also finds herself falling for her partner. All the while, she is secretly handling a life-threatening disease. Suzannes Diary for Nicholas (2005) Christina Applegate stars as Dr. Suzanne Bedord in this romance-drama. Suzanne discovers the truth about her former lover in a round-about way- through the diary that his first wife wrote to their son.   Sundays at Tiffanys (2010) Jane is about to get married to TV star, Hugh. But not all is happy and well. In fact, Hugh is only using Jane to get a lead role in a movie and Janes mother is very controlling. Janes childhood imaginary friend, Michael, reappears in her life. In fact, Michael is a guardian angel that is sent to help neglected children until they turn 9-years-old. This is the first time Michael meets with one of his kids when they are adults.   Maximum Ride (2016) This action-thriller follows six kids, who arent really human. They are human-avian hybrids bred in a lab which they escaped from and now hide-out in the mountains. When the youngest is kidnapped, everyone else tries to get her back and learn secrets about their enigmatic past in the process.

Monday, October 21, 2019

Market research is the key to success Essays

Market research is the key to success Essays Market research is the key to success Essay Market research is the key to success Essay p9) It might also have used customer interviews or questionnaires, focus or user groups, surveys or panels as one of the sources in order to have a general consumers overview. There are several advantages associated with field research. Tesco could aim questions directly at research objectives, derive latest information from the marketplace and assess the psychology of the customers. Moreover, the relevant data could be a competitive advantage as other rivals will not have had access to it. As for the drawbacks, it can be costly, time-consuming and at the same time Tesco taking risk of bias questionnaires and interviewer. In additions, the research findings may only be usable if comparable backdata exists (Marcouse, 2008, p144). On the contrary, desk research uses secondary data that already exists. If Tesco carried out desk research, it could collect data via internal and external resources. Internal resources may consisted of company accounts, internal reports and analysis, retail data (e. g. loyalty cards) and stock analysis (Biz/ed, n. d. ); whereas external resources may comprised rivals marketing literature, government-produced data, trade press and the internet (Marcouse, 2008, p143-144). Desk research often obtained a wide range of data without high cost, and usually based on actual sales figures or research on large samples which increase accuracy of the data. A further advantage is allowing Tesco to have a good overview of the market. However, the data may not be updated regularly and not tailor-made to companys need. Similarly, the reports may be expensive to buy on various marketplaces (ibid, p144). Market research data could be numerical or psychological, namely, quantitative or qualitative (Marcouse, 2008, p143). If Tesco used quantitative research, it concerns with gathering hard data on large sample of people and presenting information on statistical basis, such as diagrams that could be used to analyse the information. It usually interrelated with data on the market size, shares and growth. Three key perspectives to be considered by Tesco, that are sampling, writing an unbiased questionnaire that meet the research objectives, and assessing the validity of the results (ibid, p146). If Tesco used qualitative research, they could understand consumers behaviour, attitudes and perceptions in some depth but not statistics data. It usually conducted by psychologists and takes two main forms which are focus groups and depth interviews. Focus groups conducted with psychologists and a group of consumers; whereas depth interviews only between a psychologist and a consumer, which is better as to avoid risk that group opinions will be swayed by certain influential person (ibid, p145). It is at best if Tesco combined both research types as one because if only one research type being conducted, Tesco would not get a whole picture of consumers behaviour, attitudes and perceptions. Sampling means selecting people as representative of the whole of a population which their view will be taken as representative of all first-time buyers. There are three main sampling techniques that Tesco might have used. If Tesco used random samples, it ensures everyone in the population has an equal chance of being selected. It would be effective, but costly and time-consuming, and may have chosen those not in the right group. If Tesco chosen quota sampling, it selecting interviewees in proportion to the consumer profile within the target market (ibid, p146). It aims at obtaining a sample that represents the overall population (tutor2u, n. d. ). It is relatively cheap, effective and most commonly used. However, it is not random thus enduring some risk of bias. If Tesco opted stratified sampling, it only involved interviewees with key characteristic required for the sample. Within this stratum of population, individuals could be found indiscriminately or by setting quotas based on factors such as region (Marcouse, 2008, p143). Although it still random, it is more focussed, relevant and may be more cost effective. It is important for Tesco to consider the sample size and response rate as these could lead to serious issues such as launch of product flopped. Generally, a sample of 100 respondents is far more meaningful if the results are clear-cut. A sample of 1000 respondents is possible but costly. Survey methods may have influence in response rate and built-in bias rate. Database-driven research, for instance, may be the most accurate and reliable resource as it information bases upon current or ex-customers. Market research helps firms to plan ahead rather than to guess ahead (The Times 100). Large established companies such as Tesco have huge advantages over new smaller companies as their knowledge of consumer attitudes and behaviour constructed from years of market research conducted. However, it may not be the only factor that determines the success of a business. Test marketing, for instance, could provide more accurate data than marketing research, thus allows more accurate sales forecasts and identify a weak link; howsoever, it is far costly, acquire large-scale of production and allows rivals to foreseen. Besides, innovation enables company to distinguish themselves from rivals and even interrupt the product life cycle by extend the product maturity. Furthermore, external factors such as economic and environment could be the main issues. As an example, global recession is claimed by Tim Mason to be one of the factors that caused Tescos losses in US stores (Finch, 2009). Taking everything into consideration, certain conclusion can be drawn. Tesco which has strong home branding and in a very good financial health, that Fresh and Easy strategy would be far more effective and accurate if Tesco conducted both primary and secondary marketing research which combining both qualitative and quantitative research in specific locality of their United State stores. It appears probable that marketing research may be fairly important as one of the factors that determine the success of a business but may not be the only crucial factor.

Saturday, October 19, 2019

Case Study of Diagnosis of Neutropenia Patient

Case Study of Diagnosis of Neutropenia Patient A 45 year old physically fit patient was admitted to hospital following several visits to his General Practitioner (GP) where is was complaining of decreased appetite, constipation, fever, chills, headaches, cramping, vertigo and respiratory problems after experiencing some hay fever like symptoms one week ago. He was commenced on Roxithromycin 150mg b.d and his GP ordered blood tests that showed his had neutropenia (low white cell count) (Harris et al 2006, p 1185) and thrombocytopenia (low platelet count) (Harris et al 2006, p. 1704). Two days later he was not feeling any better and the GP ordered a chest x-ray (CXR) which the patient to have bilateral pneumonia he was than admitted to the hospital. This essay will identify important events that took place during the patient’s admission to hospital and discuss three of these events in detail with contemporary evidence to support the writer’s discussion. The essay will than look what has been learnt through this case study in relation to future professional practice as a new graduate registered nurse in accordance with the Australian Nursing & Midwifery Council (ANMC) competency standards. Day 2 Why did the patient not received oxygen until his saturation got to 70% there is no mention of the treatment plan to or from nursing staff. Later that day the patient was transferred to main ward, the nursing staff raised the issue that the patient needed to be in the intensive care unit (ICU), the patient was reviewed by Respiratory Physician and was decided to not to transfer patient to ICU. This patient required close monitoring due to saturation decrease and as a newly registered nurse we do not have the experience or the time to monitor this patient in a ward environment (ANMC 2006) competency Professional Practice. Patient safety, patient advocacy. Day 5 The patient was noted to be still febrile and was ordered another CXR as the Computed Tomography Scan (CT scan) was not preformed, why had this pa tient not had the CT scan that was ordered (ANMC 2006) competency Professional Practice. Team communication strategies, chain of command. Later that day it was also noted that the patient had a PR Bleed and a referral was made to the gastroenterologist. No mention of cause or any investigation taken place to assess the PR bleed no blood tests were ordered to determine patient’s status. Patient advocacy, patient safety. Day 6 Respiratory Physician saw the patient and noted he had severe bilateral pneumonia, possible bone marrow suppression and anaemia of an unknown cause, no communication between medical officers as the patient had a PR bleed the day before and is neutropenic and thrombocytopenic. The Respiratory Physician requested an infectious diseases review. Patient advocacy, conflict management, documentation. Day 7 It was documented again that the patient had low saturations and was febrile. He was seen by the Infectious Diseases Specialist and was ordered more tests an d a lung biopsy. The lung biopsy was considered to be of high risk due to the patient’s condition by a Thoracic Surgeon. If this patient was a high risk why was he not in ICU as requested by the nursing staff? Conflict management, chain of command, patient advocacy.

Friday, October 18, 2019

Imaged Reactions of Robert King to the Interesting Narrative of the Essay

Imaged Reactions of Robert King to the Interesting Narrative of the Life of Olaudah or Gustavus Vassa, the African - Essay Example It has been near Thirty years since I freed Gustavus, and in that time the Evil of the Slave-Trade has been exposed for all of us to see and read, in large part from his Account of his Life. Had I not freed Gustavus, he would not have been available to do this Work of Our Lord and stir the conscience of our Country. I tremble at the thought of the Ways in which Providence’s Work is mysteriously achieved. I am also relieved that my Stewardship has been exposed to the World through this book in a favorable manner, and hope that some measure of forgiveness will be afforded me for my participation in the evil practice of Slave Trading, by showing that I at all times endeavored to treat all of Our Lord’s children with kindness and Mercy. For the first time I have understood the Humanity of Gustavus’ Life in his home of Africa, with those other Children of Our Lord who have been lost, but live in a type of innocence. Gustavus is now doing the Lord’s Work by brin ging His True Word to the heathens in that continent now made more wretched by the Slave-Trade. May they turn away from their Pagan superstitions and find the True Deliverance and comfort that only comes from our Savior. It is mystifying indeed how the Lord has caused His Salvation to reach the primitive peoples of Africa through such trials and Tribulations as those suffered by the Martyrs! It is a strange thought, without a doubt, to learn that our African brothers are descended from the same seed of Abraham, and are still waiting to hear the Word of our Lord. Indeed, as a man of the Sea, I am ashamed to learn of all the wretched conditions on the Slave Ships and the Evil that it has made good Christian men do. Indeed, they are the breeding grounds for Satan’s works. The immorality of kidnapping of children and the sinfulness of the behavior of men for this Inhuman Traffic is shameful to read. I fear the consequences of my actions on the Day when I have to account to my Sav iour, as we all suspected and sometimes even knew that the men we left in charge of our Slaves were committing the gravest acts of immorality, lust, and cruelty, but said nothing as we served Mammon instead of serving our Savior! I had known that Gustavus was a remarkable and valuable Servant, but I did not know the extent of his adventures and sorrows. Gustavus was brought into the Evils of the Slave Trade, and then into the evils of War, both of which violate the sacred teachings of our Savior. But Providence saved him in countless situations, even when my dear Captain had succumbed to illness, so that Gustavus could save more Souls and reveal His Glory to all the World. The Lord and His Grace were present even in the most horrid conditions of war and slavery, and His Servant, Gustavus, could see the Guiding Hand of Providence and thereby be saved. It fills my heart with sorrow to read of the countless betrayals faced by faithful Gustavus, and I thank the Lord that I, at least, ke pt my word and offered him his Freedom, without ever wishing to keep him in further Bondage. That this black seed of Abraham shall redeem the white Christians of Europe from their immorality, lust, and perversity caused by such a pernicious Slave Trade, through my act of manumission is a humbling Honor for which only the Lord deserves credit. If we can now rid ourselves of this Great Sin, let us do so! Gustavus’ talent was well made manifest to me when I saw how quickly he had been able to raise the forty pounds sterling for

Reflections Associated with I Just Wanna Be Average Essay

Reflections Associated with I Just Wanna Be Average - Essay Example Rose in this book presents his fellow students as products of environment they are in. During the time he was in vocational school, he is presented to us as an average student who is rarely noticed in class. Mike Rose is not limited by his brains but by his surrounding and the fact that he is a vocational student. It is ironic that in this particular category as student they are not expected to do well even by their own teachers. Students in this surrounding have low expectations and as a result, they perform poorly because that is what they are made to believe. In reality, there is a choice to perform well, but students in most cases follow the standards or levels set by the teachers. What makes this book outstanding is the fact that Mike Rose is placed in these classes as a result of confusion but, due to his strong character and determination he decides to take the enrollment. Even though, a student Rose closely examines his teachers and fellow classmates. Through his essay, he ex plains that his teachers act as if they do not want to teach; in a much-unexpected way, they use violence and lack of teaching plans to control students. This act negates the rule that students need motivation from their environment and especially their teachers. However, Rose looks at these from both sides and states that his fellow classmates do not express any desire to learn. Students in this essay paint learners who are into fights, parties and slacking off as non-performers and lack academic visions (Joy 2008). The value of student determination is illustrated through Rose because he has to travel to school using two buses. His first bus leaves him midpoint from South Los Angeles and second one takes him through forests and lots of flowers as he mentions in the essay. He also discovered some special qualities from his fellow students, which reveals one, fact that students are not as bad as they seem there is always what can be done. One of his classmates that caught his attent ion was Ken Harvey who always gave sincere answers. When asked about his expectations, he states, that he wants nothing but be average. Rose analyzes this situation further why Ken thought in such a way. He attributes these to the difficulties that students go through in their school years. Rose argues that life is wild and confusing at this particular stage of development and that by settling for low standards makes their lives a little bearable. These theory he later confirms when he joints a typical school. The standards that are set are high for him and he feels like he should be a common student, like Ken. The idea that students will always strive to achieve the set standards comes into play when Rose’s Dad dies. He is left alone and feels like he is not going to make it, fortunately at this particular time a man named Mr. McFarland is introduced as their English teacher, these man comes in with disorder and eccentrics. Despite these Rose finds he likes the teacher becau se he has his students at heart and encourages them to work hard. As a result of this attitude rose finds himself interested in learning more than ever, eventually the teacher convinces him to enroll for college education. Through his effort and encouragement from McFarland, Rose ends up perusing college education and finds his true self. This essay reveals many interesting facts about motivation in

EU Law Essay Example | Topics and Well Written Essays - 5000 words

EU Law - Essay Example According to the research Non-Profit Orgnizations such as Animal Protection Association (APA) cannot be considered an independent entity within the context of Article 34 since it receives substantial funding from Sagoland’s Ministry of Environment geared to promote activities having as their objective and effect to reduce the demand for wares sourced from another Member State. The measures were attributable to the Sagoland primarily because APA initiated the Animal Protection Mark (APM) at the behest of the Sagoland; its failure to arrest members of the APA found to have committed illegal acts such as threats, coercion, blockade of roads, burning of lorry and other similar activities. The enactment of Sagoland of a national policy prohibiting fur farming and restricting the entry of fur products in its territory is indeed a hindrance to competition. It is clear that its intention is to impede, prevent or reduce patronage of products source from other Member States which is con trary to the EU’s objective of a single and integrated market. This would promote locally produce products giving it undue economic advantage. Thus, the act of Sagoland falls within the prohibition of Article 34 TFEU. Measures of another Member State to protect the health and life of the animals found in the other Member State cannot be justified under Article 36 TFEU. National law of Sagoland intended to protect the life and health of animals found outside its jurisdiction do not have extra-territorial application. Scandonia likewise violates the principle of mutuality because the member state cannot use their quantitative restrictions and laws in another state. Another basis is the principles of proportionality were not fulfilled where the means employed to achieve the objectives must not go beyond what is necessary. Lastly, public morality is not a sufficient justification to restrict the importation of goods to and from another Member State. III a.) In the case of Mr. Zac k, and Henrietta L’s relationship, it is clear that the promoter contract governs the relationship of the two. Mr. Zack’s action of purchasing additional products from Henrietta’s website will not transform that relationship since the purchase of the product supports the promoter contract. As its ambassador Mr. Zack is compelled to only use and endorse Henrietta’s products, purchasing Henrietta’s product from its website supports this relationship since as the endorser Mr. Zack cannot use or purchase other products. b.) Henrietta’s website was meant to only cater to customers within Scandinionia. The website’s disclaimer declared and intimated as much and the use of the LAX currency as the only currency entertained by the websites absolutely proves this position not to mention the use of Scandinionian as one of its language. The use of a primary domain name by the website and the use of English is of no moment since the content and in tent of the website is only meant to cater to customers within Scandinionia as proven by its disclaimer and the use of LAX as the only means of payment. The disclaimer is sufficient in form and in substance, therefore it cannot be considered as an unfair item in a binding contract. It should be noted that the disclaimer was not ambiguous and it was conspicuously displayed within the website. PLEADINGS FOR HENRIETTA L I. a) GOVERNMENT ACTION IN FAVOR OF APA ESTABLISHES PUBLIC MEASURE Animal Protection Association (APA) is a non-profit organization founded according to the Law of Non Profit Associations in Sagoland. Although it is established denoting a social objective, it cannot be considered an independent entity within the context of Article 34 since APA receives substantial funding from Sagoland’s Ministry of Environment geared to promote activities having as their objective and effect to reduce the demand for wares sourced from another Member State. The issue arose when S agoland implemented a measure to ban fur farming and to dismantle existing fur farms in its territory. Following the implementation

Thursday, October 17, 2019

Writing Assignment 2 Essay Example | Topics and Well Written Essays - 2000 words

Writing Assignment 2 - Essay Example The article also aimed to establish a pattern of communication between different types of groups. The study conducted by Kurz focused more on the â€Å"discussions between in-group dyads about an out-group, or a member of an out-group† (Kurz, 2009. p. 894). Technically, what Kurz wanted to achieve in his study is to understand the dynamics of communications within a given group and how this dynamics affect the individuals within and outside of the group. According to Kurz, â€Å"the prevalence of stereotypical descriptions in discussions of out-groups within in-group dyads may stem from a desire to affirm shared beliefs about the out-group†(Kurz, 2009. p. 893). In the article, Kurz described stereotyping as a means for the individual to gain favor within the group. By surveying the various communication stereotypes, the author hoped to identify useful means of communication that individuals and groups can use to gain favors from each other. In conducting the research, Kurz relied on the dyad and group discussion paradigms to get the data and other information that he needed. He also tried to investigate the ways on how narratives of group members are reproduced among the other members of the group and used effectively. In drawing his hypothesis, Kurz relied on a study of related literature that points out that those narratives about group members when communicated to other members tend to be â€Å"stripped of stereotype inconsistent information (SI), with stereotype consistent (SC) information being retained† (Kurz, 2009, p. 895). Accordingly, the stereotype consistency bias can be attributed to the communication process by which the information passes from one person to another rather than a result of general memory biases (Wigboldus, et al, 2005). In other words, as the message from an outside source is repeated within the group and is passed from one group member to another, the message now takes

The blue sky laws Essay Example | Topics and Well Written Essays - 250 words

The blue sky laws - Essay Example It is a common practice for the Security and Exchange Commission (SEC) to regulate the security trading activities and enforce laws which are against fraudulent trading. However, the sky blue law has granted authority to state officials to share the responsibility of the SEC (the reduction of fraudulent securities trading and/or ensuring the punishment of violators). The sky blue law has been successful, to a significant extent, in regulating the securities trading. Even though every state implements the law, but take a different approach, there are similarities which form the basis of the effectiveness of the law. First, every state, in pursuant to the law, demands the registration of all players in the security market. The law requires that the stock brokers, the brokerage companies, and private security sellers register or be excused from the requirements of the registration (Legal Information Institute par. 1). Based on the registration strategy, the security agency of various states has successfully managed to reduce the fraudulent securities trading by denying a trading license or certificates to unqualified brokerage companies and/or individual stock brokers. Second, the sky blue law contains subsections that compel companies to release true and fair information to facilitate informed decision making. Third, the law provides for the punis hment of individuals or entities that engage in fraudulent securities trading and/or the release of false information. However, the law has not been very successful in the security regulation of national securities such as those listed on the New York Stock Exchange, NASDAQ among others (Legal Information Institute par. 1-3). In conclusion, the law has been successful in regulating securities trading. The registration process required to be followed by the players in the security market, the issuance of qualification certificates, the pressure to release true and fair information, and the punishment to

Wednesday, October 16, 2019

EU Law Essay Example | Topics and Well Written Essays - 5000 words

EU Law - Essay Example According to the research Non-Profit Orgnizations such as Animal Protection Association (APA) cannot be considered an independent entity within the context of Article 34 since it receives substantial funding from Sagoland’s Ministry of Environment geared to promote activities having as their objective and effect to reduce the demand for wares sourced from another Member State. The measures were attributable to the Sagoland primarily because APA initiated the Animal Protection Mark (APM) at the behest of the Sagoland; its failure to arrest members of the APA found to have committed illegal acts such as threats, coercion, blockade of roads, burning of lorry and other similar activities. The enactment of Sagoland of a national policy prohibiting fur farming and restricting the entry of fur products in its territory is indeed a hindrance to competition. It is clear that its intention is to impede, prevent or reduce patronage of products source from other Member States which is con trary to the EU’s objective of a single and integrated market. This would promote locally produce products giving it undue economic advantage. Thus, the act of Sagoland falls within the prohibition of Article 34 TFEU. Measures of another Member State to protect the health and life of the animals found in the other Member State cannot be justified under Article 36 TFEU. National law of Sagoland intended to protect the life and health of animals found outside its jurisdiction do not have extra-territorial application. Scandonia likewise violates the principle of mutuality because the member state cannot use their quantitative restrictions and laws in another state. Another basis is the principles of proportionality were not fulfilled where the means employed to achieve the objectives must not go beyond what is necessary. Lastly, public morality is not a sufficient justification to restrict the importation of goods to and from another Member State. III a.) In the case of Mr. Zac k, and Henrietta L’s relationship, it is clear that the promoter contract governs the relationship of the two. Mr. Zack’s action of purchasing additional products from Henrietta’s website will not transform that relationship since the purchase of the product supports the promoter contract. As its ambassador Mr. Zack is compelled to only use and endorse Henrietta’s products, purchasing Henrietta’s product from its website supports this relationship since as the endorser Mr. Zack cannot use or purchase other products. b.) Henrietta’s website was meant to only cater to customers within Scandinionia. The website’s disclaimer declared and intimated as much and the use of the LAX currency as the only currency entertained by the websites absolutely proves this position not to mention the use of Scandinionian as one of its language. The use of a primary domain name by the website and the use of English is of no moment since the content and in tent of the website is only meant to cater to customers within Scandinionia as proven by its disclaimer and the use of LAX as the only means of payment. The disclaimer is sufficient in form and in substance, therefore it cannot be considered as an unfair item in a binding contract. It should be noted that the disclaimer was not ambiguous and it was conspicuously displayed within the website. PLEADINGS FOR HENRIETTA L I. a) GOVERNMENT ACTION IN FAVOR OF APA ESTABLISHES PUBLIC MEASURE Animal Protection Association (APA) is a non-profit organization founded according to the Law of Non Profit Associations in Sagoland. Although it is established denoting a social objective, it cannot be considered an independent entity within the context of Article 34 since APA receives substantial funding from Sagoland’s Ministry of Environment geared to promote activities having as their objective and effect to reduce the demand for wares sourced from another Member State. The issue arose when S agoland implemented a measure to ban fur farming and to dismantle existing fur farms in its territory. Following the implementation

The blue sky laws Essay Example | Topics and Well Written Essays - 250 words

The blue sky laws - Essay Example It is a common practice for the Security and Exchange Commission (SEC) to regulate the security trading activities and enforce laws which are against fraudulent trading. However, the sky blue law has granted authority to state officials to share the responsibility of the SEC (the reduction of fraudulent securities trading and/or ensuring the punishment of violators). The sky blue law has been successful, to a significant extent, in regulating the securities trading. Even though every state implements the law, but take a different approach, there are similarities which form the basis of the effectiveness of the law. First, every state, in pursuant to the law, demands the registration of all players in the security market. The law requires that the stock brokers, the brokerage companies, and private security sellers register or be excused from the requirements of the registration (Legal Information Institute par. 1). Based on the registration strategy, the security agency of various states has successfully managed to reduce the fraudulent securities trading by denying a trading license or certificates to unqualified brokerage companies and/or individual stock brokers. Second, the sky blue law contains subsections that compel companies to release true and fair information to facilitate informed decision making. Third, the law provides for the punis hment of individuals or entities that engage in fraudulent securities trading and/or the release of false information. However, the law has not been very successful in the security regulation of national securities such as those listed on the New York Stock Exchange, NASDAQ among others (Legal Information Institute par. 1-3). In conclusion, the law has been successful in regulating securities trading. The registration process required to be followed by the players in the security market, the issuance of qualification certificates, the pressure to release true and fair information, and the punishment to

Tuesday, October 15, 2019

Identify Unnecessary Services from a Saved Vulnerability Essay Example for Free

Identify Unnecessary Services from a Saved Vulnerability Essay Nmap/Zenman is an application that allows users to scan networks to see what ports and services are open. It can be used by network security to find holes in their networks and plan what to do with them or it can be used by hackers to scan other networks to get a clear look at a networks topology and map out where everything is and plan for an attack. In this case, we have a scan of our network at Corporation Techs and need to look at what services that we have and make a decision on whether or not we should keep or get rid of them. According to the scan we have, we have a bunch of difference services that we use. Simple Mail Transfer Protocol (SMTP) is how our employees sent their mail. Post Office Protocol (POP) is the services on how we receive them. These are both important in any business so they could send and receive messages so I would not recommend closing them. As I look through more services that we have on our network, I notice that we have Sophos installed on our app server. Sophos is a company that works in anti-virus software. They been in business for a few years and to my knowledge they do a good job. However in this case we have enough anti-virus software and our network is very stable. Matter of fact, the scan also shows that we have other IDS and other services that will protect this network. I believe that Sophos is a good service but it is unnecessary at this time so I would suggest removing this. My plan for removing unnecessary services is simple. Go though our network to see we have and have not been using and make a list of services that are necessary to keep this network working. Any services that do not make the cut, gets cut.

Monday, October 14, 2019

Ethanol on the heart rate

Ethanol on the heart rate Effects of different concentrations of ethanol on the heart rate of the water flea In this experiment I will be looking at the effects of different concentrations of ethanol on the heart rate of the water flea, Daphnia because using humans in a study to test the effects of Ethanol on heart rate would not be ethical. Daphnia, like many animals, are prone to alcohol intoxication, and make excellent subjects for studying the effects of the depressant on the nervous system due to the translucent exoskeleton, and the visibly altered heart rate.Ethanol is a small molecule, RMM of 43, so it crosses cell membranes by simple diffusion. The exoskeleton of Daphnia is not waterproof, so there are no waterproof waxy layers to cross. The gills are particularly thin-walled and optimised for diffusion. They live in various aquatic environments ranging from acidic swamps to freshwater lakes, ponds, streams and rivers. They are tolerant of being observed live under a microscope and appear to suffer no harm when returned to open water. The experiment consists in preparing 5 different environments to put the water flea in, and observe how the heart rate responds to each change; the change will be the increase of ethanol concentration %. This will be the independent variable. The dependent variable is the heart rate of the Daphnia. Hypothesis : Ethanol will decrease the heart rate of the Daphnia. Null Hypothesis : Ethanol will have no effect on the heart rate of the Daphnia. I will change the concentration of my Ethanol solution by dilution and will therefore plot a graph. In addition, a correlation and ANOVA test will be calculated to determine the relationship (If any) between the concentration of Ethanol and the heart rate of the Daphnia. I have taken into consideration factors that will affect my overall conclusion Factors: Size of Daphnia The size of the Daphnia will affect its absorption of Ethanol and also the metabolism of the drug in the liver. Different rates of metabolism will result in different heart rates. As a result I must ensure that I choose Daphnia which are the same size when conducting repeats. I will use a highly sensitive scale to confirm that both daphnia are of equal body mass. Time kept in ethanol solution The Daphnia must be kept in the Petri dish full of ethanol solution for a specific amount of time. If they are kept in the solution for too long they will become intoxicated which will result in abnormal heart beats that are hard to measure although they must be kept in the solution long enough for sufficient absorption of Ethanol. Each Daphnia will stay in the ethanol solution for exactly 3 minutes so that an equal volume of ethanol is absorbed. Activity of Daphnia Some Daphnia tend to be more active than others and these will have a higher heart rate compared to ones that are idle. After allowing the Daphnia to swim in a specific solution of ethanol I will place them on a cavity slide so that I can observe the heart rate with a microscope. As I will be using a pipette to transfer the Daphnia from the Petri dish to the cavity slide excess fluid will be found on the slide which must be removed with tissue so that all Daphnia remain idle/immobile and not active I.e. swimming on the slide. This will also allow me to measure the heart rate with ease which reduces the likelihood of human error. Time left under the microscope If the Daphnia are left under the microscope for too long they will become stressed due to the heat of the microscope light and this will increase the heart rate of the Daphnia due to the secretion of adrenaline therefore I must ensure that the microscope is switched off when not in use. The cavity slides must be allowed to cool down before using them again as they tend to heat up. Impurities on cavity slide Traces of impurities including ethanol from a previous experiment may be left on the cavity slide which may slightly affect the heart rate of the Daphnia therefore the slide must be cleaned and dried thoroughly before each repeat. Alternatively, a new slide may be used for each repeat. The materials needed to perform this experiment are the following: Normal size syringe 2 Small syringes (must have units of measurement) Open top pipette Ethanol of 1% concentration Various Daphnia to perform experiment on Microscope 6 Petri dishes Cavity slide Marker Kleenex tissue for absorbing excess liquid Scale Stopwatch Method : 1. The first thing that has to be done is the preparation of the different solutions where the Daphnia will be placed. To do this you will need the small syringe, and 5 Petri dishes. It is very advisable to have labels. The first Petri dish will contain 0% Ethanol, in other words just water. With a small syringe, take 10 ml of distilled water (the use of distilled water is important as you will be removing any materials that may have an effect on the Daphnia heart rate) and place it in the Petri dish. The syringe you just used will only be used with water and not for the Ethanol. Put a 0% label on the Petri dish in order to keep track of the different concentrations you will be making. The next Petri dish will contain 0.2% ethanol concentration, and you will make concentrations going up to 0.8%, so: 0.2 %: With the other small syringe (this one will only be used for ethanol), add 2 ml of the 1% Ethanol, to 8 ml of distilled water 0.4 %: Add 4 ml of the 1% ethanol, to 6 ml of distilled water 0.6%: Add 6 ml of the 1% ethanol, to 4 ml of distilled water 0.8%: Add 8 ml of the 1% ethanol, to 2 ml of distilled water remember to label each concentration accordingly 2. Set your microscope up, put it on medium magnification. Do not turn it on yet because the light of the microscope can heat up the environment where you will be observing the Daphnia. It is important to try to keep the temperature of the experiment as stable as possible. Heat may modify the Daphnia heart rate, and the effect of heat on the heart rate is not the purpose of this experiment. 3. Now it is time to pick out one Daphnia from the glass or container where you put all of them in. It is important to use only one throughout this whole experiment because different animals may present variations in their response to different environments. With the open top pipette, try to pick out a Daphnia which is not too small, as it will be harder to observe the heart rate if it is small. Once you have managed to take one out, place it in the remaining empty Petri dish. Take the normal size syringe and very carefully suck the Daphnia in with as least water possible. The objective is to have the Daphnia right at the tip of the syringe. Squirt the Daphnia out into the cavity slide. It is very important to put the Daphnia in with the least water possible, in order to prevent it from moving too much. It is recommended to try to squirt it out with only one drop of water, as this will keep it alive, but immobile. Use tissue to remove excess fluid. Put the slide under the microscope. Turn the microscope on. 4. Make sure you can see the Daphnia clearly under the microscope, once you are happy with the image, look for the heart: 7 is the heart. If you can see the heart, and can keep track of its beating, put the Daphnia, with the normal sized, syringe into the 0% labelled Petri dish. Wash the microscope slide with water and dry it. Turn the microscope off. 5. Keep the Daphnia in the Petri dish for 3 minutes, this lets it adapt do the conditions and also increases the probability of it surviving the whole experiment. With the normal size syringe take it out of the Petri dish and put it onto the microscope slide, make sure that it is practically immobile (by making sure that you squirted the least amount of water possible) and put it under the microscope. Turn the microscope on. 6. Get the paper and marker ready. Look into the microscope and make sure you can count the heart beat. Get someone to count 15 seconds with the stop watch. During 15 seconds, tap the paper with the marker each time the heart beats, after this, count the number of dots on the paper. Multiply this number by four; this gives you the heart rate per minute. Record the result. Do this process 3 times in order to get 3 heart rates. Add the 3 heart rates and then divide the result by 3; this will give you the average of the Daphnia heart rate under those conditions. Keep the Daphnia under the microscope for a maximum of 2 minutes, because the heat of the light in the microscope could have effects on the experiment. Turn the microscope off after the count to prevent further heating caused by the light. 7. Remove the slide from the microscope, and with the normal size syringe put the Daphnia into the 0.2% labelled Petri dish (wash the slide with water and dry it). Leave the Daphnia in the Petri dish for 3 minutes once again. After 3 minutes, use the normal sized syringe to put it onto the microscope slide. Repeat step 6 and record results. 8. Count the heart rate of the Daphnia when placed in all the concentrations. Work your way up from 0% to 0.2% to 0.4%, 0.6%, 0.8%. Make sure you rinse and dry the slide with the distilled water after each time. You must start from the lowest concentration up to the highest concentration because the Daphnia has to gradually adapt to the changes, you will be reducing the probability of it dying. Another reason for this is that if you start at the highest concentration, the impact on the Daphnia will be too dramatic and you will not see any trends once you try a lower concentration, it will have an effect of intoxication. Remember to repeat each count 3 times to obtain an average of the heart rate. Keep the Daphnia under the microscope during the same amount of time for each concentration, this will ensure that if there was any type of effect from the light under the microscope, all tests will be fair because they were under the exact same conditions. It is possible for the Daphnia to die during these tests; this is why you must have acquired a fair amount of Daphnia, in order to have back-ups. 9. Repeat this experiment once or twice with different Daphnia, in this way you will be able to analyse any trends present in the experiment more accurately. I will use the following tables to record the results of this experiment: Averages will be calculated for both experiments and the results will be organised in a separate table. My conclusion will be based on these averages because they are more representative. Modifications made to method: The Daphnia used in the first experiment died after being placed on the cavity slide from the 0.6% ethanol solution probably due to the lack of fluid on the slide so I had to restart the experiment using another Daphnia. No one was available to count 15 seconds with a stopwatch so I had to use my mobile phone which beeped after 15 seconds prompting me stop counting the number of heart beats. Results

Sunday, October 13, 2019

Weaponry: A History :: essays research papers

Weaponry: A History   Ã‚  Ã‚  Ã‚  Ã‚  What is the most destructive power in history? Is it a rocket torpedo that shoots straight to the surface from a submarine, flies through the air toward an enemy sub, and then dives at its target? Is it the electrically powered machine gun that spews out 110 rounds per second to obliterate its opponent completely? Maybe it’s an intercontinental ballistic missile armed with nuclear warheads, capable of killing hundreds of thousands with a single atomic bomb. Then again, is it the tank with thermal-imaging sight that senses an enemy vehicle’s heat so it can see—and kill—even it total darkness?   Ã‚  Ã‚  Ã‚  Ã‚  Actually, it is none of these. One must go all the way back to the beginning of weapons development, when humans first figured out that certain tools made warfare a lot more effective. A person’s arm, for example, could not throw a stone or stick very far, so people devised slings and sharp tips to let their projectiles travel farther, faster and land harder. Iron-tipped spears, javelins and swords came into existence when humans learned to use and shape metals thousands of years ago. Other early warfare devices included bows and arrows, catapults , and with the domestication of the horse, the horse-driven chariot.   Ã‚  Ã‚  Ã‚  Ã‚  None of these primitive weapons seem to answer the above question, so skip ahead to the transport of gunpowder from China to Europe in the thirteenth century. With the introduction of gunpowder, the armor of the famed â€Å"knights in shining armor† gradually became useless against the penetration of ammunition shot from a harquebus, musket, or cannon . By the fourteenth century, most European armies used gunpowder, rockets and other explosives in warfare. Yet the art of war was revolutionized again by the revolver and the automatic firearm in the nineteenth century.   Ã‚  Ã‚  Ã‚  Ã‚  The first major war to use the rapid-fire guns was WWI. New contraptions were needed to protect the soldiers, now huddled in trenches, unable to move, let alone fight. Enter the tank. Infantry could now be on the offensive. Progress in the building of warships led to stronger, more lethal submarines that fired torpedoes from beneath the waves. Torpedo-boat â€Å"destroyers† were then created to combat the submarines.   Ã‚  Ã‚  Ã‚  Ã‚  Germany’s defeat in WWI led to its development of ballistic missiles, one of the inventions that reformed warfare again. Advances in automatic weapons and aviation were the latest innovations on the battlefront. However, it was the deadliest weapon ever created- the atomic bomb- that decided and ended the war once and for all.

Saturday, October 12, 2019

The Minister’s Black Veil Essays -- Minister?s Black Veil Essays Paper

The Minister’s Black Veil The story â€Å"The Minister’s Black Veil† is symbolic of the hidden sins that we hide and separate ourselves from the ones we love most. In wearing the veil Hooper presents the isolation that everybody experiences when they are chained down by their own sins. He has realized that everybody symbolically can be found in the shadow of their own veil. By Hooper wearing this shroud across his face is only showing the dark side of people and the truth of human existence and nature. Hooper left the dark shroud on because he has realized that secret sin is a veil that can never be lifted from anybody until the day of their death. In a quote from the story Mr. Hooper says, â€Å"There is an hour to come, when all of us shall cast aside our veils. Take it not amiss, beloved friend, if I wear this piece of crepe till then.† By saying this Mr. Hooper expresses the feeling that while human beings are alive on the earth a veil shows their face. Hooper promised himself and made a life task of playing a mirror to the people around him. The veil cannot be lifted until the freedom of truth can be observed. The minister’s friends and neighbors are so upset by the veil because the veil becomes a wall between himself and his congregation. The first response is one of curiosity which then turns in suspicion. They cannot understand the meaning for the wearing of the black veil and in turn the people become very uncomfortable around him. The veil and it color ...

Friday, October 11, 2019

The Importance of Extracurricular Activities Camry

â€Å"The Importance of Extracurricular Activities† Academics are an important part of every student's high school years. This is because academics play a big role in college acceptance. Students are encouraged by teachers and/or parents everyday to study. Every parent want their child to attend college but only want to pay less; that's one reason why they encourage their child to study more. However, there is one more other thing students can do other than academic relations I. E. Extracurricular activities. Extracurricular activities include basketball, baseball, tennis, student government, drama, choir and there things.Besides being fun and socializing with peers, extracurricular activities can enhance their time management skills. Extracurricular activities increase your chances in getting accepted for colleges. When students are involved in activities, they learn how to work in groups. Their communication skills improve. These things cross over to real life. College admis sion committees want to see students doing more than just book work. The privilege to even play on a team comes with certain requirements. Students may have to meet and maintain a minimum grade point average to play any ports or be in any clubs.Some extracurricular activities are made to help at risk teenagers. They begin to have an increased sense of self-worth, and it increases their' health. They develop life-long relationships with their peers and learn how to lead others. These activities help you stand out from the crowd. Getting involved in too many activities can have negative effects. Students involved in too many activities usually end up having academic problems. Students should pick out their favorite activities and make sure they can handle them.They shouldn't try to do it all even though it shows their passion ND commitment to activities, which builds character. These activities that students are involved in reveals a lot more about them. To put it briefly, students wh o participate in extracurricular activities will see an improvement in their academic and life skills. They will be disciplined, gain goal-setting skills, accountability and responsibility. They will also be better prepared for college. Students may even distinguish the lessons they learned outside the classroom. Extracurricular activities will help them survive in the future workplace.

Thursday, October 10, 2019

Gender Disparity and the ways in which it underpins major social and economic inequalities in South Asia

The aim of this paper is to show the linkage between gender disparity and social and economic inequalities that result because of gender disparity in the South Asian context. This is an important area of study because gender disparity is closely interlinked with and supports explanations of social and economic inequality. This is also of particular interest in the South Asian context because compared to the rest of the world South Asia has one of the greatest degrees of gender disparity in the world. Furthermore gender equality can be used to measure the progressiveness and development of a given society as a whole by acting as an indicator to social equality. In other words the smaller the gap in gender disparity, the more developed and progressive a given country or society can be regarded. This paper will deal with the common perception of women in the South Asian context, social exclusion and the limited legal rights of women, Their rights to land and property, access to education and healthcare, female foeticide and infanticide, the political and economic exclusion of women and the downward spiraling effect that the above factors will have particularly on the economy and South Asian society as a whole. The paper will draw from various parts of South Asia to illustrate vividly examples of gender disparity at work. In order to really understand the existence of Gender disparity in South Asia one must look at the fiercely patriarchal nature of South Asian society. Throughout most of South Asia, men have been given the role of decision makers and heads of family because of cultural, social and religious backing that has gone on for thousands of years and thus gender bias is not just believed in by men but women also. â€Å"This has arguably resulted in female submission to male domination and the constraint of women's choices to come to be regarded as the social norm. † The first significant way that gender disparity supports economic inequality is in what can be regarded as the â€Å"unseen economy†. Many South Asian women are employed in the informal sector and thus their contribution to the national economy is not recognized and accounted for in a respective country's Gross Domestic Product or GDP. â€Å"Because their labour – in such activities as family care, household maintenance is excluded from systems of national accounts the work they do remains unappreciated and inadequately compensated. In Bangladesh, some studies estimate that women spend between 70 and 88 percent of their time in non-market work. The vast majority of South Asian women work in the informal-sector or in unpaid family assistance, with the informal sector accounting for the employment of 96 percent of economically-active women in India, 75 percent in Nepal and Bangladesh and nearly 65 percent in Pakistan. â€Å"2 Methods to incorporate the contribution of the women to the economy should be implemented. This would be the only possible way of assessing their productivity accurately. One theoretical method is to make use of the economic concept of â€Å"opportunity cost†. For example the productivity of a housewife can be taken into account by the cost of hiring domestic help to manage the household assuming she went out to work. Simply put, if she did not do the work at home, someone else has to be paid to do it. Such methods may be the only way to give women their due credit in recognition of their contribution to the economy. The next substantial way in which gender disparity supports a major economic inequality in South Asia is in the area of land rights for women. A very phallic male-centred approach to the division of property and very often occurs in South Asia. A significant proportion of women do not receive their due share of inheritance. â€Å"3 In order to really understand the economic and social implications that this brings about one must see â€Å"the links between gender subordination and property and the need to be sought in not only the distribution of property between households but also in its distribution between men and women, in not only who owns the property but also who controls it, and in relation not only to private property but to communal property. † 4 Actual ownership of a property does not always mean effective assertion of control over that property. In some cases women's names are not put on the revenue records after they inherit, in others they are persuaded to sign relinquishment in favour of male family members. â€Å"5 This is because in many parts of South Asia it is customary for sons to inherit all the land and property without any shares going to the daughters of the family. The lack of property and capital makes women economically subjugate to men because of economic dependency. They are unable to make economic decisions for themselves. When women's access to property and wealth is denied this makes â€Å"(a) A woman's class position defined through that of a man- father, husband etc. it is more open to change than that of a man: a well-placed marriage can raise it, divorce or widowhood can lower it. (b) This can occur to the extent that even women of propertied households, do not own property themselves and makes it difficult to characterize their class position. Indeed some have even argued that women constitute a class in themselves. â€Å"6 One must bear in mind that this not only gives rise to major economic inequality but also social inequality. The rise of capitalism has made economics in integral part of determining social class. Gone are the days when social class was not dependent on wealth and property. Thus in this respect women are socially compromised as well economically. Another way in which gender disparity closely supports both economic and social inequality is with regards to the Law of a state. The Law can be used as a very good indicator of gender disparity and thus social and economic inequality. Simply put the Law has to protect both men and women. Men and women should have equality before the law. The Apostle Paul said, â€Å"The law is lawful so long as one uses it lawfully†. Indeed there should not only be equality before the Law in areas of gender, but race and class as well. The legal terrain of South Asia is determined by the religious and cultural practices of several communities, and overlain by traditions of European jurisprudence and is particularly treacherous for women. Throughout the region different religious and cultural communities are governed by separate personal laws- those civil laws which deal with marriage, dowry and divorce; custody, guardianship and adoption of children and inheritance†. 7 The lack of a uniform civil code in South Asian states to protect the rights of women has sadly allowed loopholes in the law to be exploited which aids in the economic and social oppression of women. It is a sad truth that in many parts of South Asia there is still a strong degree of gender-bias in the law of the state, which puts women at an unfair disadvantage as compared to men. â€Å"The lack of a uniform civil code in which fundamental human rights take precedence over gender discriminatory religious customs remains a main obstacle to the achievements of women's equal rights. â€Å"8 In order to illustrate the significant impact the law can have on promoting inequality the laws pertaining to women's rights in South Asia will be looked at. Property and inheritance laws are in themselves highly gender discriminatory across South Asia. This will be tied in with the earlier example of land rights for women and the role of the law as a mediating device. Take for example the case of the â€Å"Jaffna Tamils in Sri Lanka, a married woman needs her husband's consent to alienate land which she legally owns. â€Å"9 Legal ownership does not always carry with it the right of control in all senses. Legal ownership might still be challenged by prevailing social constraints as well. Thus there has to be not only implementation of legal rights but enforcement as well in order to safeguard the rights of women. Strong degree of gender disparity can be seen from inheritance laws in Nepal. â€Å"One of the laws states that a daughter can only inherit paternal property if she is unmarried and over 35 years of age, and she cannot inherit tenancy rights. â€Å"10 Needless to say the very legal system, which should serve the function of protection, seems to undermine women and compromise their representation. A very serious aspect that needs to be looked at is the implication of some of the bias inheritance laws, which contribute to a downward spiral effect. These bias inheritance laws not only economically and socially impair women but in many cases their offspring bear the brunt of the hardship as well. Firstly, these â€Å"discriminatory property laws limit women's capacity to obtain credit and benefit from new opportunities for economic advancement by engaging in self employment. This also has further serious implications as in the case of the â€Å"cancellation of the provision of inheritance for orphan grandchildren by a Federal Shariat Court in Pakistan. This has a multiplier effect on economic and social inequality because of the overwhelming burden placed on widowed mothers. They lose their only means of financial support with the death of their husbands and this also means that the children would not be able to inherit the property of their father which will also increase the financial burden of the women. 11 Also, the law not only fails to protect women in terms of property and inheritance rights but in many other areas as well. Women who are the victims of domestic violence and sexual abuse in South Asia have a much harder time seeking justice than their counterparts around the world. Often in South Asia, women who are the victims of sexual assault and battery are blamed for the crime rather than the perpetrators and abusers themselves. Gender disparity really underpins the social inequality in Bangladesh. â€Å"Even today, for the majority of women in Bangladesh, the world consists of their immediate family, and the new households of near relatives and neighbours. Very few are involved in any social institution apart from the family, and this even often applies to middle-class women in urban areas. The cultural institution of parda requires the isolation of all women besides minors from men outside the family and close relative circle. Movements outside the home are to be carried out only for prescribed reasons and at prescribed times of the day. † 12 Because of this cultural institution many Bangladeshi women literally become â€Å"birds in a cage†. This not only compromises women socially but economically and politically as well. This restricts their occupational chances and mobility. Furthermore parda leaves virtually no room in a woman's life for public interaction. Women are thus excluded from elections, conferences and decision-making bodies. Because of the strong nature of patriarchy is South Asian society and the Dowry system in marriages, women are considered a liability even before they are born. In the next few paragraphs the paper will look at women's access to healthcare and education and female foeticide and infanticide. This indeed causes an exacerbation of social and economic inequality. In order for a country or state to bloom as a society the rights and interests of both sexes have to be catered for. If women are given equal educational opportunities and access to healthcare, the standard of living and quality of life as a whole will improve. Educational quotient and life expectancy will rise. Women will also be able to take on more jobs and increasingly knowledge based ones and thus contribute more substantially to the economy as well. If women are given an equal chance as men economically and socially in South Asia, it might gradually eradicate the mentality that daughters are a liability and thus slow down and eventually stop the vicious cycle. The need for dowries may disappear if this were the case. Female foeticide and infanticide will cease to be such an impending issue and South Asian society will be more progressive as a whole. Prenatal sex determination techniques such as â€Å"amniocentesis techniques for developing foetal abnormalities were developed in India, at the All India Institute of Medical Sciences, New Delhi. It was soon discovered that these tests could also accurately determine the sex of the child. A statistic purporting to come from the Registrar General of India, based on hospital records alone showed that 3. lakh female foetuses were aborted in India between 1993 and 1994†. Needless to say the sex ratios in South Asia are one of the most unbalanced in the world because of the substantially higher ratio of men to women. This is gender disparity in action in its worst social implication. Very simply, a price is put on the lives unborn female children. They are being killed in the hundreds of thousands to such a degree that some people have aptly come up with the term, â€Å"femicide† to describe the literal culling of the female sex. What is far more worrying though is the practice of infanticide where many female children are killed after birth. This is tantamount to murder but goes unchecked in many parts of South Asia. Sometimes however, one wonders whether it is crueler to commit female infanticide rather than subject the female child to a life of hardship, misery and oppression. Girls are treated differently from boys since birth. They are not given enough food compared to boys and they suffer from nutritional deficits. Girls are far more prone to malnutrition in South Asia than boys are. They also tend to suffer from a host of other ailments and still preferential medical treatment is given to boys. â€Å"Educational indicators of South Asian women although recording improvement in recent years, are some of the worst in the world, especially at technical and higher levels. Women constitute only 17 percent of technical students, and South Asian governments spend approximately 4. 4 percent of their educational budgets on technical and scientific education†14 It is of little wonder that women are subject to economic inequality judging from the statistics above. In conclusion in can be said that gender disparity greatly underpins major social and economic inequalities in South Asia. This is evident in the Legal systems, educational systems and medical systems and social systems of South Asia. It can be seen that the root of a lot of economic and social evils in South Asia are due to gender disparity between men and women. If South Asia is to progress as a society as a whole, gender disparity must be eradicated or if not, at least curbed.