Wednesday, October 30, 2019

Essay Questions Example | Topics and Well Written Essays - 250 words - 4

Questions - Essay Example The government can address this by penalizing through the imposition of high taxes those companies who are subcontracting or exporting jobs abroad. This will in effect discourage companies to export jobs because it will become expensive to subcontract jobs. This arrangement is still possible because the government did not prohibit companies to relocate work but only formulated a strategy that does not give business incentive to export jobs. 2. Explain the importance of East Asia as an economic powerhouse. Is economic or political power shifting from North America (and specifically the United States) toward East Asia? Explain. Which historical and economic reasons might prevent East Asia from acting as a unified region in world politics? In economics, US economy is about eight times bigger than China and has also massive industrial and technological complex that can sustain the output and growth of its economy.   Its currency is still used as the worlds  reserve currency and it is not likely that the US dollar will be replaced by other currency soon (Business Monitor International, 2009 pg. 23).  China on the other hand lacks multinational corporations and does not  even  have its own industrial complex making its economy heavily dependent on Western enterprise Also, the huge  size of US economy enables it to allocate a military budget equaled by none.   It only allocates 4% of its total GDP on defense but due to the sheer size of its economy, this translates to a $600 billion military budget (Jinghao, 2008).   US has also the most advance weaponry in the world.   US military arsenal is already capable of stealth combat with its F22 fighters and B52 long range bombers.   To date, US has already completed the informationalization of its military that is leading to the  Ã¢â‚¬Å"no man†, networking orientation which is a powerful global combat strength (Pastor, 2001).   United States is also capable of projecting power beyond its border.   Its 12

Monday, October 28, 2019

Microsoft vs Red Hat Linux Essay Example for Free

Microsoft vs Red Hat Linux Essay As a customer, I’d prefer the system of Red Hat (despite how the program look and operate) because obviously, it’s free of charge. Also because it releases the updated version every 4-6 months as the article mentioned. However, in my opinion, in term of business model, Microsoft, the monopoly, has a more sustainable business plan. The traditional way of employing high skilled programmers is certainly ensure the persistent development of the company. Moreover, from the customer’s point of view, even though, they have to pay a fixed software package in the beginning, but there’re no other expenses such as consulting like Red Hat. Moreover, the free technical support also make Microsoft has a higher position in the market. In addition, statistically, Microsoft has outstanding profit-making revenue for the past years. Linux, on the other hand, has a possibility of getting bigger in terms of revenue. Still, as I have said, volunteer programmers are not very reliable. Not only the success is terms of revenue, Microsoft has a better brand image because it has been in the market for so long and has so many loyal customers globally. Even though, Red Hat is trying to differentiate by focusing more on the small business, but Microsoft’s strategy is still ahead of it because it provided its service/product to a larger based customers. I’m sure that Red Hat isn’t the first competitor Microsoft has ever had, but it has overcome all of them. Because of all the reason mentioned above, Microsoft will remain the Monopoly in the market for still quite a long while. Michael E. Porter Michael E. Porter is a leading strategist who has a comprehensive understanding about economy and economic development of a nation. He invented the Competitive Strategy called â€Å"Porter’s Five Forces Model†. He is now currently the Bishop William Lawrence University Professor, based at Harvard Business School. Professor Porter is generally known as the father of modern strategy field, and also identified as the world’s most influential thinker on management and competitiveness. His works included 18 books and over 125 articles published in leading newspaper and business magazine. Professor Porter was actually graduated with high honors in aerospace and mechanical engineering from Princeton University, and continued with M. B. A with George F. Baker Scholar from Harvard Business School, also a Ph. D. in Business Economics from Harvard University as well. Porter’s Five Forces Model As I have mentioned, it’s a model about the competitiveness of a company by Michael E. Porter. It is a very well-known model in order to find the environment of a firm and also factors that influence the uncertainty. It states not only to win over your competitors but also to unite and work together between firms in term of partnership. One of the reasons why this model is well recognized is that it works from small to large company. The Five Forces in the model are Rivalry among current competitors, bargaining power of suppliers, bargaining power of customers, threat of substitute products or services, and threat of new entrants.

Saturday, October 26, 2019

birth order Essay -- essays research papers

Birth Order   Ã‚  Ã‚  Ã‚  Ã‚  One long controversy among behavioral scientist is the existence of a sibling position effect. Birth order research and theories can be criticized because of differences between parents, sibling positions of the parents, size of families, socioeconomic status, and culture. The conclusions drawn from research studies on sibling position are also often contradictory. However for some reason children with certain birth order roles grow into adolescents and adults with similar qualities.   Ã‚  Ã‚  Ã‚  Ã‚  In order to understand the sibling positions in a certain family the family system must be understood, since elements of structure in family systems form the context in which sibling positions develop. The family environment includes membership units, interaction patterns, boundaries, rules, roles, and alliances.   Ã‚  Ã‚  Ã‚  Ã‚  The desires, hopes, and dreams of the parents are carried by the first child. Everything the child does is being done by the first time in the eyes of the new parents. The landmarks of the first smile, tooth, steps, word, first day of school, graduation are all met with overjoyed responses from parents, grandparents, and other relatives. In most families, the responses from this large family audience are more exaggerated than they will be for any subsequent child. The first children are assigned functional roles as they enter the family system, which include: the job assignment, interpersonal responsibilities, and social interactions. (Hoopes & Harper, 1987). Parents believe that the extended family and their environment watch what the first child does to determine what they are like as a family. Therefore, the main message that first children receive is that they are on display and that the family focus is outward. Leading children to believe that they are the ce ntral focus and their actions have consequences beyond them. First children have a sense that their behavior and words are weighed by others and then adopt external validation to evaluate themselves. Despite the family’s high expectations for all of their children, the performance of the first child is emphasized more than any other child will be. For interacting this way first-born children learn that their job assignment is to produce outcomes that meet with the family’s approval. First children may wo... ...y exhibit marked independence or extreme independence. Since the child has been reared alone in an adult world, the only child is very often extremely anxious to please others, especially parents and other adults. The only child has a youth period, which is free of the puzzling problem of sibling rivalry. This makes the only child extremely confident with is comes to completing task well and receiving the approval of others as well as very critical of themselves. (Falbo, 1984). Placement in the family has a lot to do with a person’s way of thinking and relating. While many other factors help shape a child’s personality first-borns do things faster then other siblings and approach like more seriously. Second-born children tend to be more laid back in achievement since the parents are less available. Third-born children have many privileges and gains considerable social skills because of interactions with older siblings. While only children, in their own category, are self-confident and have a great sense of responsibility. Birth order, like every other factor in the development of the child, can and will differ from the norm for individual children. Each child is absolutely unique.

Thursday, October 24, 2019

Hinayan and Mahayn

Introductory Comparison of Hinayana and Mahayana Alexander Berzin Berlin, Germany, January 2002 [edited transcript] The Terms Hinayana and Mahayana The terms Hinayana (Lesser Vehicle or Modest Vehicle) and Mahayana (Greater Vehicle or Vast Vehicle) originated in The Prajnaparamita Sutras (The Sutras on Far-Reaching Discriminating Awareness, The Perfection of Wisdom Sutras). They are a rather derogatory pair of words, aggrandizing Mahayana and putting down Hinayana. Alternative terms for them, however, have many other shortcomings, and so therefore I shall use these more standard terms for them here. See: The Terms Hinayana and Mahayana. ] Hinayana encompasses eighteen schools. The most important for our purposes are Sarvastivada and Theravada. Theravada is the one extant today in Sri Lanka and Southeast Asia. Sarvastivada was widespread in Northern India when the Tibetans started to travel there and Buddhism began to be transplanted to Tibet. There were two main divisions of Sarvasti vada based on philosophical differences: Vaibhashika and Sautrantika. Hinayana tenet systems studied at the Indian monastic universities such as Nalanda, and later by the Tibetan Mahayanists, are from these two schools.The lineage of monastic vows followed in Tibet is from another Sarvastivada subdivision, Mulasarvastivada. [See: A Brief History of Buddhism in India before the Thirteenth-Century Invasions. ] Buddhas and Arhats There is quite a significant difference between the Hinayana and Mahayana presentations of arhats and Buddhas. Both agree that arhats, or liberated beings, are more limited than Buddhas, or enlightened beings, are. Mahayana formulates this difference in terms of two sets of obscurations: the emotional ones, which prevent liberation, and the cognitive ones, which prevent omniscience.Arhats are free of only the former, whereas Buddhas are free of both. This division is not found in Hinayana. It is purely a Mahayana formulation. To gain liberation or enlightenmen t, both Hinayana and Mahayana assert that one needs nonconceptual cognition of the lack of an impossible â€Å"soul. † Such a lack is often called â€Å" selflessness,† anatma in Sanskrit, the main Indian scriptural language of Sarvastivada and Mahayana; anatta in Pali, the scriptural language of Theravada.The Hinayana schools assert this lack of an impossible â€Å"soul† with respect only to persons, not all phenomena. Persons lack a â€Å"soul,† an atman, that is unaffected by anything, partless, and separable from a body and a mind, and which can be cognized on its own. Such a â€Å"soul† is impossible. With just the understanding that there is no such thing as this type of â€Å"soul† with respect to persons, one can become either an arhat or a Buddha. The difference depends on how much positive force or so-called â€Å" merit† one builds up.Because of their development of the enlightening aim of bodhichitta, Buddhas have built up far more positive force than arhats have. Mahayana asserts that Buddhas understand the lack of an impossible â€Å"soul† with respect to all phenomena as well as with respect to persons. They call this lack â€Å"voidness. † The various Indian schools of Mahayana differ regarding whether or not arhats also understand the voidness of phenomena. Within Mahayana, Prasangika Madhyamaka asserts that they do. However, the four Tibetan traditions explain this point differently regarding the Prasangika assertion.Some say that the voidness of phenomena understood by arhats is different from that understood by Buddhas; some assert the two voidnesses are the same. Some say that the scope of phenomena to which the voidness of phenomena applies is more limited for arhats than it is for Buddhas; some assert it is the same. There is no need to go into all the details here. [See: Comparison of the Hinayana and Mahayana Assertions of the Understandings of Voidness by Arhats and Buddha s. ] Further Points Concerning Buddhas and ArhatsThe assertions of Hinayana and Mahayana concerning arhats and Buddhas differ in many other ways. Theravada, for instance, asserts that one of the differences between a shravaka or â€Å"listener† striving toward the liberation of an arhat and a bodhisattva striving toward the enlightenment of a Buddha is that shravakas study with Buddhist teachers, while bodhisattvas do not. The historical Buddha, Shakyamuni, for instance, did not study with another Buddha. He studied only with non-Buddhist teachers, whose methods he ultimately rejected. In the fact that Buddha’s understanding and attainment id not arise from reliance on a Buddhist teacher, Theravada asserts that a Buddha’s wisdom surpasses that of an arhat. In addition, bodhisattvas work to become universal Buddhist teachers; shravakas do not, although as arhats they certainly teach disciples. Before passing away, Buddha himself deputed his arhat disciple Sharipu tra to continue â€Å"turning the wheel of Dharma. † According to Theravada, however, Buddhas excel arhats in being more skillful in methods for leading others to liberation and in the breadth of their conduct of teaching.This is the meaning of a Buddha’s being omniscient. However, according to this presentation, a Buddha would not know everyone’s address and would have to ask such information from others. According to the Vaibhashika school of Hinayana, Buddhas are actually omniscient in knowing such information, but they only know one thing at a time. According to Mahayana, omniscience means knowing everything simultaneously. This follows from its view that everything is interconnected and interdependent; we cannot speak of just one piece of information, totally unrelated to the rest.Hinayana says that the historical Buddha achieved enlightenment in his lifetime and, like an arhat, when he died, his mental continuum came to an end. Therefore, according to Hina yana, Buddhas teach only for the rest of the lifetime in which they achieve enlightenment. They do not emanate to countless world systems and go on teaching forever, as Mahayana asserts. Only Mahayana asserts that the historical Buddha became enlightened in a previous lifetime many eons ago, by studying with Buddhist teachers. He was just demonstrated enlightenment under the bodhi tree as one of the twelve enlightening deeds of a Buddha.The precursor of this description of a Buddha is found in the Mahasanghika School of Hinayana, another of the eighteen Hinayana schools, but is not found in either Sarvastivada or Theravada. [See: The Twelve Enlightening Deeds of a Buddha. ] Concerning Buddhas, another major difference is that only Mahayana asserts the three corpuses or bodies of a Buddha – Nirmanakaya, Sambhogakaya, and Dharmakaya. Hinayana does not assert them. Thus, the concept of a Buddha is significantly different in Hinayana and Mahayana. [See: Identifying the Objects of Safe Direction (Refuge). The Pathway Minds Leading to Liberation and Enlightenment Hinayana and Mahayana both assert that the stages of progress to the purified state, or â€Å"bodhi,† of either an arhat or a Buddha entail developing five levels of pathway mind – the so-called â€Å"five paths. † These are a building-up pathway mind or path of accumulation, an applying pathway mind or path of preparation, a seeing pathway mind or path of seeing, an accustoming pathway mind or path of meditation, and a path needing no further training or path of no more learning.Shravakas and bodhisattvas who attain a seeing pathway of mind both become aryas, highly realized beings. Both have nonconceptual cognition of the sixteen aspects of the four noble truths. [See: The Five Pathway Minds: Basic Presentation. See also: The Sixteen Aspects and the Sixteen Distorted Ways of Embracing the Four Noble Truths. ] Both Hinayana and Mahayana agree that a seeing pathway mind rids both arya shravakas and arya bodhisattvas of doctrinally based disturbing emotions, while an accustoming pathway mind rids them of automatically arising disturbing emotions.The former are based on learning the set of assertions of one of the non-Buddhist Indian schools, while the latter arise automatically in everyone, including animals. The list of disturbing emotions that shravaka and bodhisattva aryas rid themselves of is part of a larger list of mental factors. Each of the Hinayana schools has its own list of mental factors, while Mahayana asserts yet another list. Many of the mental factors are defined differently in each list. Both Hinayana and Mahayana agree that the course of progressing through the five pathway minds entails practicing the thirty-seven factors leading to a purified state.A â€Å"purified state† or â€Å" bodhi† refers to either arhatship or Buddhahood. These thirty-seven factors include the four close placements of mindfulness, the eight branches of an arya pathway mind (the eightfold noble path), and so on. They are very important. In anuttarayoga tantra, the thrity-seven are represented by Yamantaka’s thirty-four arms plus his body, speech and mind, as well as by the dakinis in the body mandala of Vajrayogini. The thirty-seven are a standard set of practices. The specifics of each practice, however, are often different in Hinayana and Mahayana. See: The Theravada Practice of the Four Close Placements of Mindfulness. See also: The Four Close Placements of Mindfulness According to Mahayana. ] Both Hinayana and Mahayana assert that the scheme of stream-enterer, once-returner, non-returner and arhat refers to stages of an arya shravaka’s path, but not to the path of an arya bodhisattva. Thus, stream-enterers have nonconceptual cognition of the sixteen aspects of the four noble truths, which include nonconceptual cognition of the lack of an impossible â€Å"soul† of persons.We should not think that stream-e nterer is a beginner level. So if someone claims to have achieved the state of a stream-enterer, be suspicious. Hinayana does not provide an extensive explanation of the bodhisattva pathway minds. Mahayana, however, explains that an arya bodhisattva’s path to enlightenment entails progressing through the development of ten levels of bhumi-mind. These levels of mind do not pertain to the path of shravakas. Both Hinayana and Mahayana agree that traversing the bodhisattva path to enlightenment takes more time than traversing the shravaka one to arhatship.Only Mahayana, however, speaks of building up the two enlightenment-building networks – the two collections – for three zillion eons. â€Å" Zillion,† usually translated as â€Å"countless,† means a finite number, though we would be unable to count it. Shravakas, on the other hand, can attain arhatship in as short as three lifetimes. In the first lifetime, one becomes a stream-enterer, in the next lif etime a once-returner, and in the third lifetime, one becomes a non-returner, achieves liberation, and becomes an arhat. This is quite tempting for many people.The assertion that arhats are selfish is like bodhisattva propaganda. It is basically meant to point out an extreme to avoid. The sutras record that Buddha asked his sixty arhat disciples to teach. If they were truly selfish, they would not have agreed to do so. Arhats, however, can only help others to a more limited extent than Buddhas can. Both, however, can only help those with the karma to be helped by them. Bodhisattvas It is important to realize that the Hinayana schools do assert that before becoming a Buddha, one follows the bodhisattva path.Both Hinayana and Mahayana have versions of the Jataka tales describing the previous lives of Buddha Shakyamuni as a bodhisattva. Starting with King Siri Sanghabodhi in the third century CE, many Sri Lankan kings even called themselves bodhisattvas. Of course, this is a little tri cky to untangle because there was some Mahayana present in Sri Lanka at the time. Whether this idea of bodhisattva kings preexisted a Mahayana influence is hard to say, but it did happen. Even more surprisingly, in the fifth century CE, the elders at theSri Lankan capital Anuradhapura declared Buddhaghosa, a great Theravada Abhidharma master, to be an incarnation of the bodhisattva Maitreya. Mahayana asserts that there are a thousand Buddhas in this â€Å"fortunate eon† who will start universal religions, and there have been and will be many more Buddhas in other world ages. Mahayana also asserts that everyone can become a Buddha, because everyone has the Buddha-nature factors that enable this attainment. Hinayana does not discuss Buddha-nature. Nevertheless, Theravada does mention hundreds of Buddhas of the past.One Theravada sutta even lists twenty-seven by name. All of them were bodhisattvas before becoming Buddhas. Theravada asserts that there will be innumerable Buddhas in the future as well, including Maitreya as the next one, and that anyone can become a Buddha if they practice the ten far-reaching attitudes. The Ten Far-Reaching Attitudes Mahayana says that the ten far-reaching attitudes are practiced only by bodhisattvas and not by shravakas. This is because Mahayana defines a far-reaching attitude or â€Å"perfection† as one that is held by the force of a bodhichitta aim.According to Theravada, however, so long as the ten attitudes are held by the force of renunciation, the determination to be free, bodhichitta is not necessary for their practice to be far-reaching and act as a cause for liberation. Thus, Theravada asserts that both bodhisattvas and shravakas practice ten far-reaching attitudes. Aside from the different motivating aims behind them, the other main difference between a bodhisattva’s and a shravaka’s practice of the ten is the degree of their intensity.Thus, each of the ten far-reaching attitudes has three st ages or degrees: ordinary, medium, and highest. For example, the highest practice of generosity would be giving one’s body to feed a hungry tigress, as Buddha did in a previous life as a bodhisattva. The list of the ten far-reaching attitudes also differs slightly in Theravada and Mahayana. The Mahayana list is: * generosity * ethical self-discipline * patience * joyful perseverance * mental stability * discriminating awareness * skill in means

Wednesday, October 23, 2019

Accused: Eye Color and Man

The small figure bent over a table place intentionally sideways in the center of a small, dirt-floored room. The only light source that allowed him to see was the little light that trickled In through the filth stained window. As his hands worked, sewing the soft, bristled fur, a chorus of childish voices found Its way Into the house from outside. â€Å"Ring around the rosy,† they sang. The figure couldn't help but to cringe at the intricate lyrics, knowing their horrible meaning. â€Å"Pocket full of posies. † The man stood up to straighten his back, plucking his new work up as he did so.Pinched gently between his thumb and forefinger was the inert body of a rat, its fur hardened with dirt. The rat, though no longer alive, was positioned with its back arched up into the air and its paws held up as if ready to leap, whether to strike or flee. â€Å"Ashes, ashes. † A small drizzle started to fall from the gray clouds outside. Fat rain drops thumped gently against the wooden door. The man placed the rat on the window sill, the heavy stains of dirt working as a sufficient background of his new masterpiece. The rain started to fall harder from the miserable sky, and then even harder still.The fat drops pounded harshly now against the door and with a distinct flash of lightning that illuminated the rat's eyes, lighting up its dead gaze, followed by the crack of raging thunder, it was almost as if death itself rapped upon his door. And as the small children fled back to their homes, their last chorus echoed through the wind, raising the hair on the man's neck and sending a cold shiver down his spine. â€Å"We all fall down. † Jonathan Merger, a tall, thin man with dark hair and hazel eyes, stood behind a small woman and her three children as he waited to meet the sorceress.It had started to rain an hour ago, and if he hadn't of had to come outside, he wouldn't have. HIS clothes were already soaked with rain water. The offer of protection I s what drove him to come. Protection Is what drove everything now, standing alone against misery and fear. Jonathan watched as two of the children played around their mother, splashing in the muddy puddles that now line the cobblestone streets, still bustling with activity despite the weather. A third child, the smaller one of the three, grasped the dress his mother wore with small hands and buried his face into its cough fabric.As if sensing someone watching him, the small boy looked up from his mother's dress. Jonathan felt a pang in his heart. The boy, who couldn't be older than five, had a small blister just visible on the side of his cheek. His face was flushed with fever and he looked out of breath, as if he had been running for quite a long while. The boy put his face back into his mother's dress. The woman looked down and gently ran her fingers through his hair with motherly affection. As she left the small vendor, her children followed. Jonathan walked up to the small, simp le stand.Various stones and bracelets were laid out before him In small wooden boxes. Small woven designs and triangular cards tied to simple string hung from a wooden stick down past her shoulders and shockingly green eyes set into a wrinkled face splashed with freckles. Jonathan exchanged a few words with the older woman, and then placed a few silver pennies into her palm. She smiled, revealing chipped and missing teeth, then turned and reached up for one of the small triangular cards. She plucked it down from off the small stick and stretched out her arm towards him, her hand hiking with old age.Jonathan took the intricate charm with a kind nod of his head, then turned away from the woman and walked down the flooded streets seeking shelter. A small figure caught his eye as he approached the local pub. He was cloaked in a black robe that hung heavily around his body from the rain. A hood was drawn up over his face, but it didn't do well to hide him from the crowd. People began to whisper in the ancient language of gossip to one another, telling rumors and profound stories that they had heard about the man.They told each other about owe he hardly ever left his home to appear out in public, much rather sticking to the loneliest parts of town. They murmured of his shady figure, how he never really talked of his past or personal life, or they whispered about the way he presented himself in the strangest of ways, nothing like a normal man would. The strangest part about this man, however, was the fact that he never seemed to approach any of the vendors that sold magical charms and trinkets of protection, seeming to ignore them all together.Everyone tried to get protection from this horrible plague, but the an seemed to Just carry on as if it were none of his concern. Still, Jonathan couldn't help but notice that today he had seemed even odder than usually. His fingers danced and interlocked in a nervous habit, and his feet seemed to shuffle around underneath him with small, almost unnoticeable movements. Usually Jonathan preferred to stay clear of the man, but his curiosity was taking over. Without actually realizing, he had begun to follow the man as he walked back to his home.Carl Oakley walked into his small home and eased the door shut behind him. He drew his hood back from his face, now heavy and drenched with water. He sighed quietly and looked around at all the small projects he had recently completed. Black rats stood in various positions all around the room. His most recent one was placed on his window sill. He thought it would have been a good idea to put it there as a way for him to distinguish it from the rest, but now he felt as if he had made a very unfortunate mistake.One of the people in town had stopped him as he was passing through, which was unusual due to the fact that many people preferred to avoid him, and asked him about the black rats in his house. He had been so shocked that he ad nearly remained speechless, but aft er a few moments found his courage to answer. To his relief, she had thought that it had simply been a normal rat that had found its way into his humble abode. Carl quickly moved over to the window and removed the rat, wondering how the child had been able to see it through the thick layer of filth covering the lower half of his window.When he looked closer, he could see tiny streaks where the rain had run down the window, looking as if a toddler had taken its finger and swiped the dirt away. It wasn't completely clean, but it was clean enough to where the small shape of the rat could be visible from up close. He gave At that moment, Oakley heard his door open, allowing the cold outside air to flood into the dark room. A man hurried inside, looking completely unabashed at the fact that he had Just entered another man's home without any permission. Oakley threw him a confused look, but the man wasn't focused on him. He was focused on the rats.His face had gone a pale color and his ey es were wide in horror as he looked around at all of them, all in different poses, as if their death had been frozen and prolonged o that they may suffer the pain of living. His mouth moved as he tried to form words. Finally he managed, â€Å"What†¦ What is this†¦ This†¦ † â€Å"What is your reason of entering? I do not remember allowing you in,† Oakley said, his own face going pale. â€Å"Sorcerer,† the other man said, barely above a whisper, and then he spoke louder. â€Å"Sorcerer! What black magic is this? † â€Å"l am not a sorcerer neither do I practice in the skill of Black Magic.There is no such thing,† Oakley said, trying to keep his voice level at the situation. The man looked around, his eyes showing a mixture of fear and anger, and rasped a knife that had been lain down on the center table. It was the knife that Oakley had used to remove the skin from the rats. Dried blood now covered its metallic surface. Muff†¦ L s hould have known†¦ It's you isn't it? † Oakley was taken off guard by the question. â€Å"It's me what? † â€Å"The reason this plague has fallen upon our heads, shadowing the entire continent in fear and death. I knew it†¦ Ever since you arrived on that ship.You were hiding something, I knew it, I knew it†¦. But no, I won't let this go on any longer,† he said, raising the knife so that the tip faced Oakley. Have you succumbed to the rancid plague as well, or are you Just as mad as you sound! † Carl said, his anger rising up. â€Å"My son was taken by this plague,† the man continued, as if Carl had said nothing. â€Å"But no more, no more death, no more fear. † â€Å"Stop making foolish accusations against me! † Oakley shouted at realizing the reason for the accusation. The man was seeking revenge for his son, and he wanted it any way he could. Carl spoke again, this time his voice was softer. Do you not see what I have d one? Look around you. † The man glanced warily around him. L can see very well what you have done. † â€Å"l have preserved these small creatures,† Oakley said, with a sense of excitement and awe in his own voice. â€Å"Don't you see? I have made them everlasting. Now they shall be preserved for all future generations. Everyone may know of this plague, but not in the way we must suffer it. What I have done is great. † Oakley spoke like an artist would speak of one of his new masterpieces. â€Å"What you have done is evil and unholy! And I will send you back to the deepest parts of†¦ Jonathan had begun, his eyes gleaming bright with fear. Off still don't see! I have done nothing to cause this plague! † Oakley replied in anger. â€Å"l have done something marvelous that will help us too†¦ † â€Å"No more! † the man cried in a shaky voice. Muff think you're innocent, let God decide. Let us abide to the laws of the church! † Oakley froze, his hands up in gestures that he had made while he had been Jonathan had heard enough. The insanity of anger had overcome him, and now he only wanted one thing. â€Å"God will let the guilty fall against the good, and now let us judge,† the man said, raising the knife over his head.Oakley looked at the gleaming metal, feeling fear wash over him like waves of the ocean. His hands fell to his side. In a soft voice, â€Å"Please, you don't†¦ ,† he began to say, but then looked at Jonathan. His Jaw was set in determination, and his eyes shone with something so pronounced, it scared Oakley. As soon as the fear came, though, it vanished. He raised his arms out, leaving a clear strike for the man. â€Å"It doesn't matter. I have already left my mark upon this world. My work will be remembered, and later on copied. I will not be forgotten. † There was a flash of metal, and then blood sprayed the walls.

Tuesday, October 22, 2019

Satire in Le Misanthrope Essays

Satire in Le Misanthrope Essays Satire in Le Misanthrope Paper Satire in Le Misanthrope Paper The use of satire in The Misanthrope Satire is primarily a literary genre or form, although in practice it can also be found in the graphic and performing arts, such as plays. In satire; vices, follies, abuses, and shortcomings are held up to ridicule, with the intent of shaming individuals and society itself. Moliere, an actor-manager-director-playwright all in one, knows and loves his stage as few have done, and writes with the use of literary satire. This research paper will express Moliere’s use of satire in his most profoundly written play, The Misanthrope. In a time in which power is one of the rarest virtues, Moliere draws on the widest imaginable range, from the subtlest irony to the broadest slapstick, in order to reach the accomplishments of keeping an audience amused for five whole acts. Moliere usually works under extraordinary pressures, even during personally difficult times. Often, he will interpret his own thoughts and opinions into his works’ by using different varieties of satire. The Misanthrope was written during a personal crisis and is certainly coloured by Moliere’s own domestic difficulties. There is no doubt that personal suffering helped to give Moliere the astonishing insight into the human heart which he displays in The Misanthrope and which contributes to its richness and maturity. (Turnell) Turnell is noting that Moliere uses his own experiences to resemble the acts that are shown throughout this play. His voice is heard not only through the words the actors’ speak, but by the emotion you can feel. Moliere represents his own personal views and feelings on society by using ridicule and satire throughout this tragic comedy. Examine The Misanthrope carefully and ask yourself whether a poet has ever represented his inner spirit more completely or more admirably. We can well call the content and treatment of this play â€Å"tragic. † Such an impression at least it has always left with us, because that mood is brought before our minds eye which often in itself brings us to despair, and seems as if it would make the world unbearable. Here is represented the type of man who despite great cultivation has yet remained natural, and who with himself, as well as others, would like only too well to express himself with complete truth and sincerity. But we see him in conflict with the social world, where one cannot mine without dissimulation and shallowness. (Von 212) Goethe Von states that Moliere does try to express himself by being truthful and sincere, but he appears to have conflict in doing so. Moliere seems to want to express his emotion and opinion in honest ways, but often becomes too honest. â€Å"Moliere’s play asks a question that is no easier to answer today than it was then: When one is asked to be completely honest, is it better to be painfully and perhaps hurtfully truthful, or should one prevaricate a little to save the feelings of a friend† (Kellerman 48). In Moliere’s attempt to being honest, he comes off more hurtful. By doing so, he uses ridicule and satire in his play to demonstrate his views on society. Moliere also uses different genres of language and literature throughout his many works’. â€Å"In Le Misanthrope, Moliere looks into the subject of language, exploring how it may be used or abused as a means to communicate or conceal reality, to do battle in the realm of human interaction or to make social intercourse endurable† (Regosin 265-271). Moliere uses language and communication from one character to another in a form of â€Å"battle† in order to get his personal view of society played out on the stage (Regosin 265-271). Satire is used by Moliere as the characters’ in The Misanthrope are interrogating, humiliating, and ridiculing one another with different forms of language and also different types of emotion. â€Å"A number of recent critics have sensed in Le Misanthrope a violence of emotion in the relationship among the characters akin to that of real combat and have described the action by using metaphors of battle† (Regosin 265-271). Moliere generally explains his opinion of society by comparing the actions of the people around him to the actions of people in battle. Again and again Moliere infuses intense life into his characters’ by shaming one another through the eyes of society. Moliere never fails when attempting to reach out and explain to his audience the irony and ridicule that stains the heart of society day in and day out. It is as if Moliere sees a social game being played, and even cheated, throughout the places he lives in. He makes it his ultimate goal for his audience to view society in the unique and sometimes shallow way that he does. The Misanthrope, a masterpiece among Moliere’s comedies of manners, holds a universal appeal in its ridicule of social games of propriety and power-mongering in the context of a setting that is unique to the fashion, society, and politics of the Louis XIV era† (Brent). Moliere shows his inventiveness in extraordinary ways and extremely high level s. His play is a comedy that represents social satire, ridiculing the conventions of the society in which he lives in and observes. He expresses that humankind is full of hypocritical and ironic actions and views, which is how he creates this play to become a social tragedy. A close examination of Le Misanthrope reveals Moliere’s initial ambition of wanting to be an actor and writer of tragedies. His protagonist, Alceste, could plausibly be portrayed as comic or tragic, and is ultimately an imponderable figure. Alceste’s disdain of insincerity in public life is compelling and undeniable; his suffering is authentic; and, at the end, he appears destined to a loveless and self-imposed isolation. At the same time, his self-awareness is deficient, his egotistical demands are not noble, and his speech and behavior contain more contradictions than one would expect from a man who proclaims to have everything figured out. Alceste responds differently to the same social hypocrisy that Dom Juan exuberantly uses to validate and advance his own misbehavior, preparing exile to the insults of society contaminated by insincerity. (Bloom 67) Bloom is noting that Moliere claims to have everything figured out, but his actions on the stage state differently. Moliere seems to have certain contradictions about his own personal views on society, meaning things are not exactly matching up. Moliere uses different words and ideas to extract his feelings and viewpoints on society. With using satire throughout his writing, he has his characters’ ridicule and humiliate one another in social settings. His role in the play is Alceste, the misanthrope, a man who is in love with a woman, Celimene, who claims to have love for not only him, but every other man that walks her path. She is full of unusual wit and intuition when delivering mocking words that ridicule the men that are not present, and delight the ones who are. Moliere not only uses satire when it comes to Celimene, but Alceste as well. Once Alceste discovers her hypocrisy, he humiliates her in front of all her suitors. The humiliation and ridicule continues against Celimene and Alceste throughout the play. Not only did Alceste humiliate Celimene, but his close and personal friend Philinte as well. Alceste rejects Philinte when he finds him being flattered by Celimene. Moliere uses satire when Alceste ridicules Philinte in front of all society. Philinte continues to remain loyal to his friend and attempts to rescue him from the miserable isolation that Alceste is headed for. Moliere also uses satire when Alceste becomes frantic with jealousy and abandons sincerity just to plead with his lover to pretend to love him as well as he will pretend to believe her. His irony is turned on society as well as on Alceste, and the play ends, as we shall see, not with the restoration of order, but with something that is very like a mark or interrogation† (Turnell 398-426). Celimene finally admits to her wrongdoings at the end of the play by writing all of her suitors a letter of apology. One would normally assume a happy ending to this story, but that is not the case. Celimene calls out to Alceste saying she does not love him, and that he does not love her. When Celimene makes this statement, it interrogates Alceste. In conclusion, this play is hypothetically about the different lifestyles of people who have different views on society. Because the characters’ have different points of view on the matter, there is often some sort of debate. As Knutson states: At the very beginning of the play, by an adroit manipulation of visual signs, Moliere plunges us straightaway into the unsettling ambiguities of his greatest masterpiece. The world view conveyed by the play as a whole comes remarkably close to the cynical urbanity of the Restoration. Neither Philinte nor Celimene, nor Alceste for that matter, has any illusions about mankind. They all see society as a jungle of conflicting egos where one’s own self-interest must reign supreme. The debate revolves around the stance to take before this state of affairs. (Knutson 115-17) Moliere uses satire to describe the personalities and intake of each character. Alceste, Philinte, and Celimene have a different opinion on society. Each character wants their opinion to be above everyone else’s. In doing so, this causes conflict between each character and gives Moliere the unique opportunity to have an intense use of satire throughout this play. What must have made this play highly comic for the seventeenth-century spectators, an aspect probably lost on audiences today, is the way it parodies that period’s conventions of tragic plots and language. This parody corresponds to ancient Greek notions of theater, which staged a â€Å"satyr† play after a series of three tragedies. The satyr play took the same material as the tragic ones but reversed it and played it as comedy. In Le Misanthrope, Moliere is standing Racine and tragic discourse on their heads. (Melzer 143-44) Melzer is noting that Moliere is definitely getting the job done correctly for the seventeenth-century time period. Spectators can see certain effects by experiencing sentiments and desires from Alceste, but at the same time they can laugh about it while thinking those sentiments and desires are only his. Moliere can take serious issues out of society and form them into a playwright. Moliere masks his characters’ from his own general perspective, and the viewer must note that and keep that in mind while attending his plays. Moliere wrote The Misanthrope to become a basic form of satire in itself. From each character ridiculing and humiliating and even shaming one another through the eyes of the public, Moliere forms the shape of this tragedy with satire. As a reflection on both theatrical and social exchange, Le Misanthrope offers a complex, and at times perplexing, mechanism of depiction and recognition. The duel between Celimene and Arsinoe in the third act provides an illustration. As a satire of salon conversations, Celimene’s portrait of the prude Arsinoe presents the following configuration: one character, representing the malicious wit social type, depicts another character, representing the prude social type. In terms of recognition, the scene offers the spectacle of one other character seeing herself in the portrait sketched by the other. However, the moral value and mimetic fidelity of the portrait are placed in great doubt, due to the compromising situation of its enunciation, motivated as it is with irony. The scene thus exposes the underbelly of the social art of description and judgment. (Norman 155-56) Not only is satire full of ridicule and humiliation, but it is also full of description and judgment. Moliere has one character ridicule and judge the description of another character. By doing that, Moliere instills satire into his work. Moliere’s profoundly written play, The Misanthrope is full of satire through actions, words, thoughts, and views. Moliere inflicted his personal and political view on society through his works’. He often comes off too honest at times, without noticing. He writes scenes regarding the moral effects of satiric comedy, and he does it well. â€Å"The moral uncertainty resulting from the shifting voices of satire is, I believe, the hallmark of Le Misanthrope, the secret of its continual ability to escape fixed interpretations† (Norman 155-56). As Norman stated, satire is the â€Å"hallmark† of Le Misanthrope (Norman 155-56). In his play, The Misanthrope, Moliere uses satire to ridicule, humiliate, and shame individuals and society itself. Turnell, Martin. â€Å"Le Misanthrope. † The Proper Study: Essays on Western Classics. New York: St. Martin’s Press, 1962. 398-426. Rpt. In Literature Criticism from 1400 to 1800 Ed. Thomas J. Schuenberg and Lawerence J. Trudeau. Vol. 127. Detroit: Gale, 2006. Literature Resource Center. Web. 21 September. 2011. Critical Essay. Von Goethe, Johann Wolfgang. â€Å"Moliere’s ‘Misanthrope. ’† Trans. Randolph S. Bourne. Goethe’s Literary Essays: A Selection in English. Ed. J. E. Springarn. Harcourt Brace Jovanavich, 1921. 212 Rpt. In Literature Criticism from 1400 to 1800. Ed. James E. Person, Jr. Vol. 10. Detroit: Gale Research, 1990. Literature Resource Center. Web. 24 October. 2011. Journal Article. Kellerman, Carol. â€Å"Moliere. The Misanthrope. † Kliatt May 2008: p. 48. Web. 22 October. 2011. Journal Article. Regosin, Richard L. â€Å"Ambiguity and Truth in Le Misanthrope. † Romantic Review 60. 4 (December 1969): 265-271. Rpt. In Literature Criticism from 1400 to 1800. Ed. Thomas J. Schoenberg and Lawrence J. Trudeau. Vol. 127. Detroit: Gale, 2006. Literature Resource Center. Web. 24 October. 2011. Journal Article. Regosin, Richard L. â€Å"Ambiguity and Truth in Le Misanthrope. Romantic Review 60. 4 (December 1969): 265-271. Rpt. In Literature Criticism from 1400 to 1800. Ed. Thomas J. Schoenberg and Lawrence J. Trudeau. Vol. 127. Detroit: Gale, 2006. Literature Resource Center. Web. 24 October. 2011. Journal Article. Regosin, Richard L. â€Å"Ambiguity and Truth in Le Misanthrope. † Romantic Review 60. 4 (December 1969): 265-271. Rpt. In Literature Criticism from 1400 to 1800. Ed. Thomas J. Schoenberg and Lawrence J. Trudeau. Vol. 127. Detroit: Gale, 2006. Literature Resource Center. Web. 24 October. 2011. Journal Article. Brent, Liz. Critical Essay on â€Å"The Misanthrope. † Drama for Students. Ed. Elizabeth Thomason. Vol. 13. Detroit: Gale, 2001. Literature Resource Center. Web. 24 October. 2011. Journal Article. Bloom, Harold. Ed. Bloom’s Major Dramatists: Moliere. Broomall, PA. Chelsea House Publishers, 2003. Print. Turnell, Martin. â€Å"Le Misanthrope. † The proper study: Essays on Western Classics. New York: St. Martin’s Press, Criticism from 1400 to 1800 Ed. Thomas J. Schuenberg and Lawerence J. Trudeau. Vol. 127. Detroit: Gale, 2006. Literature Resource Center. Web. 21 September. 2011. Critical Essay. Knutson, Harold C. The Triumph of Wit: Moliere and Restoration Comedy (Columbus: Ohio State University Press, 1988): pp. 115-17. Print. Melzer, Sarah E. â€Å"Performing Moliere: Le Misanthrope- Tragedy or Comedy? † Approaches to Teaching Moliere’s Tartuffe† and Other Plays. (New York: The Modern Language Association or America, 1995) pp. 143-44. Print. Norman, Larry F. The Public Mirror: Moliere and the Social Commerce of Depiction. (Chicago: University of Chicago Press, 1999): pp- 155-56. Print. Norman, Larry F. The Public Mirror: Moliere and the Social Commerce of Depiction. (Chicago: University of Chicago Press, 1999): pp- 155-56. Print.

Monday, October 21, 2019

Explain The Concept Of Gene Therapy And How The Technology Can Applied

Explain The Concept Of Gene Therapy And How The Technology Can Applied Explain The Concept Of Gene Therapy And How The Technology Can Applied In The Treatment Of Cystic – Coursework Example Gene Therapy In the advances of modern medicine and biology, scientists and researchers have been looking into the different cellular mechanics that help make the body work. One of the fields of great interest is genetic research as a way of completely curing the illnesses versus offering a prescription to relieve the symptoms. Genetic technology has allowed scientists to study, clone, and replicate DNA for the purposes of treatment and research. In particular, gene therapy is useful in helping treat a variety of illnesses such as cystic fibrosis. Cystic fibrosis is a genetic disorder that affects the respiratory system. With this condition, mucous build up occurs in the lungs as well as other organs in the body. The genetic disorder is cause by an abnormality in the DNA which causes the development of an abnormally amount of thick mucous. If not treated properly, cystic fibrosis can be fatal. Some of the commonly seen symptoms of the disease include, but aren’t limited to con gestion, cough, fatigue, nausea, etc. A blood test is usually used to identify the illnesses. There are also many different medical treatments available to help with this illness such as medication to help break up the thick mucous as well as a host of different antibiotics to reduce the risk of infection ("Cystic Fibrosis"). Gene therapy can be used as a possible cure method for cystic fibrosis. Gene therapy requires going to the cellular level in order to manipulate DNA that has been encoded incorrectly or has been damaged in order to eliminate the genetic disorder. First in 1990, researchers were able to sythesize correct DNA strands of the working gene that causes cystic fibrosis. Throughout the years, different methods of introducing this correct DNA onto an incorrect DNA template have included infection through genetically modified viruses and bacertia as well as through other methods ("Learning about Cystic Fibrosis"). Althougu there are limits to the ability of genetic manip ulation, scientists are currently researching new methods of being able to not only treat genetic disorders, but also how to cure these disorders. As gene therapy develops, more sophisticated techniques can be developed in order to ensure that all genetic disorders can be cured.References"Cystic Fibrosis." PubMed Health. 2011. Web. 6 Dec 2011. .United States. National Institute of Health. Learning about Cystic Fibrosis. 2011. Web. .

Sunday, October 20, 2019

Zimmermann Telegram in World War I

Zimmermann Telegram in World War I The Zimmermann Telegram was a diplomatic note sent by the German Foreign Office to Mexico in January 1917 which proposed a military alliance between the two nations should the United States enter World War I (1914-1918) on the side of the Allies. In return for the alliance, Mexico would receive financial assistance from Germany as well as could reclaim territory lost during the Mexican-American War (1846-1848) (1846-1848). The Zimmermann Telegram was intercepted and decoded by the British who in turn shared it with the United States. The release of the telegram in March further inflamed the American public and contributed to the American declaration of war the following month. Background In 1917, As World War I ground on, Germany began assessing options for striking a decisive blow. Unable to break the British blockade of the North Sea with its surface fleet, the German leadership elected to return to a policy of unrestricted submarine warfare. This approach, whereby German U-boats would attack merchant shipping without warning, had been briefly used in 1916 but was abandoned after strong protests by the United States. Believing that Britain could be quickly crippled if its supply lines to North America were severed, Germany prepared to re-implement this approach effective February 1, 1917. Concerned that the resumption of unrestricted submarine warfare could bring the United States into the war on the side of the Allies, Germany began making contingency plans for this possibility. To this end, German Foreign Secretary Arthur Zimmermann was instructed to seek a military alliance with Mexico in the event of war with the United States. In return for attacking the United States, Mexico was promised the return of territory lost during the Mexican-American War (1846-1848), including Texas, New Mexico, and Arizona, as well as substantial financial assistance. German Foreign Secretary Arthur Zimmermann. Public Domain Transmission As Germany lacked a direct telegraph line to North America, the Zimmermann Telegram was transmitted over American and British lines. This was permitted as President Woodrow Wilson allowed the Germans to transmit under the cover of U.S. diplomatic traffic in hopes that he could remain in touch with Berlin and broker a lasting peace. Zimmermann sent the original coded message to Ambassador Johann von Bernstorff on January 16, 1917. Receiving the telegram, he forwarded it on to Ambassador Heinrich von Eckardt in Mexico City via commercial telegraph three days later. Mexican Response After reading the message, von Eckardt approached the government of President Venustiano Carranza with the terms. He also asked Carranza to aid in forming an alliance between Germany and Japan. Listening to the German proposal, Carranza instructed his military to determine the feasibility of the offer. In assessing a possible war with the United States, the military determined that it largely lacked the capability to re-take the lost territories and that German financial assistance would be useless as the United States was the only significant arms producer in the Western Hemisphere. President Venustiano Carranza of Mexico. Public Domain Furthermore, additional arms could not be imported as the British controlled the sea lanes from Europe. As Mexico was emerging from a recent civil war, Carranza sought to improve relations with the United States as well as other nations in the region such as Argentina, Brazil, and Chile. As a result, it was determined to decline the German offer. An official response was issued to Berlin on April 14, 1917, stating that Mexico had no interest in allying with the German cause. British Interception As the ciphertext of the telegram was transmitted through Britain, it was immediately intercepted by British code breakers who were monitoring traffic originating in Germany. Sent to the Admiraltys Room 40, code breakers found that it was encrypted in cipher 0075, which they had partially broken. Decoding parts of the message, they were able to develop an outline of its content. Realizing that they possessed a document that could compel the United State to join the Allies, the British set about developing a plan that would allow them to unveil the telegram without giving away that they were reading neutral diplomatic traffic or that they had broken German codes. To deal with the first issue, they were able to correctly guess that the telegram was sent over commercial wires from Washington to Mexico City. In Mexico, British agents were able to obtain a copy of the ciphertext from the telegraph office. This was encrypted in cipher 13040, which the British had captured a copy of in the Middle East. As a result, by mid-February, British authorities had the complete text of the telegram. To deal with the code breaking issue, the British publicly lied and claimed they had been able to steal a decoded copy of the telegram in Mexico. They ultimately alerted the Americans to their code breaking efforts and Washington elected to back the British cover story. On February 19, 1917, Admiral Sir William Hall, the head of Room 40, presented a copy of the telegram to the secretary of the U.S. Embassy, Edward Bell.​​ Stunned, Hall initially believed the telegram to be a forgery but passed it on to Ambassador Walter Hines Page the next day. On February 23, Page met with Foreign Minister Arthur Balfour and was shown the original ciphertext as well as the message in both German and English. The next day, the telegram and verifying details were presented to Wilson. Ambassador Walter Hines Page. Library of Congress American Response News of the Zimmermann Telegram was quickly released and stories about its contents appeared in the American press on March 1. While pro-German and anti-war groups claimed that it was a forgery, Zimmermann confirmed the telegrams contents on March 3 and March 29. Further inflaming the American public, which was angered over the resumption of unrestricted submarine warfare (Wilson broke diplomatic relations with Germany on February 3 over this issue) and the sinking SS Houstonic (February 3) and SS California (February 7), the telegram further pushed the nation towards war. On April 2, Wilson asked Congress to declare war on Germany. This was granted four days later and the United States entered the conflict. Zimmermann Telegram in World War I The Zimmermann Telegram was a note sent in 1917 from the German Foreign Minister Zimmermann to his ambassador in Mexico, containing details of a proposed alliance against America; it was intercepted and published, strengthening US public support for war against Germany as part of World War One. The Background By 1917 the conflict we call The First World War had been raging for over two years, drawing in troops from Europe, Africa, Asia, North America, and Australasia, although the main battles were in Europe. The main belligerents were, on one side, the German and Austro-Hungarian Empires (the Central Powers) and, on the other, the British, French and Russian Empires (the Entente or Allies). The war had been expected to last just a few months in 1914, but the conflict had dragged on in a stalemate of trenches and massive death tolls, and all sides in the war were looking for any advantage they could gain. The Zimmermann Telegram Sent through a supposedly secure channel devoted to peace negotiations (a transatlantic cable belonging to Scandinavia) on January 19th, 1917, the Zimmermann Telegram – often called the Zimmermann Note - was a memo sent from the German Foreign Minister Arthur Zimmermann to the German Ambassador to Mexico. It informed the ambassador that Germany would be resuming its policy of Unrestricted Submarine Warfare (USW) and, crucially, ordered him to propose an alliance. If Mexico would join in a war against the US, they would be rewarded with financial support and re-conquered land in New Mexico, Texas, and Arizona. The ambassador was also to ask the Mexican President to propose his own alliance to Japan, a member of the Allies. Why Did Germany Send the Zimmermann Telegram? Germany had already stopped and started USW - a program of sinking any shipping coming near their enemies in an attempt to starve them of food and materials - because of fierce US opposition. Americas official neutrality involved trading with all belligerents, but in practice, this meant the Allies and their Atlantic coastlines rather than Germany, who suffered from a British blockade. Consequently, US shipping was frequently a victim. In practice, the US was giving the UK aid which had prolonged the war. The German high command knew renewed USW would probably cause the US to declare war on them, but they gambled on shutting Britain down before an American army could arrive in force. The alliance with Mexico and Japan, as proposed in the Zimmermann Telegram, was intended to create a new Pacific and Central American Front, greatly distracting the US and aiding the German war effort. Indeed, after USW resumed the US severed diplomatic relations with Germany and began debating an entry into the war. The Leak However, the secure channel wasnt secure at all: British intelligence intercepted the telegram and, recognizing the effect it would have on US public opinion, released it to America on February 24th, 1917. Some accounts claim the US State Department was also illegally monitoring the channel; either way, US President Wilson saw the note on the 24th. It was released to the world press on March 1st. Reactions to the Zimmermann Telegram Mexico and Japan immediately denied having anything to do with the proposals (indeed, the Mexican President was content at a recent American withdrawal from his country and Germany could offer little beyond moral support), while Zimmermann admitted the Telegrams authenticity on March 3rd. It had often been asked why Zimmermann came right out and fully admitted things instead of pretending otherwise. Despite Germanys complaint that the Allies had been wiretapping secure peace networks, the US public - still concerned at Mexicos intentions following trouble between the two - was aghast. A vast majority reacted to both the Note, and weeks of growing anger at USW, by backing war against Germany. However, the note itself did not provoke the US into joining the war. Things might have stayed as they were, but then Germany made the mistake which cost them the war and restarted Unrestricted Submarine Warfare again. When the American Congress approved Wilsons decision to declare war on April 6th in reaction to this, there was just 1 vote against. Full Text of The Zimmermann Telegram On the first of February, we intend to begin submarine warfare unrestricted. In spite of this, it is our intention to endeavor to keep neutral the United States of America. If this attempt is not successful, we propose an alliance on the following basis with Mexico: That we shall make war together and together make peace. We shall give general financial support, and it is understood that Mexico is to reconquer the lost territory in New Mexico, Texas, and Arizona. The details are left to you for settlement. You are instructed to inform the President of Mexico of the above in the greatest confidence as soon as it is certain that there will be an outbreak of war with the United States and suggest that the President of Mexico, on his own initiative, should communicate with Japan suggesting adherence at once to this plan; at the same time, offer to mediate between Germany and Japan. Please call to the attention of the President of Mexico that the employment of ruthless submarine warfare now promises to compel England to make peace in a few months. Zimmerman (Sent January 19, 1917)

Saturday, October 19, 2019

How did the psychological disorders, such as shell shock, in World War Essay - 1

How did the psychological disorders, such as shell shock, in World War I impact on the societal, cultural, and political level in West European countries such as Britain and France - Essay Example But the impacts were for a fact a concern. The impact can be seen from the aftermath prompt cure; cognitive re-structuring of various traumatic experiences (i.e. avoiding the past thoughts) and interacted with the therapist in the seeking for a cure. On social front many were unable to fit well into the society as a lot had changed during the cause of the war. Many of the soldiers were psychologically ill affecting their lives and individual families. After the war many traumatized soldiers from France and Britain soldiers shared several common symptoms – from twitches, anxiety, speech difficulties and digestive complications to more complex nervous indispositions. These affected the economic frontier of their countries since many were incapable to appropriately fit into the society. For instance, while doctors found it strange that these symptoms many times often never present in these countries until the solder was back in the original confines of civilian life. These psycho logical disorders in World War I impact on the societal level of Britain and France. The soldiers were largely unable to culturally transform in these European nations and unable to conform to the cultural expectations. The post psychological impacts such as shell shock have gone a long way in impacting on cultural aspect of the British and French societies. World War 1 can be considered as one of the hinge moment in the culture of the Britain and France. This can be largely attributed to the psychological experiences that were evident. Together the path of cultural effect was set one that set all the difference. Most notable was the impact was in cultural values such as traditional ideologies. The nature of the treatment become more integral part of the cultural heritage and later changed the cultural expectation and behaviors in Britain

Friday, October 18, 2019

Open Source Software Article Example | Topics and Well Written Essays - 1500 words

Open Source Software - Article Example For example, Linux is a good example of open source software that is competing with Microsoft, Apple and other. But depending upon the person some people still think that it is a temporary fashion in software industry another, on the contrary, believes that changes caused by open source will be deep enough and will shape the software industry of the first decade of 21st century. Open source software plays an important role in today’s world. Many people, organization, government sector are benefited by the open source software and are working towards development and support of it. In this paper philosophy of open source, definitions, advantages and disadvantages of open source software, some background history and motivation for open source software, Licences, Copyright Law and Patents, Economics of Open Source Software and at last impact of open source technology will be discussed. What is Open Source Software? : One can not define the Open Source Software in few words, because of many categories and variants that exist for Open Source Software. But it is not complicated and the term ‘Open Source Software’ itself gives an idea about it. Now before giving a definition from various people about the Open Source Software, first look at what general people think about the Open Source Software. General Idea of Open Source Software: The term ‘Open Source’ in Open Source Software refers to user’s freedom of use, redistribution, etc. One can not assume that Open Source Software and Free Software are same things. It can be said clearly that open source software does not have to be gratis.  

Jack the Giant Slayer Research Paper Example | Topics and Well Written Essays - 1750 words

Jack the Giant Slayer - Research Paper Example Jack the Giant Slayer is an adventure film of 2013 previously named Jack the Giant Killer. This adventure film based on fables â€Å"Jack the Bean stalker† and â€Å"Jack the Giant killer â€Å". The director of the film is Bryan Singer and the screenplay is by Christopher McQuarrie, Darren Lemke and Dan Studney. The stars of the epic films are Evan McGregor, Ian McShane, and Nicholas Hoult. Billy Nighy, StanelyTucci and Eleanor Tomlinson are also stars in the film. The film depicts the yarn of a youthful farmhand and a princess (IMDb.com, Inc. , 2013). Style and Directing Jack is the farmhand who rescues the young princess he has fallen in love with from giants.  Work on the film began as early as 2005. In 2005, Daren Lemke hatched the idea of the film and development of the film began. In January 2009, Caruso as the director started to work on the film, however on September that year Singer took Caruso’s place. Principal photography of the film begun in Norfolk, S omerset and Gloucestershire in April 2011, all these locations are in England. The premiere of the film was on 26 February 2013. Storytelling    The power of storytelling in the film, whereby the film depicts a bedtime story that giants wandered about England consuming and crushing anyone on their way. After recurring wars between human beings and the giants, a permanent solution hatched. This solution was a powerful crown that possessed magic. The wearer of this crown who was King Eric could control and tame the giants. King Erik sent away the giants back to their homeland of Gargantua. After sometime, King Erik died and he is buried together with beanstalks and the magical crown. Time passes and the legend of King Erik is becomes a narration to children Isabelle the princess and Jack a peasant as a bedtime story. Both Isabelle and Jack grow to become young attractive youths. While Isabelle runs from a forced marriage to Lord Roderick, she bumps into Jack and they develop a bond to each other. While Isabelle is with Jack at his place, suddenly a magic bean plants itself and grows to take Isabelle to the clouds, to Gargantua where she remains stranded.    If one watches the TV spots and trailers of Jack the Giant slayer, they will discover that the marketing is quite poor relative to the movie. The action sequence is not as creative and flowing as the legend itself. Bryan Singer the director of the movie seems more concerned with old traditional story telling than the targeted audience.     The movie has gently tried to twist the original and much familiar story. Isabelle and Jack both have a good childhood since they have parents who read for them. The movie depicts the importance of storytelling in child upbringing and development. Jack the Giant Slayer, as most fables are full of good life lessons. Life lessons come in the stories of scary villains, dangerous adventures, villains and courageous heroes who challenge them. Fairy tells highlight virtue s of self-sacrifice and bravery. Storytelling shows the evils of selfishness, jealousy and greed. The mother of the princess uses storytelling to motivate her young daughter to emulate the heroes in the fairy tells and to practice good things in the world.   We can attribute Jacks attitude to the stories he grew up listening. For instance, his heroism and bravery is because he emulates the heroes in the stories.   Acting Acting is not impressive. The actors are Nicholas Hoult acting as Jack the farmhand, Eleanor Tomlinson acting as Isabelle the youthful princess (Goodykoontz& Jacobs, 2011). Other actors are Stanley Tucci acting as Lord Roderick the Kings adviser, Ian McShane acting as King the princess father and Billy Nighy as Fallon the leader of the giants. The acting is poor, Nicholas Hoult who is acting as Jack the peasant has an odd haircut and he is just an average actor. Elenor Tomlinson as Isabelle the princess is very bland and not particular captivating or useful in

Thursday, October 17, 2019

Source analysis assignment Essay Example | Topics and Well Written Essays - 250 words

Source analysis assignment - Essay Example The other issue is the creation of dehumanizing climate, which acts as a malarial swamp thus infecting everybody reading the content when it comes to the view of the Arab world, Islam and Middle East as a whole. The sources leave many questions like who went, where that person went and why that person went answered. The sources reveal the problems by pointing them out and solve them by addressing them in that people now start to look on the opposite side of the stories given by media regarding Middle East. It is obvious that the three sources in subject represent particular bias towards the Middle East as everything centers towards Middle East. The sources are useful in that they help people argue about the reasons behind the American media displaying Middle East negatively and at the same time give history for different issues. The sources have especially been useful to the Muslims and entire Middle East fraternity. The fact that they are internet history sources, they must be very reliable adding to it that the renowned authors write good pieces of history. Edward Said’s arguments are the main evidence supporting the sources. The evidence that the media provides however contradicts the sources and therefore bring about arguments just as Edward said

Middle Eastern Humanities Essay Example | Topics and Well Written Essays - 1000 words

Middle Eastern Humanities - Essay Example The dancer’s primary task is to embody the different musical rhythms for the people hearing the music (audience). Most Middle Eastern music has an effect known as a â€Å"call and response†. This creates a musical conversation and happens when one instrument plays a certain phrase and one another instruments responds to the lead instrument phrase. This however, changes through the composition and the supporting instruments may at times play the leading phrases. Middle Eastern music is played in scales that are commonly referred to as â€Å"Maqamat†. The main idea of the maqam is that it helps the musician to know the right intervals between scales. It also helps the musician to know the notes that he/she needs to emphasize. Research has shown that about 84% of the population from Middle East listens to music at least once a day (Justice 76). Music plays an important role in entertainment in the Middle East. People listen to music as a form of passing time and entertaining themselves. Middle Eastern music is also educative. Musicians use music as a tool to make the society a better place and also educate people. Sometimes musicians go to the extent of using their personal experiences to educate people. Music is also a source of inspiration. Some types of music encourage people not to give up when they face challenges in life. Music also helps to make work easier or more pleasant. Lastly music is also used for spiritual nourishment. Sacred songs play a role in impressing spiritual truth among people in the Middle

Wednesday, October 16, 2019

Source analysis assignment Essay Example | Topics and Well Written Essays - 250 words

Source analysis assignment - Essay Example The other issue is the creation of dehumanizing climate, which acts as a malarial swamp thus infecting everybody reading the content when it comes to the view of the Arab world, Islam and Middle East as a whole. The sources leave many questions like who went, where that person went and why that person went answered. The sources reveal the problems by pointing them out and solve them by addressing them in that people now start to look on the opposite side of the stories given by media regarding Middle East. It is obvious that the three sources in subject represent particular bias towards the Middle East as everything centers towards Middle East. The sources are useful in that they help people argue about the reasons behind the American media displaying Middle East negatively and at the same time give history for different issues. The sources have especially been useful to the Muslims and entire Middle East fraternity. The fact that they are internet history sources, they must be very reliable adding to it that the renowned authors write good pieces of history. Edward Said’s arguments are the main evidence supporting the sources. The evidence that the media provides however contradicts the sources and therefore bring about arguments just as Edward said

Tuesday, October 15, 2019

Contrasts between the Movie Rambo II and the book In Pharaoh's Army by Essay

Contrasts between the Movie Rambo II and the book In Pharaoh's Army by Tobias Wolff - Essay Example On the other hand, Wolff, in his book, does not try to portray himself as a wartime hero. Instead, he tries to narrate the details of his experiences in an objective fashion. Wolff takes the readers to a journey to Vietnam through naturalistic, old-fashioned methods. Wolff tells the story of his decision in joining the army as well as his Southeast Asian tour of duty. He was sent back home after one year. However, after reading the book, one could say that the book’s title has nothing much to do with the specific emotional gravity of the Vietnam War no matter how evocative the book’s title might sound. Personally speaking, it is a story that talks about the coming-of-age of an individual that could easily happen even in non-Vietnam specific wartime setting. To better understand the vast differences of the book and the movie to the historical event, one should first learn the emotions that filled America during the post-Vietnam era. It has taken several years before the Americans were able to start to accept the consequences of the Vietnam War. The U.S. legacy lingers on at the mental hospitals, drug treatment clinics, shelters for the homeless, and the rural wilds where some war veterans escaped to in order to avoid the realities of going back to their native land. These are apart from the generation of limbless and maimed civilians and the Vietnamese landscape poisoned with munitions, mines, defoliants. Aside from the negative consequences to the Vietnamese landscape, the Vietnam War left a deep scar in the cultural landscape of the Americans. It can be seen in several expressions and outlets such as underground press, anti-war songs, fiction, and films (Kellner 161-3). To link these statements above to the context of the movie Rambo, one can begin by looking at how Rambo is transformed into a superhero rescuer of

Monday, October 14, 2019

3d System and 3d Printing Essay Example for Free

3d System and 3d Printing Essay As a radical innovation, 3D printing has been introduced to market over 30 years since 1980s. This technology revolution doesn’t only change the process of molding; it also adapts its industry to go green by reducing wasting materials. In the contrast, object is produced by traditional technology (subtractive process) generates surplus cut material. In the early period of development, it was applied in hobbyist uses and industry uses such as design visualization, prototyping, architecture, education, and healthcare. In 2000s, along with mass launches of portable 3D printers from several companies, 3D printer has stepped on consumer product market; also, printed objects have been transformed from components or prototypes to finished goods. The personal 3D printer is incremental innovation of 3D printing. Basically, it was developed from industry 3D printer by design, size, and accessibility. Cube ® as 3D Systems’ first personal 3D printer is part of company’s strategy which is to accelerate 3D printer penetration. Five growth strategies See more: Homeless satire essay * Expand on-demand-parts services * Accelerate 3D printer penetration * Grow healthcare revenue * Consumer and retail * Create Seamless digital scan, design and print platform 3D Systems acquired Rapidform which is a leading global provider of 3D scan-to CAD and inspection software tools, located in Seoul, South Korea in 9 October 2012. 3D Systems is going to achieve its fifth growth initiative: to create a seamless, digital scan, design and print platform for the benefit of its customers. 3D Systems would broaden their range of capabilities with complementary products and technology, and extend its coverage and breadth globally with a significant foothold in South Korea and Japan. Technological Opportunities and Innovation The company has been playing as a leading provider in 3D printing business for over 25 years. It mainly focuses on business purposes e.g. making a rapid prototyping and manufacturing part. The research and development team of the company work closely with marketing department and foresee an opportunity gap in the current market. The team has an idea to entering into â€Å"home personal 3D printing† market by launching a new product line called Cube ® which allows people to print real object in three dimensions. Concurrent with introducing Cubify.com as a marketplace and meeting place where artists, designers, children and makers can sell their 3D designs and anyone can Cube ® in Product Life Cycle According to Product Life Cycle strategy, 3D Systems and its Cube ® have been successfully proving the Introduction stage and are ongoing with Growth stage. The attention has been captured by hyping up the publicity and put the personal home 3D printing into recognition. All sources of public media e.g. Magazine, Newspaper, YouTube, News, Trade Event are widely presenting the debut of company innovation of home personal 3D printer and has been awarded as the winner of â€Å"Popular Mechanics Breakthrough Award 2012†. 3D Systems Focusing Strategies In order to move along from Introduction period to Growth, the company has put its focus into 4 main company strategies which one of them is â€Å"Accelerate 3D printer penetration†. It is emphasis on expanding company distribution channel through reseller and subsidiary around the world which currently the company only offers click-and-mortar store. Cube ® in Adoption Curve and its Development Culture Since the personal home 3D printer is new to market, with its intuitive experience offering to consumer, it is not difficult for Innovators group of people to adopt the printing technology. Therefore, with its product features—Simplicity of Plug and Play, WiFi printing support, and more pattern available to download on cubify.com, it would not be an obscurity for Early Adopters to adopt the system as well. Furthermore, Cube ® 3D printer is currently likely positioned on the upper right side of the 3D Systems’ Development Culture model where it is considered to be such a completely new and breakthrough product of the year. The company will constantly improve the printer itself as seen in the company annual report under research and development expenses increased by $5.7 million, or 58.1%, to $15.4 million in the first nine months of 2012 from $9.7 million in the first nine months of 2011 3D Systems Development Culture Cube ® and its complementary product The selling point of the Cube ® 3D printer is not only the machine itself but the company also offer a cloud service community—Cubify.com. - Cubify turns mobile device, PC or tablet into a powerful mobile digital canvas to unleash creativity and bring ideas to life in 3D. On Cubify.com, user can find coloring book, cloud gaming and share creativity in 3D experience. The site also offers intuitive 3D Apps, rich 3D printable content libraries of games, puzzles, and any other collections for creation, purchase, share, or even sell for money. Additionally, the website also provides online printing service and has the printed object ship it right to customer later by air mail. Therefore, this service has driven the company to hold competitive advantage over competitors. People are increasing the awareness of cloud service where everything can be done over the air. The company can create the value of its product by offering a place where community begins which increasing in customer lock-in strategy and generate more revenue to company in long run. What company strategies beyond launch Cube ®: Be fast mover The world’s first personal 3D printer was launched by Stratasys in 2009. At the same time, 3D systems also launched its first personal 3D printer to become one of fast movers to better understand the barriers to broad utilization. As technology world, time is everything. 3D systems entered the market early means to quickly build large installed based as many as its industry section, and keep its leading position in 3D printing technology. They are now working on a multi-front strategy to democratize access and accelerate the adoption of 3D printing for the student, the hobbyist and ultimately, the consumer. The real keys are utility and affordability. Cube is part of its plan. Razor-blade strategy The launch of Cube reflects company’s penetration strategy that attempts to make customers to lock in with its products. The price of Cube is affordable, in addition to its high quality of product and service such as friendly-use application, various materials and colors, platform named Cubify.com where users can download and upload sources. Printer won’t be only product customer will purchase. Once printer is purchased, customer needs to keep purchasing other complementary products such as materials, also service such as applications. They will continuously make profit for company; even the revenue of materials and service is greater than the revenue of machine. RD As a technology company, innovation is critical, and one of the key drives of innovation is research and development. 3D systems’ expense in RD is increasing gradually to ensure its leadership through technology and business innovation. Table: 1. 3Dsystems-2012 Financial Statement Protect innovation Only developing and introducing new technology and product that will meet the customers need is not sufficient to be successful. To gain profit and increase market share, the company need to protect the product and service and development and manufacturing phase copying by competitors and new entrants. 3D Systems consider their technology platforms and materials as proprietary and try to protect them through copyrights, patents, trademarks and trade secrets. 3D Systems has worked steadily over the years to develop the market, protect its position with a portfolio of hundreds of patents, and to improve its machinery, software and materials. This has resulted in improvements in accuracy, surface finish and material properties that have been instrumental in expanding the rapid prototyping market as a whole. At December 31, 2011, 3D Systems held 725 patents and 257 pending patent applications worldwide, including applications covering inventions contained in our recently introduced printers. 3D Systems has also entered into licensing or cross-licensing arrangements with various companies in the United States and in other countries that enable those companies to utilize the technologies in their products or that enable 3D Systems to use their technologies in the products. Under certain of these licenses, they are entitled to receive, or obligated to pay, royalties for the sale of licensed products in the U.S. or in other countries. 3D Systems gain the competitive advantages from these patents and licenses and their success depends largely on the marketing, business development and applications know-how and on their ongoing research and development efforts. Although 3D Systems protect their intellectual property rights, the secrecy of their digital content, confidential information, trade secrets and unlicensed copying through a variety of techniques, the success of 3D Systems will motivate the competitors to copy what they are doing. When the competitors come with up with the technology and product with the same customer need, it will be harmful to their business. The loss of trade secret protection could make it easier for third parties to compete with their products by copying previously confidential features, which could adversely affect 3D Systems revenue and operating margins. Strategic acquisition 3D Systems has made and will continue to make strategic acquisitions in future also. 3D has acquired a number of technologies and competitor companies over the years. It purchased Keltool ® technology from 3M several years ago to address high volume injection mold-making applications. In rapid succession in 2001, it acquired OptoForm SARL (France), RPC Ltd. OptoForms technology was aimed at additive manufacturing applications and RPC was acquired to help the company replace its long-term relationship with resin supplier Vantico. 3D Systems completed twelve acquisitions in 2011 and the Z Corp and Vidar acquisitions in 2012. 3D Systems consolidated its entire personal and professional 3D printer businesses into a single unit. This acquisition integrates Z Corp and Vidar products and services with 3D Systems’ extensive portfolio, uniquely positioning 3D Systems for accelerated growth in the dynamic, rapidly expanding 3D content-to-print space. The transaction completes 3D Systems’ range of product capabilities, fills price gaps with complementary products and technology and doubles its reseller coverage globally. Z Corporation Z Corp provides 3D technologies used to create new products and services more effectively than any other ways, compressing the design cycle, generating new concepts, communicating clearly, fostering collaboration, and reducing errors. Z Corp solutions span the entire 3D CAD/BIM design process from concept through design verification. Z Corp is committed to making their solutions the fastest, easiest, most accessible and most valuable. Vidar Systems Corporation Vidar Systems is a leading provider of optical imaging technology specializing in medical and dental imaging markets. Built upon a solid foundation of innovation and an unwavering dedication to quality, the company is the worldwide leader and number one manufacturer of medical film digitizers. â€Å"This is a historic, game-changing event for our customers and stockholders. Today we gained complementary full color and high speed printing technology, increased our marketplace presence significantly in verticals beyond product development and direct manufacturing, assembled the largest and most-well prepared reseller channel in 3D printing, and catalyzed our healthcare solutions business,† said Abe Reichental, President and CEO of 3D Systems. â€Å"Concurrent with the completion of this transaction today, we have taken immediate, decisive steps to unleash the combined revenue growth potential and deliver the value creation inherent in this acquisition for the benefit of customers and shareholders alike.† 3D Systems plan to evaluate acquisition opportunities in the future in an effort to expand the business and enhance stockholder value. â€Å"Acquisitions involve certain risks and uncertainties including: * Difficulty in integrating newly acquired businesses and operations in an efficient and cost-effective manner, which may also impact our ability to realize the potential benefits associated with the acquisition; * The risk that significant unanticipated costs or other problems associated with integration may be encountered; * The challenges in achieving strategic objectives, cost savings and other anticipated benefits; * The risk that our marketplaces do not evolve as anticipated and that the technologies acquired do not prove to be those needed to be successful in the marketplaces that we serve; * The risk that we assume significant liabilities that exceed the limitations of any applicable indemnification provisions or the financial resources of any indemnifying party; * The inability to maintain a relationship with key customers, vendors and other business partners of the acquired business. Acquisition for the development of Cube * 3D Systems acquired Bit from Bytes (UK) which is one of the more successful of start-up companies producing open-source equipment in 2010. Both companies achieved from this acquisition. BFB has got the patent and technical issues as well as means to accelerate the pace of its development. It also provided 3D Systems with a window on very low price and easier to enter in cost sensitive fields such as education. In 2011, 3D followed up that acquisition and purchased BotMill, an even smaller US company producing RepRap derivative and the purchase of widen their offerings for those customers looking for machine at the lowest cost. At the start of the 2012, 3D introduced a third major initiative in the low cost, the Cube 3D printer presented as a key component in a new web-based consumer community the company has dubbed Cubifyâ„ ¢. It remains to be seen how 3D Systems will integrate these efforts, or whether the entities will maintain their individual identities. What benefits and risks of 3D systems in the future? Enjoy benefits 3D systems make mass targets by providing wide range of product portfolio in perspective of price and performance. In the meantime, its 7 print engines are technical standard in 3D printing industries. It means it can capture the majority of customers. Cube is a good trial to penetrate 3D printer to personal use. In addition, effective adoption of emerged new technology and booming market would urge 3D systems to gain large market share and profits while building its leadership. The powerful materials and services can diversify the revenue generation of the company; they build its competitiveness among market. Potential risks: Global economic, political and social conditions might increase costs, harm the ability of company to do business, change the market trend. Cube is still not dominant design yet; the competitors can easily take over its market position by launching higher performance machine with lower price. The company may incur substantial costs enforcing or acquiring intellectual property rights and defending against third party claims as a result of litigation or other proceedings. In some case, it may not be able to protect them from unauthorized copying, use or disclosure. In rapid changing technology world, it will be always possible that radically new technology emerges and destroy current one. If so, the company and its product will face huge difficulty. Recommendations: To gain greater market share with higher profit, we suggest 3D systems to improve in the following aspects: 1. Price 3D Systems could further reduce price of 3D printers to penetrate into market. If do so, company can build large installed base. Over time, when company gains sufficient user, it could start to reduce price of materials to follow penetration plan. On the other hand, it’s to ease users’ concern, and lift company’s reputation. 2. Product development 3D Systems should bring more advanced products with higher specifications to fulfill diversity of printing requirements. Printing product size, types of materials and level of printing details are main specifications customers care. Therefore product developments in general are to make bigger product size, more types of materials, and higher level of details. 3. Service The complexity of use and lack of 3D creations are key barriers of purchase. In order to ease use experience, we suggest 3D systems to develop a new application itself or gain it from acquisition. The application is complementary product which can convert 2D images into 3D creations. Of course, company might face copyright problems. In this case, it can communicate with a group of giant companies to sign a contract to gain information such as size, material, and color of their products. Certainly, the copyright problems will be solved. This service is not free to customers; they need to pay to download. Those giant companies will also gain big percentage of fee from download. [ 1 ]. 3DSystems2012 – NYSE Investor Presentation [ 2 ]. http://finance.yahoo.com/news/3d-systems-cube-r-wins-135242928.html [ 3 ]. 3DSystems2012 – Form10-Q [ 4 ]. http://cubify.com/cube/index.aspx [ 5 ]. 3DSystems2012 – Form10-Q [ 6 ]. 3DSystems2012 – NYSE Investor Presentation [ 7 ]. http://cubify.com [ 8 ]. http://www.thisweekbangalore.com/issue141/news10-Statasys.html [ 9 ]. http://investor.3dsystems.com/content/financial-reports, http://www.3dsystems.com/personal-3d-printers/ [ 10 ]. http://investor.3dsystems.com/content/financial-reports [ 11 ]. 3Dsystems-2012-form-10-Q.pdf [ 12 ]. 3D system 2011 Annual report on Form 10-K [ 13 ]. 3D system 2011 Annual report on Form 10-K [ 14 ]. 3D system 2011 Annual report on Form 10-K 16 http://investor.3dsystems.com/content/financial-reports [ 15 ]. http://investor.3dsystems.com/content/financial-reports

Sunday, October 13, 2019

Osha 1994 in Malaysias Construction Industry

Osha 1994 in Malaysias Construction Industry The construction industry is the builder of our modern world. Nowadays, rapid economic development has not only led to the significant improvement in incomes and the quality of life, but also resulting in great increases in the number of people killed and injured at work. The statistics of accidents at construction sites give us a picture that Malaysian construction industry is one of the critical sectors that need a huge and fast overhaul from the current site practices. Accidents are caused by the unsafe acts, unsafe condition or both. In order to improve the safety and health and minimize the rate of accidents, our government had implemented the OSHA 1994 in Malaysian construction industry. This study was started out by reviewing the literature from journals, articles, magazines, newspaper, web pages and relevant books. This study is carried out has the purpose of investigate the implementation of OSHA 1994 in Malaysian construction industry. In order to achieve the five objective s of this study, qualitative research method was employed to achieve the objectives. Hence the data obtained from primary source that is interview with the safety officer at few of the selected construction site. For the secondary sources found in the regulation of OSHA 1994, journals, articles, magazines, newspapers, thesis, web pages and case study. The finding of this research reveals the general duties of employers, employers and safety officer at construction site, the types of construction accidents and its causes and some of the effective ways in order to minimize the accident of construction. Furthermore, this study also proposes some recommendations to reduce the accidents in Malaysian construction industry based on the result of this research. Introduction Background Construction can be a very difficult and extremely dangerous work. According to the Charles and James (2006), people in the construction industry not only face the dangers of being the first on jobsite, but face potential risks and exposure throughout the building process. However, construction industry performs poorly in occupational safety and health. So, our government has implemented the Occupational Safety and Health Act (OSHA) 1994 into our construction industry. OSHA was enacted on 25th February 1994 with the intent to ensure safety, health and welfare of all persons at all places of work. However, our construction industry has not taken into mind especially for those workers and developer. The purpose of OSHA 1994 is to promote and encourage occupational safety and health awareness among workers and to create organization along with the effective safety and health measures. While the aims of OSHA 1994 are, to secure the safety, health and welfare of a persons at work and othe r than work against risks to safety or health arising out of the activities of persons at work ,to promote an occupational environment for persons at work which is adapted to their physiological and psychological needs and to provide the means whereby the associated occupational safety and health legislation may be progressively replaced by a system of regulations and approved industry codes of practice operating in combination with the provisions of this Act designed to maintain or improve the standards of safety and health. Construction industry are expected to comply with the provision of the act such as general duty of employer and employee, the requirement of safety officer regulation, the requirement of safety and health committee and responsibilities of reporting of accidents and dangerous occurrences. Precaution need to be taken to limit exposures which have the potential to cause detrimental health effects to construction workers. Problem Statement The construction industry is considered as one of the most dangerous industrial sector wherein the construction workers are more prone to accidents. Recently, the construction accidents in our country increase accordingly. Safety and health in the Malaysian construction industry has lagged behind most other industries as evidenced by its proportion high rate of accidents. It is due to the unawareness of the workers and employers in the construction site. One of the most important problems is the attitude of the workers and the developer. Therefore, they prefer working at the construction site without using the safety and health equipment and did not obey the regulation in the Occupational Safety and Health Act (OSHA) 1994. As a result, OSHA plays an important role in construction industry. Key Questions Why constructions accidents still keep on increasing although OSHA 1994 had implemented in our construction industry? Do all the employers and employees comply with the rules and regulations of OSHA 1994 in construction industry? Aim To investigate the implementation of the Occupational Safety and Health Act 1994 in Malaysian construction industry and to recommend effective ways to reduce the accidents at construction site. Objectives To study the regulations and laws of OSHA 1994 that had implemented in Malaysian construction industry. To identify the role of workers at construction site. To identify the important roles of safety officer at construction site. To analyze the common types of accidents and occurred in construction site and its causes. To investigate the ways to reduce the rate of accidents in construction site. Scope of Study The research will look into the implementation of OSHA 1994 in the Malaysian construction industry. This research will look for the safety and health at selected construction site. Areas of study are limited to the following: Study the regulations on employers, employees and safety officers. Identify the regulation of OSHA 1994 at construction site whether all the employers and employees have complied or not. Identifying the real situation of safety and health at the construction site. Literature Review OSHA 1994 is enforced in Malaysia in 25 February 1994 by the Department of Occupational Safety and Health (DOSH). The act defined the self-regulation and duties of employer, employee, designer/manufacturer and suppliers. The duty of every employer is to ensure safety, health and welfare at work of all his employees. For the employees, they shall be take reasonable care for the safety and health of himself and other persons at work who might be affected. Under the OSHA 1994, National Council for Occupational Safety and Health (NCOSH) was established. The purpose of NCOSH is to improve level of awareness of occupational safety and health and to ensure the safety of all workplaces in Malaysia. The functions of NCOSH are as following: Changes deemed appropriate for occupational safety and health legislation; Administration and enforcement of occupational safety and health legislation; Open communication between management and employees regarding workers safety, health and welfare; Adequate control methods for industrial chemicals in the workplace; Work related death and accident statistical analysis; Issues dealing with the safety, health and welfare of woman, the handicapped and other groups in the community. Encouraging the development and acceptance of an industrial codes of practices related to workers safety, health and welfare; Development of rehabilitation plans and facilities to help those injured in the workplace. The legislation also contains provision for formulating regulations and Code of Practices (COPs), which indicate à ¢Ã¢â€š ¬Ã…“what should be doneà ¢Ã¢â€š ¬Ãƒâ€šÃ‚  and thus assist the employer to comply with the Act. According to Rozanah (1994), it is very important for the employers to manage occupational safety and health at their workplace because lack of management control often leads to the existence of causes of accidents and allows for the unsafe practices among the workers. In the construction industry, accidents can be categorizes into several types. According to Master Journal (2004), they have categories all types of the construction accidents into ten ranges. There are struck against, struck by falling, flying, shattering, sliding and moving objects, caught in, on or between in- running nip, pinching, shearing, rotating, reciprocating, punching, pulling and jerking, carrying actions, fall on same levels, fall on different level, slip or overexertion strain and hernia, gradual onset and ergonomic cumulative trauma disorders, repetitive stress injuries, exposure to extreme temperatures, inhalation of poisonous gas and noise distraction. Allan (2006) claimed that there are a lot of causes that cause the accidents happened in the construction workplace. Accidents are the direct result of unsafe activities and unsafe condition. Unsafe condition and unsafe act are often referred to as primary causes of accidents, because they are the most obvious causes and they are usually directly involved or present at the moment the accidents happens. Secondary causes are also important. They are normally due to the failures of the management system to anticipate, and include lack of training, maintenance, adequate job planning and instruction, and not having safe system of work in place. Examples of unsafe act are working without authority, leaving equipment in a dangerous condition, using equipment at the wrong speed, horseplay, drinking alcohol or taking drugs. Examples for the unsafe conditions are inadequate or missing guards to moving machine parts, missing platforms guardrails, defective tools and equipment, fire hazards and ineffective housekeeping. Allan (2006) acknowledged that, there are seven principles in order to minimize the occurrence of accidents at construction industry. There are avoid a risk altogether by eliminating the hazard, tackle risk at source, adapt work to the individual when designing work areas and selecting methods of work, use technology to improve conditions, give priority to protection for the whole workplace rather than to individuals, ensure everyone understand what they have to do to be safe and healthy at work, and the last one is to make sure health and safety management is accepted by everyone. Research Methodologies A research methodology is the way in which the objectives can be questioned. There are two types of research methodologies, which are quantitative research and qualitative research. In my thesis dissertation, I would like to choose qualitative research as my method of research. According to Naoum (2002; p.40), qualitative research is à ¢Ã¢â€š ¬Ã‹Å"subjectiveà ¢Ã¢â€š ¬Ã¢â€ž ¢ in nature. It emphasizes meanings, experiences, description and so on. For my dissertation, I will use a primary source that is interview with the safety officer is one of the methods to acquire the information. I will interview with at least five safety officer in order to collecting the information to achieve my objectives. Interview is one of the major technique for collecting factual information as well as opinion. It is face-to-face interpersonal role situation in which an interviewer asks respondents questions designed to elicit answers pertinent to the research hypothesis. Besides, I also will choose case study for my dissertation. I will choose some of the construction site to study and to investigate about the safety and health of the workers in the construction site. Case study is one of the best methods because it involved an in-depth, longitudinal examination of an event. It provides a systematic ways of looking at the events, collecting data, analyzing information and reporting the result. Throughout the case study, I can observe on whether the construction workers and safety officer have comply with the regulation as stated in the OSHA 1994 or not. By the way, I also will use secondary materials in order to complete my dissertation. Secondary materials are data which already available or had been drawn conclusion by other researchers. For example, the government publications, earlier researches, personal records and company record are the secondary sources. In order to get an efficient result, I will search some relevant reference books, journal, web pages, magazines, articles, newspaper that are related to the implementation of OSHA 1994 in Malaysian construction industry. Among these sources, journal articles and previous studies are the most relevant sources as they provide detailed findings. The journal articles may come from different independent and formal group and different universities libraries. Literature study is an effective ways on order to do the dissertation.