Monday, September 30, 2019

Influences of Social Media on the Youth Essay

Amanda Todd was 15 years old and lived in Vancouver. On October 19 this year she hung herself. Shortly before she did this, she made a YouTube video describing why she would commit this unfortunate act. What made her do this harrowing act? A 15 year-old girl with her whole life in front of her. It was the result of bullying on many social media sites such as Facebook. These sites were originally set up with good intentions to facilitate communication and to keep in touch with friends and family and to share pictures. These sites can also assist students in connecting with their peers and discussing their homework, assignments and group projects. Accessing various forms of social media is a common activity and has been shown to benefit adolescents by enhancing communication. Also, it improves technical skills and keeps people connected to society. Ever since children are born, books, movies and the internet influence how the youth act and think. These influence children more and more as they grow older. During the last 5 years, the number of preadolescents and adolescents using such sites has increased dramatically. Read more: Impact of social media on youth speech essay. According to a recent poll, 22% of teenagers log on to their favorite social media site more than 10 times a day, and more than half of adolescents log on to a social media site more than once a day. Thus, a large part of this generation’s social and emotional development is occurring while on the Internet. Unfortunately recent research indicates that these sites are now used in a more negative way far outweighing the benefits. Bullying, clique forming and pedophilia are increasingly prevalent on social media sites. Because of their limited capacity for self-regulation and susceptibility to peer pressure, children and adolescents are at some risk as they navigate and experiment with social media. NEGATIVE Social media sites can have a detrimental effect on the youth due to the ever-present risk of bullying. Cyberbullying is when a person or troll deliberately uses digital media to purposely expose, harm or embarrass a particular person. It is the most common online risk for all teens and is a peer-to-peer risk. Cyberbullying is quite common throughout society and it can happen to anybody. It can cause profound psychological damage such as depression and anxiety. Also, there is the economic impact felt by parents as their children are exposed to countless advertisements that pop up on sites urging them to buy unnecessary products. In a child’s perspective, they think they need these certain items to be popular or cool. Worse still, some of these sites can expose children to violence and sexual content and this has been proven to influence children in become more aggressive in their behaviour. Furthermore, children are becoming immune to seeing violence and regard it as acceptable behaviour. They are losing their ability to empathise and to know what is right or wrong. This has huge implications for society, relationships and families. Lastly, it is known that students that are on social media sites while studying show reduced academic performances because their ability to concentrate on a particular task is reduced by the distractions that are brought about by Facebook, YouTube or Twitter. The popularity of social media, and the speed at which information is published, has created a lax attitude towards proper spelling and grammar. This affects a student’s ability to write and spell effectively. In conclusion, the use of social media websites is detrimental to the education of the youth and also their mental well-being. As you can see from this brief overview of Facebook and other social media sites, the negative impacts far outweighs the initial benefits for which they were established. We’ve looked at cyberbullying and resulting suicides, the exploitative marketing, the exposure of violence and a breakdown in societal values and morality due to the effects of social media sites. Do you think these social media sites are worth all of these potential hazards? I think not. BIBLIOGRAPHY Dunn , J n.d., The 10 Best and Worst Ways Social Media Impacts Education, , accessed 11 November 2012, . DIaz, Y n.d., Anit-Social Networking, , accessed 11 November 2012,

Sunday, September 29, 2019

Did Alexander II deserve the title Tsar Liberator? Essay

A liberator is defined as someone who releases people from captivity or bondage. For Alexander II to deserve the title of Tsar Liberator he would have to have released the Russian people from bondage. In 1861 Alexander II passed the Ukase of the emancipation of the serfs, which saw the freeing of 40 million serfs. Whilst in theory this was a good idea in practice things didn’t work out as planned as there was no structure to how the process was carried out. The change came about for the wrong reasons instead of emancipating the serfs for the growth of industry in Russia, Alexander did it out of fear that if he didn’t abolish it from above it would be destroyed from below; he was simply trying to protect his autocracy. The emancipation was flawed, serfs were given plots of land that were 20% smaller than what they needed just to feed their family, they were expected to earn their own money selling the produce they had grown but they had no idea how to and were given no help. Serfs were also expected to pay for the plots of land they had been given over the course of 49 years; the average life expectancy was around 40 years so the debt was passed down through the family. As the population of Russia increased the size of land the serfs were given became smaller and smaller and so people were finding it increasingly difficult to be able to grow enough food to feed their family and have enough produce left over to sell in order to make loan repayments. Whilst Alexander II did in theory liberate the serfs they were still bound through the repayment of debt, so he would be unworthy of the title tsar liberator as he never truly released them. In 1864 Alexander II introduced a more modern western style legal system. This included the introduction of judges that could not be swayed by bribery, juries and courts. For the first time Russians were offered the chance of a fair trial, and a considerable freedom of expression. It was thought that due to this reform the court room became the only place in Russia that real freedom of speech prevailed. However any political cases were removed from courts and the Tsar’s secret police could still arrest people at will. This was a big step forward for Russia and does contribute to Alexander II deserving the title Tsar Liberator, but the reform was limited because not all cases could be taken to court, and the Tsar was still using his secret police to arrest whoever he liked. Next local government reforms that saw the introduction of Zemstavs and the Dumas that held local power over public health, prisons, roads, agriculture and education. This provided new opportunities for local political participation. But there were still imitations as the Tsar’s word was still law and he could overrule the Zemstavs any time he wanted, the Zemstav was not a equal representation of the public as it was made up of mainly gentry so peasants were not able to have their say, and the Zemstav was often short of money making them open to bribes from influential people. This reform would not earn Alexander II the title of Tsar Liberator, because although it was a good idea and a step towards liberating the public and letting them have their say, the system put in place was corrupt and was not an accurate representation of the population, therefore it did not liberate very many people and the Tsar still had an over ruling power in order to protect his autocracy. Alexander reformed the army in order to modernize and strengthen it. He reduced the length of conscription from 25 years to 6 years and introduced universal military service for all males over 20. This meant that people were becoming more skilled and disciplined and would have time to use these new found skills in the world outside of the army. By drastically cutting the length of conscription Alexander made being a part of the army less of a life sentence, thus releasing the Russian people. This action would make him worthy of the title Tsar Liberator as it left the Russian people free to experience life outside of the army. Censorship was relaxed and education policies became more liberal, meaning that university students were now able to learn about life outside of Russia and leave Russia in order to study. This liberated Russian scholars as they were able to learn about other places and about their governments and philosophy, but it caused an increase in student radicalism, and political instability. This in some cases lead to riots. This was liberating in the sense that it Russian became aware of a life outside of Russia, where allowed to talk about what was happening elsewhere and were able to leave Russia to study elsewhere. This would make Alexander II worthy of the title Tsar Liberator. Alexander II did not deserve the title of ‘Tsar Liberator’ because whilst some of his reforms could be seen as liberating the Russian public he was simply finding a new way to have a hold over them for example through debt. To truly be ‘Tsar Liberator’ Alexander would have had to give the public more of a say in how the county was ran, doing this would have destroyed his autocracy, which is something he was not willing to do.

Saturday, September 28, 2019

Allocation of risks between the parties to a contract in Fidic red Assignment

Allocation of risks between the parties to a contract in Fidic red book - Assignment Example FIDIC is regularly publishing standard construction contracts forms, which are just more than traditional construction contract’s forms. One of the salient features of FIDIC contract is that it facilitates the allocation of risk between the contractor and the employer. Red Book of FIDIC states that it has been drafted with sharing of risks between the parties in a construction contract evenly. Risks in a construction contract include unanticipated or poor ground scenarios, performance and operational needs, minimal ownership involvement and design responsibility. Risk can be defined as the probability of peril, loss, injury or damage. In a construction project, risks include loss of the property, injury to the employees, loss of materials, opportunity, finances and personal safety and impact on both corporate repute and personal safety2. In construction contracts, a contractor assumes more risks that may have a direct impact on contract’s completion date or final price. Further, the risks include unanticipated or poor ground situations, minimum performance or operational needs, design accuracy and minimum owner’s involvement in the contract. ... Analysis How Red Book of FIDIC allocates the risk between the parties in a Construction Contract The FIDIC contract recognises the risks in a construction contract and allocates many such risks to the contractor. The main aim is to enable the employer an enhanced certainty of the final project price. Further, Red book also offers more opportunities and time to the contractor to receive and evaluate information pertaining to the risks’ factors in the project. This will enable the contractor to conceive these risks and to offer his price to the project accordingly. Contractors employing the FIDIC Red Book will find is useful to comprehend how the FIDIC documents allocate and classify the various perils so as to forbid the cost overruns and losses that may be sustained on the problematic provinces of the project. Here, the contractor has to consider the risks associate to the capability of the contractor, physical risks, time-associated risks, economic risks, construction and eng ineering risks and other risks3. In Fidic red book, Contractor’s risks are detailed in clause 17.003. The Contractor will be held accountable for the following risks. Any loss or personal injury to employees or property due to Contractor’s wilful act, negligence or breach of contract or personal injury caused due to faulty design by the contractor. Loss caused due to Employer’s privilege to occupy any land or to have work executed. Risk in a construction Contract can be explained through the following chart– Chart 14 In Fidic red book, employer’s risks are detailed in clause 17.4 and also under Force Majeure Clause 19. Under the employer’s risks category, the Contractor is entitled to claim both extension of time and also to recover additional costs from the employer. The

Friday, September 27, 2019

Hyperbaric Oxygen Therapy in the management of foot ulceration and its Literature review

Hyperbaric Oxygen Therapy in the management of foot ulceration and its efficacy within the lower limb - Literature review Example Wound in lower limb are common and have tendency to turn chronic. There are basically 3 types of ulcers which can present in the lower limb. They are venous stasis ulcers, arterial or ischemic ulcers and neuropathic or diabetic ulcers. It is important to identify the type of wound because management and prognosis are different for different types of wound. Venous stasis ulcers are mainly located below the knee and in the inner aspects of the leg just above the ankle, like the medial malleolus (Gabriel and Camp, 2008). They occur when inadequate action of the calf muscle to pump out blood results in venous hypertension (Gabriel and Camp, 2008). The base of the ulcer is usually red, the borders are irregular and the ulcer may be covered with yellowish tissue. Fluid drainage is a characteristic feature of venous ulcer. The surrounding skin will be discolored and swollen and may feel warm (Gabriel and Camp, 2008). Ischemic or arterial ulcers are usually located in the feet, especially in regions where there is friction between toes or parts of feet with shoes, or when there is a deformity. They are more likely to occur in the periphery where there is decreased blood supply. The ulcer base is yellowish, grey or black and does not bleed (Gabriel and Camp, 2008). The borders are initially irregular and later have a regular appearance. Neuropathic ulcers commonly occur in diabetic patients and they are usually located at pressure points on the plantar aspect of the feet. Neuropathy causes loss of foot sensation and also changes in sweat-producing glands increasing the risk of being unaware of foot trauma, injuries and callosities. The ulcers appear punched out with the surrounding skin callosed. The ulcer may appear pink or brown (Gabriel and Camp, 2008). Lower extremity ulcers have varied prognosis and are associated with many complications. They are the

Thursday, September 26, 2019

Art Assignment Essay Example | Topics and Well Written Essays - 250 words

Art Assignment - Essay Example Space in drawing implies the negative and positive use of space in a drawing (Sale, Teel & Betti, 89). Positive space is the space that the object covers while negative space is the background of the picture. In Napoletanos picture, the artist has used a lot of negative space in his work, while, in Bertin’s drawing, the artist has used a lot of positive space. At times, use of a lot of negative space makes the drawing look vulnerable and aloof (Sale, Teel & Betti, 89). Perspective in the drawing is the image as seen by the eye as per the distance and on a flat surface. Napoletano’s drawing lacks proper perspective as the drawing shortens with an increase in the distance, and foreshortens along the line of sight as compared to Bertin’s drawing whose focal point gets better with an increase in distance. A contour in the drawing is the outline depicting change in plane (Sale, Teel & Betti, 90). In Napoletano’s drawing the artist used modified contour drawing unlike in Bert’s drawing the artist used blind contours. Napoletano’s drawing was done using gesture drawing because the picture looks hastily done. On the other hand, Bert’s looks as if it had taken time to draw. Finally, tone usages in both pictures are similar. The effects of light in the pictures show balance. The pictures are alike and diverse in a variety of ways, but they are successful in their own light. Napoleatano’s drawing might be small, but it is well structured just like Bert’s picture, which is large, and well

Wednesday, September 25, 2019

Utilitarian vs Kantian Views on Hurricane Katrina Doctors and their Essay

Utilitarian vs Kantian Views on Hurricane Katrina Doctors and their Patients - Essay Example In this case, ethical guidelines will be followed; thus, success in providing services for the persons in question. As seen in the work of Rachels & Rachels (2011), Kantian ethics are founded on the thought that human beings are rational beings and have the capability of governing themselves. The authors also indicate that from the Kantian point of view all human beings have the right to be treated with deference and self-respect regardless of their affiliation (Rachels & Rachels, 2011). From this argument, it is evident that equality and freedom are major tenets of the Kantian ethical argument. On the other hand, utilitarianism ethical view argues that actions should be done for the great good of all persons (Rachels & Rachels, 2011). The view also indicates that all choices have consequences and that all actions will evaluated based on their consequences. From this ethical view, it is justified to indicate that the utilitarian view is consequential in nature as it makes sure that all ends are justified by their means (Rachels & Rachels, 2011). The ethical view also ensures that the overall welfare is maximized at all costs. For Hurricane Katrina, the utilitarian and Kantian views are relevant. Most importantly, since disasters present different conflicts of interests, response to disasters such as Hurricane Katrina need to be discussed if the common good has to be achieved. Regarding Hurricane Katrina, there was a general feeling that the greatest good was giving help that will suit the community at large. This is to mean that the benefits were to be maximized for the community. In regard to the utilitarian approach, the healthcare providers were seen to have a challenge of whether to care for the ones that were badly injured or deal with the patients that had the chances of surviving with proper treatment given to them at the required time (Morrison, 2009). In line with the utilitarian argument, the

Tuesday, September 24, 2019

SEE OTHER INSTRUCTIONS Essay Example | Topics and Well Written Essays - 2250 words

SEE OTHER INSTRUCTIONS - Essay Example The influence of the church was strong. The level of restraint from the people was perceived to be the strength of the government. The use of personal credit was considered unpopular (Kidwell & Martin, 2005). Therefore, failure to pay debt was viewed to be antagonizing (Mann, 2002). The savings among Americans started to decline as consumerism gained momentum. From 1960, there was more emphasis on fulfilling desires rather than meeting needs. Traditionally, American has viewed personal bankruptcy with contempt and a sense of negativity. In the past, persons petitioning for bankruptcy were imprisoned. The stigma towards bankruptcy has been fading and the public is developing sympathy for people filing for bankruptcy. The trend began in 1960 when dramatic rise in cases of bankruptcy was reported. The change of the public attitude has been attributed to declining morals and shame in the American society. A recent study noted that there has been significant shift from 1960s in terms of public perception towards the persons filing from bankruptcy. In the past, bankruptcy was perceived to the petitioners fault. It was rarely associated with external factors like family dissolution, economic conditions and medical disasters (MÃ ©nard et al, 2011). The public attributed bankruptcy to personal failure like overindulgence and overspending. This was against the traditionally established norms of honor (Kidwell & Martin, 2005). However, government officials, jurists and scholars acknowledge that the traditional perception of stigma has declined. The same was acknowledged by the popular culture report. Few people are expressing remorse for filing for bankruptcy. The petitioners are appearing to project a relaxed attitude. This has been acknowledged by judges and legislators. The stigma was perceived to be a deterrent measure for stigma (Robinson & Murphy, 2009). According to a study published by the New York Times indicated that that unlike

Monday, September 23, 2019

Violence and the Emergency Room Essay Example | Topics and Well Written Essays - 1750 words

Violence and the Emergency Room - Essay Example Many of these elders must be cared for in the home which puts them in harm's way when violence occurs. The stress of caring for them at home and the lack of funds increases the chance of violence and or the use of alcohol. All of these things affect the emergency room on a daily basis and many times they are fueled by alcohol which makes the encounter that much more volatile. This paper will examine domestic violence fueled by alcohol and how it might affect the emergency room. Intentional and unintentional violence and its effects take a toll on human health and the quality of life. Globally more than 5 million people die from injuries every year; violence kills more people than HIV/AIDS and malaria combined, yearly (World Health Organization, 2002). Every week in Wales and England, two women are killed by their current or former partner (Reeves & Sully, 2007) and many more are damaged for life. This is not an unusual statistic throughout the world at this time. This kind of violence in families has a very long history. It consists of a pattern of coercive control that is designed to isolate the victim (Davis, 2007). This all presents in major health issues in which the cost is high. Those in the violent situation and the communities in which they live have lost positive community participation and increased costs in healthcare. This type of violence usually manifests itself in physical, sexual, and or psychological abuse which involves fear, intimidation , and emotional depravation of not only the victim but those around them (Davis, 2007). It often engrains the victim in poverty that becomes difficult to climb out of. When fueled with alcohol, the violence can be much more sudden and heightened for the victims as well as the emergency room staff. There are some social, political, and legal context in Australia that should be considered here. In the last decade of conservative Federal government in Australia, there has been an erosion of services to women living with domestic violence. There has been a concerted move toward the consolidation of family which may force a situation in which the perpetrator is in the victims life longer. This has also caused the dismantling of policies and services that are available, including such things as child care subsidies, youth training schemes, youth allowances, legal aid, supported accommodation schemes, and movement to negotiated settlements. All of this affects programs that support women and children in trouble (Wright & Waugh, 2007). This makes it more difficult to get these women and children to safety and keep them there. When violence occurs the victims often come to the emergency room and many of them have never seen a primary physician so the violent episode may just be the tip of what is wrong with them. There is a often a revolving door situation in which the same victims come back with injuries on a regular basis. They may also keep coming back with complaints of things like headaches and stomach pain in an attempt at safety. Studies show that this may be the only safe place in which these victims can disclose or plan for escape. These same studies show that a woman's decision to expose abuse can depend on the attitude of the clinician that is caring for her as a victim (Janssen & Holt, 2002) and that nurses attitude may be the victims only hope for escape. It should be noted,

Sunday, September 22, 2019

An Analysis of the Final Scenes of Death of a Salesman by Arthur Miller Essay Example for Free

An Analysis of the Final Scenes of Death of a Salesman by Arthur Miller Essay Throughout Death of a Salesman, it was very clear to me that the play was an excellent representation of the idea of The American Dream, amongst other broader themes. This notion, as I understand it, relates to the belief that there are countless opportunities for everyone to reach out and grasp, no matter who they are or where they come from. The main characters of the play; Willy Loman, Linda Loman, Biff Loman, Happy Loman and their next door neighbour Charley, all seem to have very different ideas about this belief. In my opinion, this allows the reader (or audience) to relate to whichever character shares their views, making the play very appealing. The play offers a wider insight into a social system in which the Loman family finds themselves. Willy and Linda have had to work incredibly hard to keep themselves afloat over the years, and are justly proud of their achievement of paying off their 25 year mortgage. However, a stark contrast is highlighted between Willy and Howard, his boss. Willy has worked at the company for his whole career, and even names Howard when he is born for his father. However, when Howard has grown up he inherits all of his fathers wealth and the company. Also, when Willy turns up to ask for a weekly wage of around $70 per week, Howard says that it was only $100 for his new tape recorder. Willy laughs along with him, saying that he should get himself one. In terms of the plays portrayal of family relationships, I believe that it offers an excellent incite, showing the effects that an affair can have on a family, and the both emotional and financial pressures that are placed on families. Biffs relationship with his father is very volatile, but deep down it is very clear that they both truly love each other. Happy, however, expresses no love or emotion other than shame towards or about his father. This is both highlighted and summed up by the scene in the restaurant when Happy is talking to Miss Forsythe, and says , thats not my father, thats just some guy. Linda is utterly devoted to her husband but can also see, in part, his self-destruction. However, she almost seems to deny that it is happening by not confronting Willy or doing anything about it herself, especially in relation to the length of rubber pipe behind the fuse box in the garage. The point at which these problems, relationships and pressures are most clear to both the characters and the audience is when the boys return from their abandoned evening with their father to find their mother in a rage. We see a lot of harsh truths realised, the first between Biff and Happy. In the restaurant, Biff had come to the conclusion that Happy did not really care about Willys wellbeing at all, only his own. We see this when Biff exclaims , I sense it, you dont give a good goddam about him. When they return to the house, Biff says (with a flare of disgust) Go away from me! In this scene, possibly the biggest revelation is that of Biff and Willys true feelings towards each other. When Willy is planting seeds in the garden and talking to his brother, almost in another reality, he is horrified by the thought of Biff thinking of him or talking of him as a coward, should he commit suicide. When Biff tries to take him inside to talk to Linda and tell her that he is leaving, Willy seems to think that he is talking about telling her about his affair years earlier, which Biff discovered. However, after some considerable arguments, in which Biff is accused of having nothing but spite for his father, Willy realises that Biff actually just does not want to fail him, having been so pressured to succeed in his earlier life. He also sees that all Biff ever wanted from him was pride and love, saying Loves me. Always loved me. Isnt that a remarkable thing?

Saturday, September 21, 2019

The Beauty and Complexity of Minimalism Essay Example for Free

The Beauty and Complexity of Minimalism Essay Today’s modern world is often complex, colorful, noisy and fast-paced. When I am engaged in art, I frequently look for works that allow me to escape from my hectic lifestyle. Clean lines and use of space appeal to my senses and calm me. Sometimes, what is not stated says more than what is stated. I have learned from my study of Japanese art history this semester that simplicity seems to be a common theme in many of the artworks produced throughout Japan’s rich history. Of course, this is not always the case; there are plenty of works that are colorful and loud. Use of color, in fact, seems to be an appreciated value in much of the art I have seen. However, there seems to a simplistic nature in even the most complex of Japanese artwork. This minimalism appears to be an appreciated Japanese aesthetic. Two works of Japanese art stood out to me this semester, precisely for their minimalistic nature: Pine Trees by Hasegawa Tohaku from the late 16th century Momoyama period, and a Shoki-Imari sake bottle from the 17th century Edo period. While there are many differences between these two works, they appear to complement each other. Each of these works has a rich history behind its creation and they both convey a sense of complex simplicity. Before diving into the two works of art presented in this essay, a brief overview of the periods that spawned these artworks is necessary; specifically the relationship of the Momoyama and Edo periods with painting and ceramics, respectively. 1. Momoyama Background Artistically, the Momoyama period (1568-1615) was the most important half-century period in the history of Japan (Swann 211). Momoyama means â€Å"Peach Blossom Hill,† and the period drew its name from the flowering peach trees, over-looked by the great Fushimi Castle, which was frequented by the local residents of the prefecture (Hickman 19). Hickman states, â€Å"[The term, Momoyama] seems appropriate†¦ for the vision of a brilliant cloud of evanescent peach blossoms serves well as an evocative visual metaphor for the period, a ‘golden age’ of short duration but memorable accomplishments,† (19). The period was fraught with intense warfare between clans, and the emperor remained powerless, but the Momoyama laid the foundation for a modern Japan that would experience over two hundred and fifty years of peace in the Edo period. Momoyama’s art was defined by color and movement that took the place of previously used monochrome and stillness (Swann 215). Artists suddenly felt free of restraint and were free to breath new life into old themes and form original interpretations (215). Color, gold and silver were frequently used in art. The Kano school style of painting gained prominence. Folding screens, covered in paper with bold paintings, became increasingly popular. â€Å"Perhaps [The Momoyama’s] most important product is among the most conspicuously decorative works ever produced†¦ a movable and flexible wall of dubious utilitarian value, but perhaps the most significant creation of the Japanese decorative style,† (qtd. Swann 216). The large area of the folding screen lent itself to broad, sweeping brushstrokes and immense designs. The Momoyama period attempted to bring nature into the household. 2. Hasegawa Tohaku Hasegawa Tohaku (1539-1610) was born in Nanao in the province of Noto (Tazawa 83). He was a painter of the Momoyama period who was able to paint in both Chinese and Japanese styles (Swann 219). Before he took the name Tohaku, he went by the name Shinshun and mainly produced portraits and Buddhist paintings (Tazawa 83). Hasegawa Tohaku was highly skilled and studied the works of Sesshu, Shubun, Kanga, the Kano school and Song and Yuan Chinese dynasty painters (83). Much of his work represented the style of the Momoyama period – flowering trees, flowers, and bright colors. However, his most famous paintings, like Pine Trees differ greatly from the typical Momoyama style (Seiroku 107). . Edo Background The Edo period (1615-1868) is distinguished by the long rule of the Tokugawa clan and an era of political stability. The period is called Edo since the capital was moved from Kyoto to the small village of Edo, which later became Tokyo. Two important developments influenced the subsequent artistic developments of the Edo period. First, in the Edo period Japan beca me completely isolated from the rest of the world by closing its borders to foreigners (with a small exception to some Dutch and Chinese near Nagasaki) and prohibiting foreign travel (Swann 239). Since the Chinese had historically influenced the Japanese, artists were now able to move towards the rejection and free adaptation of Chinese influences (Watson 260). The closed borders also removed the Western and Christian influences which had been slowly filtering in through the Dutch. As feudalism declined in the West in favor of the creation of parliamentary systems, Japan feverishly worked to pursue, â€Å"pleasure and extravagance which is most vividly reflected in the arts,† (Swann 240). The pursuit of the arts gave way to the second major Edo development the rise of the merchant class, which affected the artistic patronage and ushered in the Edo artists. New patrons allowed art to flourish in the Edo period. The new city of Edo helped create this new class of merchants that were able to supply not only the samurai, but themselves as well. This opened new and wider markets for the creations of artists and craftsmen (Swann 243). 4. Shoki-Imari ware One of the greatest influences to Japanese ceramics was Hideyoshi Toyotomi’s invasion of Korea at the end of the Momoyama period (Watson 260). The Japanese still wanted to produce ceramics that represented the greater Asiatic cultures, so the returning Japanese armies brought back Korean potters (Sanders 44). This led to a tremendous advance in ceramics of the early 17th century, allowing for the proliferation of porcelain (Watson 260). There were several innovations of porcelain throughout the Edo period, but for the purpose of this paper, only the Shoki-Imari ware will be discussed. Arita became a town in the Saga prefecture of Japan known for porcelain production after a discovery by a Korean potter in the early 17th century (Sanders 44). The earliest porcelains, called Shoki-Imari, were made out of a poor quality clay, with a high iron content (Watson 261). These Shoki-Imari were typically decorated with an underglaze of cobalt oxide, which had a bluish tinge. The decorations were often flowers or landscape of Korean influence (261). However, the Japanese still envied the enameled porcelain of the Chinese Ming Dynasty and finally by the mid 17th century the Arita potters learned how to use an overglaze to produce that effect. Both the underglaze and the overglaze porcelains were able to proliferate to Europe through the very limited trade with the Dutch. . Pine Trees and the Shiko Imari sake bottle The first thing one notices about Hasegawa Tohaku’s screen painting, Pine Trees, is that the entire painting is monochromatic and you can easily see how little of the canvas is used. There is more space than ink, or in terms of the environment, more mist than trees. This presents a sense of openness, almost an empti ness in the painting. According to Tazawa, â€Å"In no other work, perhaps, has the poetic quality inherent in Japanese style ink painting been so successfully realized,† (84). The same sort of feeling of Pine Trees is immediately seen in the Shoki-Imari sake bottle. The sake bottle is also monochromatic and the porcelain gleams all around the sparseness of the landscape presented. It has the same sort of emptiness as Pine Trees. This emptiness is interesting in the sake bottle because the use of the open space makes the bottle seem empty inside. Both pieces of art are similar in the sense that they present a landscape, which is a common Japanese aesthetic, especially of those time periods. The artist of the Shoki-Imari bottle is unknown, but it is clear that he was familiar with the environment he was painting. Both pieces of art make the viewer feel they are inside the painted scene, even if one piece is small and the other is large. Both works create environments that are simple and direct in their reference to an ageless Japanese reality (Seiroku 107). One element the sake bottle presents that Pine Trees does not is the bottle uses a man-made element it its scene; the sake bottle has a pagoda painted on it. This element causes the viewer to feel as if man had been inside the portrayed environment where Pine Trees does not. Pine Trees leaves the viewer feeling that no one had ever been inside the forest. The use of the mist helps enforce this feeling. It gives it a haunted, untouchable feel. The sake bottle landscape makes the artwork feel approachable. Another difference is that the techniques used in Pine Trees are distinctly Chinese. The techniques used in the creation of the Shoki-Imari Sake bottle were Korean. However, since the Japanese wanted to create ceramics in the manner of the Chinese, the underglaze was painted on in a Chinese style. This specific Shoki-Imari piece however, was not part of the first Shoki-Imari created, since it was formed sometime between 1650 and 1660 (Watson 267). It is in the style of the first porcelains exported by the Dutch, but was created later for the international market; Arita had already ceased production on poorer quality Shoki-Imari ceramics (267). Since the Japanese had already mastered overglaze technique by this time, this bottle was made purposefully with underglaze. The blue and white design was an aesthetic of the Chinese the Japanese were trying to master and created this vase to replicate earlier Chinese models (267). The painting styles of the two pieces of artwork are similar and different. In Hasegawa Tohaku’s Pine Trees, the ink was skillfully applied with â€Å"varying degrees of thickness to create the effect of pine trees partly hidden in mist, the work as a whole giving a strong sense of economy, vividness, and clarity of conception,† (Tazawa 84). Some of the ink of the trees is so dark that some individual branches are indistinguishable, yet they seem closer and more clear than those painted lightly. In some parts of the painting, there is nothing painted at all, but it is still clear that the forms of the trees are still there, even if only implied. For the most part, the use of hue in Pine Trees is not the same as the Shoki-Imari sake bottle. Some parts of the trees are painted darker than others, but only to give the individual trees added detail. There are some varying hues of the mountains and land in the bottle, but not in the same sense as Pine Trees. The mountains are not painted in detail either; they are only outlines, leaving the inside hollow. The lightest object on the entire bottle is, surprisingly, the man-made pagoda. The lightness of the pagoda assumingly expresses the Japanese respect for a nature. Each piece of artwork has something in common and something different in the way they portray the tree branches. In Pine Trees, Hasegawa Tohaku curves the branches, sloping toward the ground. But at the same time, there is a slight element of the Ma-Yuan Chinese influence on Japanese painting. The trees have a slight angular nature to them. It is not something that is noticed at a mere glance, but upon further study, you can see the implied angular nature of an older style of painting. He clearly studied the style and made it his own. The brushstrokes imply a hidden angularity in the forest. The Shoki-Imari sake bottle does not use any angularity, but it has another interesting element. The two trees in the foreground sit at an angle and curve with the roundness of the bottle. The mountains also protrude into the neck of the bottle. This method of following the lines and curves of the bottle makes the environment seem more real by conforming to the three dimensional object. Another element that the two pieces of art have in common is depth. The Shoki-Imari sake bottle certainly does not use a thickness in the brushstrokes to convey this. It conveys depth by the placement of the objects. The mountains are painted above the tree line with little overlap. A river flows from the base of the mountains to the middle of the bottle where the pagoda is located in the middle of the tree. The tree come up from the ground at an angle and curve to either side so that they have varying heights. The combination of each of these elements puts the trees in the foreground and the mountains in the background, with the pagoda and some vegetation in the middle. This creates a sense of depth, which was a newer element in Japanese art. Each of the brushstrokes on the bottle is deliberate and creates line for the eye to follow. Hasegawa Tohaku’s painting creates depth, if not more so than the bottle, but by using a different technique. The varying levels of ink he applied to the trees and the lack of ink used in the midst creates an intense depth. It is presumable that all of the trees are planted at the same relative level, but by having the darker trees at varying heights and painting the other trees at varying hues, he created an incredible amount of depth on a flat surface. He created a forest from a row of trees. 6. Conclusion The Shoki-Imari sake bottle and Hasegawa Tohaku’s Pine Trees are obviously very different pieces of art. Pine Trees is ink, black and white, large, on a folding screen and from the Momoyama period. The Shoki-Imari sake bottle is porcelain, underglazed, small, blue and white and from the Edo period. They were created roughly fifty years apart. However, they both express a minimalism that reflects an essence of Japanese aesthetic. Both pieces of art say more with what is understated. They are simple pieces; but the history behind these works and the processes involved are incredibly complex. I find both them both incredibly powerful, peaceful and refreshing.

Friday, September 20, 2019

The Hospitality Industry Of Malaysia

The Hospitality Industry Of Malaysia Around the world, the hospitality industry has been marked by growing at an unprecedented rate . There has increased focus on the hospitality industry as an industry of global dimensions. Today, the hospitality industry is considered as a successful sector especially there are more and more consumers look at the quality not merely quantity. Consumers will not be attracted by merely a large quantity of products offered, but they will pay attention to the quality of the products and service provided. Hence, the hospitality firms put more emphasize in customers needs and requirements so that the customer will feel satisfy. Dupre and Lane (1997) have mentioned that the historic ability of hospitality industry to anticipate customer needs has contributed to its successful in global economy. When asking about the components of hospitality industry, most people will give answer of hotels and restaurants. In fact, hospitality is just like a big umbrella. It is a people-oriented industry and involves employers, employees, and customers. The business of hospitality is created when the needs for certain services emerge for people away from home. People may travel from one country to another one, or travel from one state to another state. They may also travel to a place nearby their house. Those people need a place to eat or sleep. That is hospitality industry which provides these two distinct services that satisfy people needs that are sleep and eat. Thus, under the big umbrella of hospitality, there are two main sectors which included lodging and foodservice (Jones, 2002). Hospitality industry has provided the shelter for people staying away from home and provides food and beverages for people eating away from home or not prepares their own meals. Lodging sector involves the provision of facilities for overnight or longer time services to guests. In the view of most people, lodging is simply a place for people to sleep. For others, lodging is not just a place to sleep but it also provide entertainment and recreation facilities. In other words, lodging sector not just refer to hotels but it is also include lodging with entertainment facility such as cruise ships and spa resort, lodging affiliated with recreation like camping, and also lodging with health care such as assisted living centers. Each customer has different needs and requests towards their place to stay. Therefore, hospitality industry offer many types of lodging to satisfy varying customer preferences range from budget or economy motel to luxury hotels to extensive resorts. On the other hand, foodservice sector involves provision of food and beverages for consumption of patrons. Traditionally, the two main categories in foodservice sectors are commercial and noncommercial foodservice establishments. In commercial foodservice establishments, the preparation and service of food is the primary activity. Meanwhile, the preparation and service of food is secondary activity for noncommercial foodservice establishments. According to Dupre and Lane (1997), the commercial foodservice operations can be further categorized as stand-alone restaurants, foodservice within a lodging property, clubs, and catering. Meanwhile, the noncommercial foodservice operations are broken down further to restaurants within other establishment, eatertainment (combine the concept of eating and entertainment), and institutional establishment. The hospitality industry has its roots lie in social life. It is shaped by society and continues changes based on it. The societies often changes in what they need and what they want. Therefore, hospitality will continue changes with the changes in societies. Nowadays, leaders in hospitality firms go beyond the traditional skills in operation. They need to have the ability to understand and give quick respond to the changing world. They should also able to predict the changes in advance. For instance, people now are become increasingly concerned about the environmental issue. Because of this, more and more hospitality firms are aware about this and have increasingly encouraging environmental-friendly practices. They have adopted some changes in order that they can align themselves as environmentally conscious player. In Malaysia, the hospitality industry has experienced a positive increase consistent with the growth of global hospitality industry in recent years. In our country, the hospitality industry has become the major pillars of national economy. Zain (as cited in Lean and Chor, 2010) has highlighted that Malaysia which has visited by 16.4 million visitors in year 2005 has been awarded as the second most visited destination in Asia in that year. Tourism arrivals to Malaysia have achieved 23.6 million in year 2009 and have contributed to RM 53.4 billion. The arrivals of tourists have increased 7.2% compared to 2008 (Ministry of Tourism Malaysia, 2009). Despite the slower growth of Malaysia economy due to global economic crisis and concerns regarding H1N1 flu, the tourism industry has rebounded quickly. In 2009, there are approximately 2,373 hotels that contribute to a total room supply of 168,844. Besides, Malaysia hotel occupancy rate in 2009 was at 60.9% (Ministry of Tourism Malaysia, 2009 ). In addition, hotels in this country have been awarded accolades in world award shows. Pan Pacific Kuala Lumpur International Airport Hotel has voted as the Worlds Leading Airport Hotel for second year running in 2009 (World Travel Awards, 2009). Such awards show Malaysia hospitality industry has world-class standard. This study is conducted to provide information for public to have more understanding and increase awareness of Malaysia hospitality. Moreover, the hospitality firms in our country can obtain information regarding this industry. They can know about the Malaysia hospitality more thoroughly and use the information for planning and management at national and international levels. This is also can be used as referential framework by schools and institutes to educate and train their students. 1.2 Problem Statement Hospitality industry is the worlds largest and fastest growing industry. It is one of the major contributors to global economic growth. The hospitality related service has become more and more significance in recent years (Tsaur and Lin, 2004; Barros, 2005). Concurrent with the growth of hospitality industry, it has triggered a complementary need for growth in hospitality information. Thus, research has become an important tool for private and public sectors in this industry to gather information on the hospitality. In addition, the hospitality industry is considered as a competitive global industry (Claver and Pereira, 2006). This industry is unique since it involves people serve people. The performance of this unique operational system can have strong influence on the firms, the employee, and the customers. Therefore, the hospitality firms have to in touch with the markets in terms of recent trends and changes. They need to have thorough understanding of hospitality industry. Through a better understanding of hospitality and understand its uniqueness in our country, the hospitality firms are able to know better about the hospitality and can build competitive strategy. Although there are many research in hospitality, there is little research has been conducted on Malaysian hospitality. People always heard about French service, English service, American service, Thai Service and other services. Each service has its own characteristic. They have their own way to provide the service. Nevertheless, public is not clear about Malaysia hospitality and its characteristics. Malaysia hospitality does not have a clear edge. This study aims to explore the way that hospitality firms in this country to provide the service in Malaysia way. 1.3 Objectives To define what Malaysia hospitality concept is and investigates how service is provided in Malaysian way. To identify the difference of Malaysia hospitality from other service and thus understand about strengths and uniqueness of Malaysia hospitality. To propose Malaysia hospitality. 1.4 Research Questions How Malaysia hospitality firms provide service in its own way? What are the characteristics of Malaysian hospitality? What is the attractiveness of Malaysia hospitality? CHAPTER 2 LITERATURE REVIEW 2.1 Definition of hospitality The word hospitality is derived from the Latin hospitis that is origin for hospital and hospice (Barnhart, 1988). The past literatures have shown many meanings of hospitality. Grove (1965) has defined hospitality as a hospitable act or practice with sincere and generous welcome and entertainment of strangers and guests either socially or commercially. Collins Concise English Dictionary Plus has been sum up the definition of hospitality as kindness in welcoming strangers or guests (Hanks, 1989, p. 604) which is considered as the main theme of hospitality from the dictionary definitions from the 1930s to 1999s. Some definition of hospitality is too general to explain it. For instance, hospitality has interpreted by Tideman (1983) as the way that makes the guests feel satisfy and provision of desired quantity and quality of goods and services with acceptable price for the guests. This definition is too general to explain the definition of hospitality since it is actually can used to define almost any economic activity. Other academic paper has explained definition of hospitality in more holistic ways. For instance, Cassee (1983) interpreted hospitality as a harmonious mixture of tangible and intangible components food, beverages, beds, ambience and environment, and behaviour of staff (p. xiv). This definition has modified by Cassee and Reuland (1983) to a harmonious mixture of food, beverage, and/or shelter, a physical environment, and the behavior and attitude of people (p. 144). These definitions avoid the problem of conflating definitions of hospitality with the hospitality industry but continue to exhibit the underlying assumption that hospitality is something that is, principally, commercially created for consumption. In the past, hospitality has known as social value in western country. When the time passes, hospitality has been explained in a more detail way. When the time passes, hospitality has been explained in a more detail way. According to Gilje (2004), hospitality is a moral imperati ve, kindliness, civility, and even a legislated duty. 2.2 Characteristic of hospitality industry Hospitality is a special operational system which is considered as people industry. It is a service business that the hosts provide service to guests who are apart from home (Brotherton, 1999). One of the characteristics of hospitality industry that is stated by Walker (2008) is the operation time of 24 hours a day and 365 days a year for hospitality businesses. Walker (2008) also pointed out that the personnel in hospitality industry have to work longer time when compared to the other industries due to its long hours operation time. The personnel in this industry even need to work during the holiday, while others are enjoy their free time. In operation of hospitality business, many peaks and valleys happen. In a hotel, there are seasonal fluctuations which are months that have high, low, or moderate volume of business. In addition, weekly fluctuations also can be seen in hotel. There are differences of business volume between weekdays and weekend. Even in a day, there is actually has peak and valley time. Lots of the customers will patronize the restaurant during the meal period (Lane and Dupre, 1997). The hoteliers as the hospitality providers act as hospitable host and also security officer. It is very hard to play these two roles due to the unlimited time and public access of a hotel. However, these roles are essential to make the uninvited guests feel welcome and those uninvited guests do not create any security problems. In fact, the hospitality firms make great efforts to bring outstanding customers satisfaction. This not only can lead to loyalty of customers but also profit for the firms (Walker, 2008). In addition, Hepple, Kipps, and Thomson (1990) have mentioned that hospitality consists of both tangible and intangible components. The tangible components are the physical products while intangible components refer to services. Services cannot be touched, seen, tasted, smelled or heard before being purchased (Lockyer, 2007). Christopher, McDonald, and Wills (1980) have mentioned that products in service industry can produce a series of benefits. However, these benefits cannot be stored for future use. When a hotel does not sell out rooms for certain night, the revenue for those unoccupied rooms is lost permanently. Those unoccupied room cannot be stored like other inventory and hence the products provided is considered as perishable (Mullins, 1993). Walker (2008) has explained another characteristic for hospitality industry which is inseparability. Both the host and guests are indispensable in the transaction in hospitality industry (Brotherton, 1999). There is interaction exist between the hospitality provider and receiver. Lockyer (2007) has recognized that customer-employee contact as part of the product. Customers may dissatisfy with the poor service delivery despite the high quality of food. Customers are also considered as part of product. The behaviour of one group of customers such as make loud noise can influence other group. 2.3 Components of Hospitality Industry According to Jafari (2003), hospitality comprised of two components which are lodging component and foodservice component. 2.3.1 Lodging Component Lodging sector involves accommodation service which is the provision of facilities for people who stay away from their home (Jones, 2002). According to Chon and Sparrowe (2000), lodging sector is actually can more represent hospitality industry since it offer overnight and even long-term service to customers. In the past, lodging sector just provide the simplest and basic form of accommodation, which has known as bed and breakfast. Over the time, lodging is continually to change to appeal the customers. Nowadays, it is not just a place to sleep, but is augmented with washing facilities, comfort facilities, and entertainment facilities (Jones, 2002). 2.3.2 Foodservice Component Jones (2002) has indicated that foodservice sector is the provision of sustenance for those have their meal away from home. Chon and Sparrowe (2000) has highlighted that on-site and commercial foodservices are two elements of foodservice operations. On-site foodservice operations serve people from specific kind of institution which included schools, hospitals, nursing homes, and military. Meanwhile, commercial foodservice operations are different from on-site foodservice since they are open to all customers and compete in free market (Lane and Denise, 1997). 2.4 Hospitality as a service business Business in the food service industry is one of the biggest economic contributions towards a country in term of its hospitality system. Service in hospitality could be tangible and intangible where tangible could be the products sell in the market that can be touch, see, and taste, while intangible could be the unseen service such as food service (Barrows Powers, 2008). It is only can be evaluated by its quality characteristics. In term of business, service may provide and increase the organizations profit (Friedman, 1970). The goal of business in hospitality industries specially, is to satisfy clients. Barrows and Powers (2008) proposed that business in food service industry must satisfy customer needs for example, they wants least expensive food with enough variety and high quality so that they will loyal towards the organization. Therefore, the hospitality firms must implemented lots of business skills and techniques to maintain old customers and increase new customers (Kozak and Rimmington, 1998). Service in hospitality industry needs to meet customers satisfaction besides making profit and create customer loyalty (Lane and Dupre, 1997). In addition, good image of the hospitality industry would at least depends on the service business provide by the organizations under the hospitality system (Kozak and Rimmington, 1998). Thus, service must be treat as a function process where it will help the organization to generate profit, insure high quality, and make every moment count (Lane and Dupre, 1997). 2.5 Importance of Service Generally, service play as a significant role in the customer-oriented industry such as hospitality industry. It was argued that the service quality for the hospitality industry was highly competitive in meeting customer satisfaction (Jeong and Oh, 1998). The importance of customer service in hospitality is highlighted since that customer decision has a significant implication toward the continuous survival of the business in the market based on the degree of customer satisfaction. Tsang (2011) proposed several factors such as integration, moderation, relationship status, and discipline which impacted on the service performed. It is the responsibilities of the server in performing a quality service and creating a memorable experience for the customer while dining in the food service industry. However, the service quality context might respectively divergent for managerial and employee (Ross, 1995). Customer service is the fundamental key factor to success in the hospitality industry despite of keeping the competitive edges. Prompt service is important in meeting the demand of the customer thus creating customers satisfaction. Whereby, it dedicate for building customer loyalty indirectly and good reputation among the customers. This will then develop good reputation and thus allows spreading of positive word-of-mouth which enables attraction of new patronages. For ensuring the continuous survival in this highly competitive industry, the return of the customers is essential. Instead of that, attentiveness and passionate of the staff and server are also the essence of a good quality service in meeting the customer needs and demands. Mavondo and Nasution (2008) reported that the delivery of customer value should be emphasized in assuring customer expectation and need are met. Undeniably, customer satisfaction tends to be higher whenever the service provided beyond the customers exp ectation. A good service usually associated with better customer relationship. Establishing good customer relationship is vital particularly to the hospitality industry. Satisfaction toward quality of service received significantly brings in effect on the business performance in which a good service quality will in turns leads to customers repetitive patronage (Su, 2004). Designing quality service has gradually evolved becoming an important issue in particular in the hospitality industry. The service quality should be continuous and consistence. The first time visit of customer in experiencing the service will definitely affect the decision for their patronage in the future. Nice service experience will lead to retain regular customer as well as developing more business. On the other hand, bad service experience cause towards complaints, negative word-of-mouth, lower satisfaction, and reputation loss. CHAPTER 3 METHODOLOGY 3.1 Research Design This study aims to explore Malaysia hospitality, in which the service provided in Malaysia own way. It is considered as an exploratory study since there is little research previously done on the Malaysia hospitality (Jennings, 2001). The method used in this research is qualitative method. Jennings (2001) has suggested that qualitative method is applied in exploratory study because of the flexibility of data collection approaches. Furthermore, this type of study is not based on random sampling and representation of a studys population. Moreover, qualitative method is used to explore the perspectives, experiences, attitudes, and belief of the respondents (Holloway, 1997). 3.2 Subject The target population in this study is the industry experts in hospitality industry. They included the managers of hotels and restaurants. 15 managers of four or five star hotels and restaurants are selected. As they have rich knowledge and experience in field of hospitality, they can give their perceptions and opinion towards Malaysia hospitality. 3.3 Sampling Site This study will be carried out around Klang Valley. It is comprised of Kuala Lumpur and towns in Selangor. Hence, Klang Valley can be considered as the main city in Malaysia. It is the place that most of the tourists from other countries and even local residents will visit. Moreover, the hospitality industry in Klang Valley has grown extensively. Thus, Klang Valley is chosen as the sampling site. 3.4 Sampling procedure The sampling method used in qualitative research must provide information-rich data and serve the purpose of in-depth understanding (Altinay and Paraskevas, 2008). Thus, judgment sampling is used in this study. Judgment sampling is often used in qualitative investigation. The samples are chosen based on their expertise in the research topic who can provide information required (Sekaran and Bougie, 2009). 3.5 Data Collection Method Interview method is conducted since exploratory research can be studied by interviewing individuals (Sekaran and Bougie, 2009). Interview method provides access to experience and knowledge, and gives an opportunity to explore the issue investigated (Altinay and Paraskevas, 2008). The interview involves data collection through face-to-face interaction. By face-to-face interview, the nonverbal cues from the respondents can be noticed. The respondents facial expression and body language are observed for better interpretation of the views (Sekaran and Bougie, 2009). In addition, the interview technique of unstructured interviews is chosen. In this technique, the interviewer has some broad questions related to the issue studied in the interview guide (Jennings). By unstructured interviews also, rich data and thick descriptions of the world being studied can be collected. Open-ended questions are used in this research. Crowther and Lancaster (2008) have noted that open-ended questions are suitable for interview method as they can provide deeper insights responses and richer information. 3.6 Instrument Development A list of interview questions needs to be developed. According to Creswell (2003), the data collection of qualitative research should be conducted in the natural setting which always refers to the home or office of the respondents. Hence, interview will be conducted in the office of manager in the hotel or restaurant. Due to this, there is a need for the permission of interview. Information from the respondents is recorded by handwritten notes and audio taping during the interview (Creswell, 2003). According to Crowther and Lancaster (2008), the electronic device is used to record the interview in order to record the whole interview for future reference. 3.7 Data Analysis Walsh (2003) has noted that qualitative data analysis involves summarize the data and then identify related themes and patterns. Data reduction is the first step in qualitative data analysis since qualitative data collection collects large number of data. It can be done through coding and categorization (Sekaran and Bougie, 2009). The data collected is categorized and transcript. Moreover, a coding scheme is created to organize concepts (Walsh, 2003). According to Sekaran and Bougie (2009), the second step is data display. In this step, the reduced data is presented in an organized mode. Maps, charts, matrices, graphs, or diagrams can be used to find out the existence pattern. Conclusion drawing is the last step in data analysis. Qualitative theory is generalized by explaining the observed pattern and relationships, or comparing data against other data. CHAPTER 4 CONCLUSION As a conclusion, we hope that rich information can be obtained by interview the manager in hospitality firms during data collection time. By interpreting that information, we can have a clear concept about Malaysia hospitality. Hence, Malaysia hospitality can be defined clearly through this study. This study is useful for public and hospitality firms in knowing the details and understands about the service provided in Malaysia. When the hospitality firms understand about the Malaysia hospitality, they can provide service in Malaysia way.

Thursday, September 19, 2019

The American Dream: Success, Happiness, And Money :: American Dream Essays

I believe that the American Dream today is based on success, happiness, and money. The reason i think this is because the reason people go through all those years of schooling is to become succufal, in return for being successful you make money, and because of money you can get and do the things you want, which in return makes you happy. Happiness is not all money, it also has to do with love. Lets first start off talking aboutnthe success, and money part. American children start school at the tender age of four. In pre school you are taught to get along with other kids, and to share, and color in the lines. In Kindergarten You first get an intro. to reading and write-in, and in some schools a little simple addition, and subtreacing. Then from there you move on to grade school, first grade through fifth grade. These years you are taught lot of math, reading, writing, and also penmanship in script. You also get a taste of history. When you get to middle school you learn more in depth about everything you learned in earlier years. Finally in High School, everything you have learned is intensified, and you get prepared for collage, and learn more of everything. Then you have to make a decision, If you want to be Successful and make Lot of MONEY you have to go to collage, for a nether four years, at the end of that ordeal you can settle in with Bachelors degree, or a nether one or two for a masters. This will bring a decent income. But if you want the really good jobs you need nether three or four years to get a doctorate degree, or a law degree. What I have just described is what a modern American kid has to go through to be considered suscefull and to have money, I mean we are talking about 22 tears of different types of school. this almost thirty percent of your life spent in school so the rest of your years can be good ones. Lastly I will discuss happiness. Many people think haplessness revolves around money, and many people don't. I personally think it does to a certain degree. I think you don't need to be rich or successful to be loved and have a nice family.

Wednesday, September 18, 2019

Familial DNA Searching Essay -- Genetics

Nowadays, DNA is a crucial component of a crime scene investigation, used to both to identify perpetrators from crime scenes and to determine a suspect’s guilt or innocence (Butler, 2005). The method of constructing a distinctive â€Å"fingerprint† from an individual’s DNA was first described by Alec Jeffreys in 1985. He discovered regions of repetitions of nucleotides inherent in DNA strands that differed from person to person (now known as variable number of tandem repeats, or VNTRs), and developed a technique to adjust the length variation into a definitive identity marker (Butler, 2005). Since then, DNA fingerprinting has been refined to be an indispensible source of evidence, expanded into multiple methods befitting different types of DNA samples. One of the more controversial practices of DNA forensics is familial DNA searching, which takes partial, rather than exact, matches between crime scene DNA and DNA stored in a public database as possible leads for further examination and information about the suspect. Using familial DNA searching for investigative purposes is a reliable and advantageous method to convict criminals. Familial DNA searching works by using the combined DNA index system (CODIS) to compare DNA samples taken from crime scenes to DNA profiles already recorded in the local, state, or national criminal DNA database. There are many indexes in the database; two of the largest are the offender index, a catalogue of DNA profiles from previously convicted felons, and the forensic index, a catalogue of DNA from crime-scenes. A DNA sample is run through the database by CODIS’ matching algorithm that searches the indexes against one another to generate matches according to how often base pairs, or â€Å"markers,† repeat in th... ...of Justice, 1 Sept. 2011. Keiper L. More states use familial DNA as powerful forensic search tool. Reuters [Internet]. 2011 [cited May 16 2012]; N. page. Available from: http://www.reuters.com/article/2011/03/30/us-crime-dna-familial-idUSTRE72T2QS20110330. Riley S. How familial DNA can help crime victims. The Grio [Internet]. 2010 [cited 16 May 2012]; N. page. Available from: http://www.thegrio.com/opinion/how-familial-dna-can-help-crime-victims.php. Singer N. In Fighting Crime, How Wide Should a Genetic Net Reach? The New York Times [Internet]. 2010 [cited 21 May 2012]; N. page. Available from: http://www.nytimes.com/2010/07/25/business/25stream.html?_r=1. Steinhauer J. â€Å"Grim Sleeper† Arrest Fans Debate on DNA Use. The New York Times [Internet]. 2010 [cited 21 May 2012]; N page. Available from: http://www.nytimes.com/2010/07/09/us/09sleeper.html?pagewanted=all.

Tuesday, September 17, 2019

The Other Side of Truth

‘The Other Side of Truth’ is a novel written by author, Beverly Naidoo. The novel is mainly based on telling the truth and lying, and when it is right to do either. In the book are various types of situations where characters need to make a decision on whether to lie or to tell the truth. Beverly Naidoo provides the correct decisions and the wrong ones in the story. Naidoo shows in the novel, when it is ok to lie and when it is not. Naidoo suggests that if your life is in danger it is considered ok to lie, but if you assume your life is still in danger when it’s actually not you might accidently lie to the wrong people.Naidoo displays this when Sade and Femi find the father in a detention centre and ask him why he is not able to come back home with them. Folarin says that he cannot because Sade lied about who they were to the officials. Now the officials do not believe Folarin when he says that they are his kids. There is a sthrong message that sometimes one lie i s ok in the right circumstances, but consecutive lies could end you up in a lot of trouble. An important quote from the book states this idea, â€Å"A lie has seven winding path, the truth has one straight road. pg. 148. Lying could be a very dangerous thing, telling the truth is the best way to go, but even the truth can land you in trouble. The truth is a very powerful thing, it is important that you tell it, this is portrayed by Naidoo in her novel. Naidoo has based the whole novel around the truth. In the story it is used when it should and shouldn’t be. Folarin Solaja is the main protagonist in the novel when it comes to the importance of telling the truth. He states several quotes about how important in his mind, it is to tell the truth.

Monday, September 16, 2019

Effects of Music on the Growth of Mung Beans

CHAPTER V SUMMARY, CONCLUSION AND RECOMMENDATIONS This chapter presents the summary of finding the generalization of the conclusion and the recommendation for the further improvement of the study. I. Summary of Findings 1. Music affects the growth of Mung beans. As established in the experiment and based on the data gathered, music has a great effect on the growth of Mung beans. The varying degree of effect is dependent on the type or tempo of music to be played. 2.In general, music helps in the growth of plants. It hastens the growth of plants. As we conducted and observed our experiment, we noticed that classical music helps the Mung beans' growth. Plants exposed to rock music grew slower than those exposed to classical music; however, they grew faster than those exposed to no music. 3. The growth of the green variety of Mung beans is faster than those of the yellow variety in any of the environment they were subjected to.II. Conclusions 1. Music affects the growth of Mung beans as we observed the set-ups. The different aspects that we have observed where music was involved were the plant's height and the number of leaves produced. 2. Music helps the Mung beans' growth and does not hinder their development. 3. Music, more specifically the classic music, has effects on the growth of Mung beans especially on the growth of the green variety. III. Recommendations 1.As we have proven through the data gathered that music hastens the growth of plants, we recommend promoting the use of music in planting and other agricultural activities. This can be done through discussions in the different fora to bring to the awareness of the authorities and the agricultural sector the benefits of music in planting. 2. We recommend that in the utilization of music for plant growing, you should use classical music in order for you to grow your plants faster. 3. We recommend that further study be conducted to validate the findings of this paper.

Sunday, September 15, 2019

Catharine Beecher and Charlotte Perking Gilman Essay

In the article â€Å"Catharine Beecher and Charlotte Perking Gilman: Architects of female power† the author attempts to compare and contrast the convictions and beliefs of Charlotte Gilman and, her great-aunt, Catharine Beecher. One of the most important factors that is seen repeatedly in the article, is the concept that the environment encompassing the home is the center of all commerce for a woman. This thought process continues to build and establishes the idea that what begins in the home continues to radiate out into the lives of the woman and her family. Each female author further attempted to define the roles of a woman directly corresponding with the roles beginning in a woman’s private life and extending into the public life. Although Catharine Beecher and Charlotte Gilman had completely different interpretations of this ideology, the fact that the foundation of the argument was the same purports that the concept, regardless of interpretation, could have some b asis on reality. The author of this article, Valerie Gill, very thoroughly cites from not only Catharine Beecher’s books â€Å"A Treatise on Domestic Economy† and â€Å"American Woman’s Home,† but also from Charlotte Gilman’s book â€Å"Moving the Mountain† and several of her lectures and articles including an article titled â€Å"Applepieville.† Gill (1998) states, that â€Å"Like Catharine Beecher, Gilman links the role of the women to the general health of the social system; the dependent and isolated situation of women in their homes†¦Ã¢â‚¬  (p. 2). Gill (1998) goes on to further state that â€Å"In spite of their different strategies for defining and locating women, however, Beecher and Gilman share an interest in the topography of female experience† and that â€Å"Both writers conceptualize the identity of women in spatial as well as socioeconomic terms, assuming that the fulfillment of their own sex can be quite literally mapped o ut.† (p. 2). The article then moves into much greater detail, analyzing each woman’s many forms of printed material. The extent and degree of information and detail written in this article about each represented author and their contributing works can ultimately be  seen as one of the articles main strengths. However, although this article gives a vast amount of information on the women’s opinions and beliefs the article at times seems disassembled and erratic. The flow of the article is somewhat hard to follow, and without an increased measure of concentration, the ability of the reader to comprehend and decipher whom the author is speaking of can be lost. Also, with the extensive amounts of information and detail that each female author contributes to the argument, readers are bombarded with data to interpret and distinguish upon. With the author of the article not decisively choosing the strongest points of argument from each author, the information becomes overwhelming and possibly confusing at times. The article â€Å"Catharine Beecher and Charlotte Perking Gilman: Architects of female power† attempts to give readers two different perspectives of a woman’s role in her home and how this affects her presence in society. Readers are given a multitude of supporting facts from both women’s interpretations on the topic. This fact, in certain circumstances, proves to be not only a strength of the article but also a weakness. Regardless of how each woman author interpreted these ideals, the simple fact remains clear that each assumed the role and presence of a woman becomes clearly defined as beginning in the home. References Gill, V. (1998). â€Å"Catharine Beecher and Charlotte Perking Gilman: Architects of female power†. Journal of American Culture, 21 (2). Retrieved from http://ctcdns02.ctcd.edu:2122/search/multiSearch.do;jsessionid=F6C4B68D9202464AFE8BAF1AC27987B8

Saturday, September 14, 2019

Nelson mandela Essay

in India, discriminatory attitudes towards men and women have existed for generations and affect the lives of both genders. Although the constitution of India has granted men and women equal rights, gender disparity still remains. There are limited opportunities for women in sectors which traditionally demand for men to participate, such as armed forces. Although women also have mostly off-front job opportunities within the army. There is specific research on gender discrimination mostly in favour of men over women. Due to a lack of objective research on gender discrimination against men, it is perceived that it is only women who are suffering. The research often conducted is selectively sampled, where men are left out of the picture.[1] Women are perceived to be disadvantaged at work, and conclusions are drawn that their capabilities are often underestimated. Discrimination towards Women Infancy to childhood Both women and men are important for reproduction. Sex is very important between a male and a female to ensure continuity of human species on the earth. The cultural construct of Indian society which reinforces gender bias against men and women, with varying degrees and variable contexts against the opposite sex,[3] has led to the continuation of India’s strong preference for male children. Female infanticide, a sex-selective abortion, is adopted and strongly reflects the low status of Indian women. Census 2011 shows decline of girl population (as a percentage to total population) under the age of seven, with activists estimating that eight million female fetuses may have been aborted in the past decade.[4] The 2005 census shows infant mortality figures for females and males are 61 and 56, respectively, out of 1000 live births,[5] with females more likely to be aborted than males due to biased attitudes. A decline in the sex ratio was observed with India’s 2011 census reporting that it stands at 914 females against 1,000 males, dropping from 927 in 2001 – the lowest since India’s independence.[6] The demand for sons among wealthy parents is being satisfied by the medical community through the provision of illegal service of fetal sex-determination and sex-selective abortion. The financial incentive for physicians to undertake this illegal activity seems to be far greater than the penalties associated with breaking the law.[7] Childhood to adulthood and education Education is not widely attained by Indian women. Although literacy rates are increasing, female literacy rate lags behind the male literacy rate. Literacy Rate Census of India 2001 and 2011 Comparison Literacy for females stands at 65.46%, compared to 82.14% for males.[8] An underlying factor for such low literacy rates are parents’ perceptions that education for girls are a waste of resources as their daughters would eventually live with their husbands’ families and they will not benefit directly from the education investment.[9] Adulthood and onwards Discrimination against women has contributed to gender wage differentials, with Indian women on average earning 64% of what their male counterparts earn for the same occupation and level of qualification.[10] Discrimination against women has led to their lack of autonomy and authority. Although equal rights are given to women, egality may not be well implemented. In practice, land and property rights are weakly enforced, with customary laws widely practised in rural areas. Women do not own property under their own names and usually do not have any inheritance rights to obtain a share of parental property.[1] D

Acrylic polymer is derived from the monomer methyl metharcrylate or MMA

When modern man discovered plastic and its myriad of uses, there was no turning back. Today, plastics figured prominently in the lives of 21st century people. It is almost impossible to live comfortably without this substance. And among the many kinds of polymer there is perhaps nothing more versatile and very much in demand than acrylic polymers. This paper will look into the chemical properties and the myriad of uses for the compound normally designated as PMMA or Polymethyl methacrylate. Chemistry Acrylic acid (H2C – CHCOOH) was synthesized in 1843 according to Charles Carraher (2003, p. 160). Then he goes to add that ethyl methacrylate (H2C – C(CH3)COOC2H5) was synthesized and polymerized in 1865 and 1877, respectively (2003). With regards to polymerization e.g. acrylic or methacrylic acid, it must be done in an aqueous solution at less than 20-30% concentration (Feldman Barbalata, 1996). â€Å"Besides water, a conventional recipe involves an initiating system (potassium persulfate and sodium thiosulfate) and chain transfer agent† (Feldman Barbalata, 1996). Acrylic polymer is derived from the monomer methyl metharcrylate or MMA. Polymers can be divided into two groups: thermoplastics and thermosets. And that majority of them are thermoplastics meaning once the polymer is formed it can be heated and reformed over and over again (see American Chemistry Council, 2007). This major attribute alone is enough to make scientists and businessmen to be very interested in the application of the product. But interestingly there are many more surprises up the sleeves of the thermoplastic polymer.Properties The following attributes can be seen in most polymers and especially so to acrylic polymers: 1.  Ã‚  Ã‚  Ã‚  Ã‚   Has a light transmittancy of about 92% with particular clarity at lower wavelength of 270 to 350 nm (Whitaker, 1996) 2.  Ã‚  Ã‚  Ã‚  Ã‚   Has good resistance to weathering 3.  Ã‚  Ã‚  Ã‚  Ã‚   Good mechanical strength 4.  Ã‚  Ã‚  Ã‚  Ã‚   Dimensional stability along with high tensile and flexural strength (Whitaker, 1996) 5.  Ã‚  Ã‚   Chemical resistance – including salts, bases, aliphatic hydrocarbons, fats and oils, most common gases, and inorganic chemicals as well as dilute and concentrated solutions of most alkali Applications According to Feldman and Barbalatat, the most important usage of acrylic polymer is in the manufacture of adhesives, thickeners, coatings, flocculants, dispersants, fluidizers, in cosmetics, pharmaceuticals, ion exchange processes and textile processing (1996). Now, a few years after acrylic polymer was first introduced by the scientific community, the said substance was first used as interlining for automobile windshields (Carraher, 2003). Since acrylic polymers exhibit good resistance to weathering it is widely used in thermoformed signs, aircraft windshields, and bathtubs. Acrylic polymers have long been used in the manufacturing of cuvettes, tubing connectors, speculums,and many other medical devices requiring impact strength, chemical resistance, biocompatibility, and clarity. In fact it occupies a, â€Å"†¦prominent place in the market for clear, disposable plastic – only glass transmits light as well† (Whitaker, 1996). In the medical field, acrylic polymers have shown its versatility and all around usefulness. From the start medical professionals were already well acquainted with the substance because it was used in the manufacture of incubators. In 1955 its range of usage was expanded when the first acrylic prosthesis was implanted. This probably came after its success as a primary material for aircraft canopies during World War II – pilots suffered fewer infections from shards of acrylic than they had from glass (Whitaker, 1996). Aside as an important component of cuvettes and tubing connectors, it is also used to produce test kits, luers, drainage wands, syringes, blood filters, blood pump housings, fluid silos, surgical blade dispensers, surgical trays etc. Finally, acrylic polymers is not only superior in terms of chemical resistance, clarity as a thermoplastic, and durability which is highly prized in the medical field. This substance is also easily recyclable, â€Å"Acrylic burns extremely clean [†¦] with end products of carbon dioxide and water. In addition, the material offers superior recyclability: acrylic can be reground and reused, which results in less material waste during molding† (Whitaker, 1996). But there is more. The said material can be depolymerized back to its monomer, thoroughly purged of its impurities, and then can go full circle back into PMMA. This is a true recycling process, whereas most other recycling processes involve crushing the material and using it in applications with lower specifications (Whitaker, 1996). In the world of plastic, acrylic polymers belong to the top shelf. The range of its applications is a great help in the development of many industries especially in the medical field. Among other things it has provided cost-efficiency and safety concerning the medical practice and other industrial purposes. References American Chemistry Council. (2007). The Basics – Polymer Definition and Properties. PlasticResource.com [online] Accessed 08 May 2007 from http: www.plasticresource.com/s_plasticresource/sec.asp? TRACKID=CID=124DID=226 Carraher, C. (2003). Giant Molecules: Essential Materials for Everyday Living and Problem Solving. New Jersey: John Wiley Sons, Inc. Feldman, D. Barbalata, A. (1996). Synthetic Polymers: Technology, Properties, Applications.    New York: Chapman and Hall. Whitaker, W. (1996). Acrylic Polymers: A Clear Focus. Medical Device Industry [online] Accessed 08 May 2007 from http: www.devicelink.com/mpb/archive/06/01/001.html.

Friday, September 13, 2019

Driessen Essay Example | Topics and Well Written Essays - 750 words

Driessen - Essay Example Paul Driessen's book Eco-Imperialism: Green Power, Black Death considers the subject of how the extremists of the environmental lobby within the rich and developed countries of the west are pushing their own ecological standards upon those of the less developed world (Driessen, 2003). Paul Driessen has worked within the Senate and Department of the Interior as well as being involved in support groups. However, through out his time in Washington he has slowly realised that the process of support for the environment has slowly ground to a halt, or has become so blinkered by its own ideologies that it has stopped accepting fresh new ideas and evidence that would help saves the lives of billions (Driessen, 2003). Driessen puts forward the statement that has been argued by many that the environment and theories concerning its values should always be taken into consideration and placed over saving human lives. This statement and its actions is seen as being the cause of so many lives being lost in the third world countries (Driessen, 2003). What makes matters worse is that many of these eco-imperialist groups are advocating the need to heal the earth, these groups include Greenpeace, who through the many years of its existence may have used up more oil on it's boat the rainbow warrior than any other shipping or whaling industry. Their aim and agenda is to save the world but at the cost of human life, which sadly can be found in much of the third world (Driessen, 2003). Driessen illustrates that those eco-imperialists are purposely and deliberately forcing their own ideals onto the world and as such are responsible for the death of so many lives around the globe. It is ideas such as the removal of DDT as a pesticide that has caused the rise of mosquitoes. This has caused the death of nearly 2 million people a year in sub Saharan Africa (Driessen, 2003). Driessen points out that when DDT is sprayed in the homes there is no risk to the environment or to people. Moreover, it has been illustrated that by using DDT the South African government had stemmed the number of deaths to around 10,000 per year. Sadly when DDT was halted the deaths rose to a staggeringly 62,000 a year and again fell when DDT was reintroduced (Driessen, 2003) Furthermore, the book illustrates the change in economies and demands for new doctrines for Corporate Social Responsibility, in this the demands are placed upon these groups instead of their own goals and profits, sadly once these ideals are defined then the policies that look at human suffering and misery become less important in favour of profit (Driessen, 2003). Driessen offers up the new ethical codes as a questionable way for the eco-imperialists to push for their ideologies upon the world (Driessen, 2003). The argument by such groups that invoke the eco-imperialistic ethos that science, technology and industry should be removed or refused to the third world countries can be seen as once again elitist, how can a country develop if it is refused the technology in which to do so. Many of the third world countries population seek to move out of their stone age huts and live in modern houses with electricity and clean fresh running water, the kind of things at many in the west take for granted. Yet these poor people are denied even the right of living like modern humans by elitist groups whose only ideal is their own back yard

Thursday, September 12, 2019

Political Risk Assignment Example | Topics and Well Written Essays - 250 words

Political Risk - Assignment Example Moreover Wal-Mart customers are based largely U.S population’s beliefs (Overholt, 1982). The strategy used by Wal-Mart to deal with political risk was first by opening up of new Wal-mart super-center in certain cities and areas. They had to make good financial decisions, those areas which were disturbing the welfare of store and not making good profits were avoided. Wal-mart knew profits were not expected in areas which has down falling economy. For example Wal-mart would initiative risk by making more than 1500 jobs in their stores. If the economy goes down the jobs would be eliminated, and they incur a financial loss because a lot of money has been used in training those employees. This brings financial burden to the company. They expanded their stores in Brazil but it has its risk itself. Looking for people to hire and training them took a lot of money and time. Although, Brazil is a wealthy nation like U.S any economic downfall if it was to happen would make the company to incur lose to people, stores and money (Overholt,

Wednesday, September 11, 2019

The Role of the United Nations in Conflict Management During the Cold Research Proposal

The Role of the United Nations in Conflict Management During the Cold War Era - Research Proposal Example As the war progressed, it became reorganized and other countries joined resulting in a military that was made up of seventy million personnel who were drawn from different warring countries. Stevenson (2004) noted that this war was referred to as the first deadliest war in history and it resulted in the death of 9 million people. The second major World War to have occurred in the World’s history is the Second World War that took place between the periods of 1939 to 1945, and it involved two opposing alliances namely the Axis and the Allies, which comprised of over thirty different countries. This Second World War ended with the highest number of fatalities who were placed in the range of fifty to eighty-five million people and it was caused by more or less the same factors that also caused the Second World War. McMahon wrote that after the Second World War, there was great tension primarily between the Soviet Union and the United States, which lasted between the periods of 1947 to 1991. This war was characterized by high levels of tension between the two conflicting sides and there was also mutual suspicion among the two enemies. According to Friedman, the United States, and the Soviet Union, which at that time were regarded as the World’s superpowers were engaged in the Cold War mainly because of economic and political difference between the two countries, as the US was pro-democracy while the Soviet Union was pro-communism. This present research study will focus on the Cold War, which is referred to as â€Å"cold† because of the fact that there were no incidences of large-scale fighting. In particular, this research study will seek to investigate the role that the United Nations played in managing the conflict that was associated with the Cold War considering that it was simply formed after the Second World War on 24th October 1945 to foster international co-operation.

Tuesday, September 10, 2019

African-American Muslims in Philadelphia Essay Example | Topics and Well Written Essays - 1000 words

African-American Muslims in Philadelphia - Essay Example Though the roles of men and women are clearly spelt out in the Quran, the bone of contention is: How are African-American women perceived or treated in this religion? While these women put themselves on the same equal ground as their male counterparts, the media and Americans in general see them as a subjugated group. Sunni African American women believe that Muslim is the first and only religion that is centered on feminism. They recognize this religion as their source of redemption in a male dominated world. Even though their opinions and views may seem absurd to most Americans, the religion keeps growing in popularity among the Blacks. It is worth noting that men were attracted to Islam as it put a lot of emphasis on male leadership1. Elijah Muhammad used this opportunity to affirm the role of both men and women in religion, leadership being the primary role of men. In African-American churches, leadership positions were mostly taken by women with one overall male leader- the pastor. Black women were also attracted to Islam despite being reduced to housewives and child bearers by the sect. This was due to how they viewed Muslim men and the respect that the religion accorded women and children. Unlike their irreligious or Christian counterparts, Muslim men were responsible, focused, loved their women and were always smart in suits. This attracted the women to the sect. Many came from abusive and dysfunctional families; Islam offered a source of reprieve and comfort for them. Elijah called for the men to protect and provide for their black women to preserve the purity of black skin and to discourage interracial relations with the whites. It was not for the benefit of the black women. In fact, men were in control of their spouses bodies. The only time men were not allowed to copulate with their wives was during menstruation and when they were sick. Regardless of whether she was in the mood or not, a Muslim woman was mandated by her religion to meet her

Monday, September 9, 2019

Adolescence and the Internet Essay Example | Topics and Well Written Essays - 1000 words

Adolescence and the Internet - Essay Example This use of the Internet has created interest in researchers. Studies on the impact of the Internet on the welfare and development of adolescents have resulted. The focus of these studies has been on the manner of use by the adolescents and the potential risk of exposure to anonymous communication, from within or outside the adolescent group. The findings of these studies have raised concerns over the negative impact of the use of the Internet. This article by Elisheva F. Gross attempts to negate these concerns. It focuses on the positive aspects of the adolescent use of the Internet. Additional topics explored are motives for use of the Internet, actual online behavior and strategies for the prevention of online dating. The article by Elisheva outlines the three propositions that were the result of earlier studies. These are that gender predicts usage; the Internet may lead to social isolation and depression and the tendency to use anonymous identities by adolescents. She attempts a comparison of these propositions with the findings of her research into the online behavior of adolescents. The main thrust of the argument of Elisheva against these propositions is that they are based on particular empirical studies or case-based questions. Such methodologies lead to biased and inaccurate research findings. In support of her contention, she uses more focused and specific research. She further argues that the spread of the Internet provides enhanced scope for communication. Evidence from her research leads Elisheva to conclude that there is no corroboration of the earlier findings. Thus her research causes her to refute the earlier findings and instead suggests that there is a similarity in use of the Internet irrespective of gender.  

Sunday, September 8, 2019

Interpersonal Communications (Individual Work #2) Essay

Interpersonal Communications (Individual Work #2) - Essay Example interpersonal communication interfere with one’s diversity competency because it makes the person unable to reach out to other individuals or groups. For example, cultural barriers may interfere with an American employee’s performance in dealing with Asian colleagues or clients. Another example is when an individual’s shy personality may interfere with their ability to express themselves and be effective and efficient employees. 5.Based on your diagnosis feedback practices you experienced in a current or previous job through the completion of the instrument in Table 9.1 which practices are least effective? How might they be improved – the Table 9.1 is not available on the Google books copy of your textbook. Also, I don’t have your answers to the table so I wasn’t able to answer this number. I have answered the rest of the numbers, the total word count of which is 500 (two pages) 6. Media richness is important in interpersonal communication because messages have different purposes. This necessitates different forms of delivery and different kinds of channels. For example, a performance feedback needs a personal approach, like a meeting with one’s supervisor. Meanwhile, a call for a brainstorming on a project would only require an email or a written notice. In the organization I’ve worked for, our leaders were very careful about getting messages across. There is no need for changes as my colleagues and I are very satisfied with how our leaders communicate with us. 7. There are times when the nonverbal cues used by my colleagues are inconsistent with their verbal expressions. For example, a supervisor may say that he is listening to my concerns. However, his arms are crossed over his chest. His face is passive. At times, he may keep on checking his watch or the clock on the wall. There are also times when co-workers are consistent with their words, especially when we are discussing about projects or coming up with solutions to issues. 8. My