Thursday, October 31, 2019

B202 PART B TMA Essay Example | Topics and Well Written Essays - 1500 words

B202 PART B TMA - Essay Example Higher the ratio, higher is the margin of safety for the creditors. Main ratios used in the analysis are: For looking at long term trends in performance key ratios (as above) were obtained for the years 2005 to 2008. Comparison of these ratios over these four years shows the trend for the enterprise whether it is upward, downward or stagnant. It was also thought prudent to see how the enterprise stands as compared to the industry. In view of the fact that at present the economy is going through an exceptional downturn, it was thought best to analyze the past performance by averaging the data from 2005 to 2008. The average of figures from 2005 to 2008 obtained was then taken as base to calculate the analytical ratios. These ratios were then compared with the industry ratios to highlight the areas in which Tesco’s performance is better than its competitors. Profitability- In terms of profitability Gross Profit Margin is range bound showing only a marginal decline of 0.11% over four year period from 2005 to 2008. Thus there is no significant change in terms of operating cost or sale price in the years under consideration. Net Profit Margin has shown slight improvement in the comparative analysis by half a percent i.e., 0.508. Thus even though gross profit ratio is almost stagnant there is slight upward trend in net profit, this could be due to higher turnover wherein the net profit tends to increase after reaching breakeven point for every increase in sales. The other two profitability ratios also indicate the effectiveness of management in managing the resources and they reveal a small but definite upward trend over the four years. Return on assets has grown by 0.501% from 2005 to 2008. Return on equity shows even better growth of 2.301%. Thus retained earnings seem to have yielded increased profit over the years. The Liquidity Ratios on the other

Monday, October 28, 2019

Panopticism he states that the development of discipline Essay Example for Free

Panopticism he states that the development of discipline Essay In Michel Foucaults (1975) excerpt, Panopticism he states that the development of discipline in the 18th and 19th centuries came from he emergence of prison as the form of punishment for every crime. During these times the major crimes committed were from the French Revolution and the major riots and civil unrest in the French society. In these prisons the Panopticon puts the inmates in a different state in which each one is there own separate individual. Foucault states that the major effect of these Panopticon are that they â€Å"induce the inmate in a state of conscious and permanent visibility that assures the automatic functioning of power. † †Such a structure allows individuals to be seen and restricts their ability to communicate with the security, the warden, or other prisoners. In this case, crowds are nonexistent and each person is confined to their cell where they can be viewed by the watcher. He states that this new form of punishment lead to the development of a whole new kind of individuality for bodies. The brilliance of this prison is that the Panopticon forces blindness onto the prisoner where he or she is never sure if someone’s watching or not, inducing a harmless form of paranoia, keeping people in place. When a person is accused of a crime, society finds upon itself the responsibility of punishing him or her. The question of morality, however, is finding the perfect punishment in compensation of the crime that was committed. With the Panopticon, rather than breaking them down physically by using tortures like the thumbscrew or whips, prisoners can be broken down mentally, which allows the reconstruction of their mentality. This entire theory is effective due to the natural desire that people in general have to conform to society’s pressures. After all, it is ingrained in the natural being of humans to know that in order to survive, everyone needs a place in society whether it is as the businessman or as a joker. The fear of complete abandonment from this institution allows the system to work properly. Next, the Panopticon is essential to society in its ability to give a prisoner the chance of redeeming himself or herself to become a crucial part of society again. Instead of seeing revenge on the prisoners, this system allows them to be reformed through a force of habit. As prisoners get used to the idea that they’re being watched at all times with or without their knowledge, they adjust their behavior to meet society’s standards and norms. Thus, with a strong sense of paranoia, once the prisoner comes out of the Panopticon, he or she will rethink any decisions of breaking the rules. Once the person goes through that phase of the Panopticon imprisonment, he or she is set for a regular life in the real world with human interaction. In addition, with the Panopticon, power isn’t centralized in the hands of the warden or prison guards. The mere concept of being spied on causes others to display normal behavior, one that they want to portray to society. The real punishment that the prisoner goes through is one within his or her own mind where due to paranoia, the person shapes up to meet the rules of society in what is right rather than wrong. In this case, no one has power over another and even the amount of guards can be lessened; the prisoner is unable to tell the difference as to who is watching or how many people are watching. Power isn’t given to people but is within the architecture of the Panopticon. There will be no more vicious beatings of prisoners and no more degradation of them. In the end, they’re like everyone else, another everyday person in today’s world. Panopticism creates self-discipline forced into play through one’s own mentality of paranoia and fear, allowing criminals to be broken down mentally instead of physically, to redeem themselves as a part of society again, and to allow power to not be centralized in the hands of the warden or prison guards. It’s not only an effective system but it’s also efficient in the way that those separated from society may still have the ability to blend back in after undergoing this type of imprisonment. As a result, the concept of a Panopticon would certainly be better than the status quo where punishment is used and people are locked away behind bars without given a chance to prove that they’re reformed. Any cruel and unusual punishments that may occur are abolished and finally, for those who have made a mistake or two, redemption is finally possible.

Saturday, October 26, 2019

Examination of Macbeths Character :: essays research papers

Power can be taken, but not given: An Examination of Macbeth's Character in William Shakespeare's Macbeth. Character develops itself in the stream of life. Individuals in society each contain unique character traits that are constantly evolving. In William Shakespeare?s Macbeth, Macbeth undergoes many tremendous changes in his character. Macbeth?s character changes throughout the play because of the murders of King Duncan, Banquo and Macduff?s family. First, Macbeth?s murder of King Duncan changes him by triggering his ambition, revealing his fear and revealing his regret. For example, in his first appearance on stage, the Macbeth described as brave and noble has his ambition triggered: First Witch. All hail, Macbeth! Hail to thee, thane of Glamis! Second Witch. All hail, Macbeth! Hail to thee, thane of Cawdor! Third Witch. All hail, Macbeth! That shalt be king hereafter! Banquo. Good sir, why do you start [?] (Shakespeare I.iii.48-51) Clearly, Macbeth?s sudden movement at the news that he will be king shows how his ambition is triggered. Macbeth is so excited that he starts, and Banquo notices this. In addition, Macbeth?s soliloquy in scene seven reveals his fears about killing Duncan: Macbeth. But in these cases We still have judgement here, that we but teach Bloody instruction, which being taught, return To plague the inventor. (I.vii.7-10) Evidently, Macbeth is afraid of killing King Duncan because he believes if he performs an act of evil, then it will come back to haunt him. This is the first time in the play where Macbeth shows any sign of fear. Furthermore, the murder of King Duncan reveals a deep sense of regret within Macbeth: ?To know my deed, ?twere best not know myself. / Wake Duncan with thy knocking! I would thou could?st!? (II.ii.73-75). Already, Macbeth is regretting killing King Duncan, and this drastically changes his character (before committing the murder he was confident due to Lady Macbeth?s persuasions). Thus, Macbeth?s murder of King Duncan changes him by triggering his ambition, revealing his fear and revealing his regret. Second, the murder of Banquo changes Macbeth by causing psychological harm, creating unease within Macbeth, and making Macbeth determined to continue with his plan of evil. For example, at the feast Macbeth hosts, he sees the ghost of Banquo: Macbeth. The table?s full. Lennox. Here is a place reserv?d, sir. Macbeth. Where? Lennox. Here, my good lord. What is?t that moves your Highness? Macbeth. Which of you have done this? Lords. What, my good lord? Macbeth. Thou canst not say I did it: never shake Thy gory locks at me.

Thursday, October 24, 2019

The Conditions For Factory Workers In Nineteenth Century Britain Essay

The Conditions For Factory Workers In Nineteenth Century Britain In the nineteenth century some people thought that factories were the best thing that ever created in Great Britain, however, workers inside them thought differently. No group was as exploited as children, who were put to work before they could read or write.Children were employed in industry and agriculture as soon as they started using their hands and were able to walk. They worked in farms, mills, factories, coalmines and on the streets. They sacrificed having an education for working long hours for little money, working in unacceptable conditions for employers who had no interest in safety. Children were put to work because in cities with overpriced rents and plenty of expenses, families could not get by on simply two incomes. Children who worked indoors were often exposed to toxic fumes, extreme heat, and dangerous machinery. Those who worked in glass factories often cut or burned themselves on broken or hot glass. Children in textile mills were forced to breathe in dust and cotton fibers. Many suffered permanent lung damage. Small and nimble children were assigned to equipment that required quick motions. Those who operated machinery designed for adults often lost fingers. Working long days meant they sometimes fell asleep on the job, putting them at risk for serious injury. A Manchester spinner explains that they are "locked up in factories eight stories high, (the worker) has no relaxation till the ponderous engine stops, and then they go home to get refreshed for the next day; no time for sweet association with their families; they are all alike fatigued and exhausted." In 1831, John Hobhou... ...arse. This oatcake was put into cans. Boiled milk and water was poured into it. This was our breakfast and supper. Our dinner was potato pie with boiled bacon it, a bit here and a bit there, so thick with fat we could scarce eat it, though we were hungry enough to eat anything. Tea we never saw, nor butter. We had cheese and brown bread once a year. We were only allowed three meals a day though we got up at five in the morning and worked till nine at night. Matthew Crabtree was interviewed by Michael Sadler's Parliamentary Committee (18th May, 1832): I began work at Cook's of Dewsbury when I was eight years old. We had to eat our food in the mill. It was frequently covered by flues from the wool; and in that case they had to be blown off with the mouth, and picked off with the fingers, before it could be eaten.

Wednesday, October 23, 2019

Nano Technology in Oil Industry Essay

Introduction Nanotech applications & Nanoparticles have been successfully used in drilling mud for the Last 40-50 years. Recently the other disciplines of the oil industry, such as exploration, primary and assisted production, monitoring, refining and distribution, are approaching nanotechnologies due to its immense Potential for Confronting challenges, performance improvement & cost. Especially in ultra-deep water and artic environments, Severe reservoir conditions (high-temperature and high-pressure formations), nonconventional resources of energy,Heavy oils, tight gas, tar sandsreservoirs) Present nanotech applications in oil industry: Most of the major oil and service companies, such as BP, ConocoPhillips, Shell, Total and Schlumberger.done research in exploiting nanotechnologies to improve oil and gas production. Developing subsurface micro- and nanosensors that could be injected in oil and gas wellbores & identification of nanotech potentialities applied to EOR issues. Recent published results speak about Single-Walled-Carbon-Nano Tube (SWNT) / Silica nanohybrids, active at the fluid interface, if delivered at the O/W interface, would react and modify the oil properties to increase oil mobilization, hence oil recovery. Researchers ars analysing the potential benefits derived by the application of nanomaterials, nanofluids and nanomembranes in oil industry. Sensors: Nanomaterials are unparallelled tools for the development of sensors and imaging-contrast agents due to the significant alterations in their optical, magnetic and electrical properties, along with their ability to form (electrically and/or geometrical ly) percolated structures at low volume fractions. Such nanomaterials, when combined with smart fluids, can be used as extremely sensitive down hole sensors for temperature, pressure and stress even under extreme conditions. The ultimate evolution of instruments for oil prospects is perceived to be nanorobots, which should really provide an effective mapping of the reservoir. Nanorobots still remain a dream,shared by the medical and oil sectors. But advances in nanosensors miniaturization are becoming a reality. Coatings: A corrosion-resistant material solution represented by nanometric thin films  and composites with nanostructured fillers are in the advanced stage. corrosion-resistant materials are the â€Å"just ready to happen † nanotechnology-based applications,due to its relatively low risk, high effectiveness and low complexity. Nanocoated, wear-resistant probes, made of tungsten carbide or boron nitride, enhance the life span and efficiency of the drilling systems. The same applies to the nano-layered corrosion inhibitors in pipes or tanks, which creates a permanent molecular coating on the surface of metals, eliminating corrosion. Nanofluids and nanomaterials for drilling and completion : Nanotechnology has opened the development of smart fluids† for drilling, production and stimulation applications. Nanofluids and nano-based additives exhibit major advancement by enhanced drilling by adding benefits like wettability alteration, improved drag reduction and sand consolidation. A specialized petroleum laboratory has developed an advanced fluid mixed with nanosized particles and superfine powder that significantly improves the drilling speed and can eliminate formation damage in near wellbore zone. With the synthesis of a new breed of elastomeric composites filled with carbon nanotubes or other strongly anisotropic nano-objects, a stronger, tougher and more rugged drilling tools and apparatus will be manufactured in future. These tools will ensure a significant weight reduction and facilitate self-sensing elements to be interrogated for the real-time monitoring of the most critical parts. Another important technique in the development of super-hard materials is the use of nanostructured dispersed-hardened materials .First generation of nanotech applications for improving hydraulic fracturing are represented by BakerHughes’s nanostructured metal composites, combined by magnesium, aluminium and other alloys, which offer both strength at lower weight and the ability to â€Å"dissolve† away under certain conditions. Another example is the proppant produced by Oxane Materials, constituted by nano-structured ceramic material which is as strong as but lighter as ceramic proppant. A possible solution for mitigating fines, by nanocrystals for treating hydraulic fracture proppant packs to fix formation fines. Nanotechnology application for reservoir monitoring & for enhanced oil recovery Nanomembranes: A new generation of lightweight and strong nanomembranes is being developed and employed, Which will remarkably enhance  the exploitation of tight gas by providing efficient methods for removing impurities, separating gas streams and enabling GTL production. Nanoporous and nanoparticulate materials are also quite encouraging to manage the Health, Safety, Environmental, risks arise due to presence of CO2 and H2S in hydrocarbon mixtures. Nanotechnology application for reservoir monitoring The petroleum sector and the medical visualize the dream of a nanosensor able to provide in-situ information about the systems under analysis. The most complicated and Complex challenge faced by oil industry is that it requires strong technical improvements in injected nano sensors into the reservoir, to face placement and recovery, protection in harsh environments , 3-D location, sensors powering and data storage & retrieving. For example, the quantity of oil present in a reservoir could be assessed based on the amount of material lost or retained during the travel time, or the extreme conditions (temperature, pressure, salinity gradient) at which the nanoparticles were exposed and for how long, could be determined. The idea can be to pump nano-sensors in the reservoir periodically so as to regularly monitor changes in the well/field conditions.In turn, this could result in enhanced production efficiency. Several possible applications and exploitation schemes are currently under study with nano-devices injected into a reservoir. A novel paramagnetic nanoparticles into proppant structures together with these smart proppant could help in mapping the fracture efficiency using detectable contrast agents. Further nanoparticles could preferably segregate into different fluid portions, hence providing enhanced characterization of the reservoir and, fianlly , improved oil recovery,due to their miniscule dimensions, increased surface area and high mobility. Nanotechnology application for enhanced oil recovery: The greatest challenge at present is the possibility of increasing the efficiency of hydrocarbon production, both by improving the current EOR methodologies and by developing alternative technologies. The current researches indicate the new generation nano-agents should modify the properties of the injected fluid, in terms of viscosity, density, thermal conductivity and specific heat and modify the fluid-rock interaction properties, .The use of two different types of polysilicon nanoparticles (one nanometer-scale) in oil fields  improves wettability, to enhance water injection and improve oil recovery. The application of paramagnetic nanoparticles for EOR , possess a unique combination of fluidity and capability to interact with a magnetic field. The addition of a surfactant would greatly reduce the interfacial tension in waterwet reservoirs due to the presence of a dipole moment.The reservoir fluid molecules align, thus reducing the resistance to flow. ConocoPhillips, aims at creating a new class of polymer-type nanoparticles that can be incorporated with EOR injection fluids to improve hydrocarbon recovery by penetrating small pore throats without being trapped and hence the a mount of expensive injection can be decreased. The University of Alaska Fairbanks investigated The possibility of improving gas injection for the Alaska North Slope heavy oil recovery. Metal nanoparticles. reduce the viscosity of the heavy oil. Using super critical CO2 and Viscosity ReducingInjectant (VRI) saturated by nanoparticles, exploit the thermal properties of nanoparticles for improved heat transfer to heavy oil; explore the effects of Poly Di Methyl Siloxane and metal nanoparticles on density and viscosity for reducing mobility and viscous fingering Phenomena . When dealing with extremely low permeability reservoirs, conventional approaches to water flooding cannot provide recovery factors greater than 0.2. This is mainly due to capillary forces which are very strong in narrow pore channels. With low-permeability reservoir rocks, the level of purity and filtration of injected water is one of the most important issues for a significant oil recovery. With rocks characterized by a permeability of 0.1 ÃŽ ¼m2 the recovery factor deviates from an average of 0.4 by less than 10% if particulates in injected water are smaller than 200 nm. Nevertheless, with a rock permeability of 0.05 ÃŽ ¼m2 the recovery factor is dramatically approaching zero with the same particle ssize. A traditional water flooding technique is obviously unproductive in this latter case, unless water is filtered and purified of particulates down to at least 100 nm. Innovative water nano-filters are to be specially designed both to ensure uniform pore throats and the ability to recovery tens of billions of tons of oil. Some feel that oil is essentially a nanoliquid, with asphaltenes being the dominant part, flowing in a micro and often nanoscopic environment (i.e., the porous media). According to that,it seems justifiable to consider most of the oil and gas production technologies, reservoir treatments and  stimulation as nanotechnologies. Under this point of view, current petroleum science is relying on the study and control of physical chemical phenomena occurring at the nanometer scale and the ability to correctly model the reservoir flow plays an important role. However, a suitable tool to reliably describe coupled phenomena is still missing. The present approach being discussed is, for creating nanorobots to monitor individual pores and channels and hydrocarbon flow, exchange information and identify zones which intensify the extraction or the injection of water. CONCLUSION: Nanotechnology Application to the oil industry has an immense potential & benefits. Some applications are already available,while others could come from Complementing the solutions developed for the biomedical, automotive, aerospace, chemical and, textile Industries. Well drilling, fracturing and cementing as well as new generation membranes for gas separation already rely on nanotech solutions. At present efforts are being made to design nano-sensors for reservoir characterization and monitoring and to produce nano-fluids for improving EOR processes. Promising results have been obtained from laboratory experiment, but field tests are still in progress..The future of nanotechnology applications is remarkable.

Tuesday, October 22, 2019

The role of Biofuels Essays

The role of Biofuels Essays The role of Biofuels Essay The role of Biofuels Essay The world is undergoing a transition period between a phase of fossil fuel energy to a phase of clean and renewable energy. There is urgent need for the planet to develop a new range of renewable energy sources which are less carbon intensive and which will open up a new age for fuels. In such a scenario, the 21st century will be a transitional period for energy generation and consumption. It is probable that the world is moving towards a greater diversity in primary sources, in which each country or region, in line with its circumstances, will contribute towards the make up f the renewable energy matrix. In this context, biofuels will play an important and increasing role. They will not be a substitute for fossil fuels, as such, but a supplement to other renewable primary sources of energy, such as hydro, wind and solar power. Brazil is having a prominent position on the renewable energy sector due several reasons. Around 75% of Brazilian Electricity is produced through renewable energy. This is basically due to the huge hydroelectricity infrastructure installed in the Country. But not only hydroenergy is prominent in Brazil. Brazilian biofuel production s also an example of sustainable energy generation for the world. The favorable combination of available natural resources, suitable soil and climatic conditions, labour capacity and technological ability puts Brazil on the top of the biofuel world market. But its dangerous to think that biofuels are directly linked with sustainability. Depending on the way they are produced, they can generate as much damage to the environment as fossil fuels do. The main issue that is been discussed now is so called LUC (indirect land use change). Its easy to monitor whether a crop to produce iofuels substitutes or not a forest. However, its almost impossible to monitor whether a new crop caused indirect deforestation. A clear example for that is the substitution of cattle for sugarcane production in Brazil. In a first sight, the sugar cane production doesnt cause deforestation. But how to monitor the new place where the cattle is been produced? This is one of several issues that are involved with biofuels sustainability and need to be further monitored and discussed. To ensure the maximization of positive externalities in the biofuels production, onsideration must be given to three basic principles: the introduction of government rules to encourage and regulate sustainable production of biofuels; the concept of vertical growth, with best use of available resources; and the encouragement of research and development of new technologies. In terms of government incentives, it doesnt necessary mearns subsidies, as USA does with ethanol from corn. New legislation frameworks need to take place to foster the utilization of this source of energy. The United States and the European Union, Tor example, nave estaDllsnea targets Tor tne Iincreased use 0T tnese Tuels In tnelr development programs (RFS2 and DIRECTIVE 2009/28/EC), always linked to sustainability criteria, which address some of the major biofuels sustainability factors, such as: food security, working conditions, regional development, social inequality between classes and regions (employment and earnings in countryside), environmental degradation and greenhouse gas emissions. As for vertical growth, it dialogs straight to the concept of access to energy, which must be understood as a social right. So, in the context of scarcity of natural resources, it is necessary to ensure an energy supply at low environmental cost and reasonable prices, for the whole population. In this situation, the biofuel sector must be capable of using available resources to maximum advantage, in other words, to strive for eco-efficiency so as to produce more from the same resources. This mearns vertical growth, as opposed to horizontal expansion. This, in turn, calls for more technology and less waste in the search for transversal eco-efficiency in the biofuels production cycle. So, when we think about an industry that is struggling in terms of carbon emission and could easily be adapted to change its fossil fuel consumption to biofuels, this is the AIRLINE industry. Currently, this sector represents 2% of global GHG emissions, but is expected to grow to 3% by 2050. Indeed, biofuels usage on commercial airplanes was approved in July 2011. Since then, some airlines have experimented with using of biofuels on their flights. But the challenges to make this accomplishment true are not only coming from the biofuel production side. There are still some concerts regarding the technology it self. Biodiesel that is stored for long periods of time is more likely to oxidize, especially at low temperatures, causing it to gel. Some additives improve the cold weather tolerance of biodiesel, but only by a few degrees. Nitrile-based rubber materials expand in the presence of aromatic compounds found in conventional petroleum fuel. Pure biofuels that arent mixed with petrolum and dont contain paraffin-based additives may cause rubber seals and hoses to shrink. Airplanes manufacturers are starting to use a synthetic rubber substitute called Viton for seals and hoses.

Monday, October 21, 2019

15 Quotes Exploring the Complex Father-Son Relationship

15 Quotes Exploring the Complex Father-Son Relationship Dads and sons have a complex relationship.  As  Frank Herbert said,  What is the son but an extension of the father? Fathers try to pass on to their sons the knowledge of what it means to be a man and to be successful in life. Most fathers raise their boys based on their own experiences with their fathers, for better or worse. Former President George H.W. Bush It’s much worse to read criticism about your son than yourself. Johann Schiller It is not flesh and blood but the heart, which makes us fathers and sons. Aldous Huxley Sons have always a rebellious wish to be disillusioned by that, which charmed their fathers. George Herbert One father is enough to govern one hundred sons, but not a hundred sons, one father. Marlene Dietrich A king, realizing his incompetence, can either delegate or abdicate his duties. A father can do neither. If only sons could see the paradox, they would understand the dilemma. William Shakespeare When a father gives to his son, both laugh; when a son gives to his father, both cry. Walter M. Schirra, Sr. You dont raise heroes, you raise sons. And if you treat them like sons, theyll turn out to be heroes, even if its just in your own eyes. James Baldwin If the relationship of father to son could really be reduced to biology, the whole earth would blaze with the glory of fathers and sons. Robert Frost The father is always a Republican toward his son, and his mothers always a Democrat. Relationship Between the Father and His Teenaged Son The need to emulate the father seems to dissipate when kids reach adolescence. The rebellious hormones want nothing of the old mans wisdom. Most young teenagers want to distance themselves from their fathers. Relationships that were built with a bond of love and trust become strained  and withdrawn. Most fathers remain distant when their kids are growing, to avoid a clash of personality. Is this normal or a trend towards growing family discord? On the TV sitcom Home Improvement, starring Tim Allen. In one of the episodes, Wilson makes a wry comment: Parents are the bone on which children sharpen their teeth. What Im saying is that when a boy is young, he worships his father and in order for the boy to become a man, hes got to see his father as a fallible human being and stop seeing him as a god.   The cold war can continue well into the adult phase of the childs life  until he himself becomes a father. Sooner or later, the cycle of life allows the new father to reminisce his childhood days and recount the innumerable ways his  father showered love upon him. American actor James Caan once said, I never saw my dad cry. My son saw me cry. My dad never told me he loved me, and consequently, I told Scott I loved him every other minute. The point is, I’ll make fewer mistakes than my dad, my sons hopefully will make fewer mistakes than me, and their sons will make fewer mistakes than their dads. And one of these days, maybe we’ll raise a perfect Caan. Fathers and Sons Can Share a Bond Through Fun Activities Fathers who nurture their sons through projects and activities have a strong and healthy relationship. Usually, fathers and sons enjoy the same activities, whether fishing or football. Find an activity that suits you and your sons. You could choose to go camping with your son. Or consider teaching the young boy basic techniques of golf. If football is your first love, share anecdotes and funny stories with your boys  while catching up on the action on Super Bowl. These quotes about fathers and sons reflect on the wonderfully complicated relationship between boys and their fathers. On Fathers Day, help every father and son reach out to each other through these loving words. Alan Valentine For thousands of years, father and son have stretched wistful hands across the canyon of time, each eager to help the other to his side, but neither quite able to desert the loyalties of his contemporaries. The relationship is always changing and hence always fragile; nothing endures except the sense of difference. Confucius The father who does not teach his son his duties is equally guilty with the son who neglects them. Ralph Waldo Emerson, (on the death of his son) My son, a perfect little boy of five years and three months, had ended his earthly life. You can never sympathize with me; you can never know how much of me such a young child can take away. A few weeks ago I accounted myself a very rich man, and now the poorest of all.

Sunday, October 20, 2019

Free Essays on Mathew

This chapter will include distinguishing characteristics of Matthew’s Gospel as well as major elements in Matthew’s Gospel which Mark does not have such as the Infancy Narrative and the Sermon on the Mount. In addition there will be a section on parables as Matthew contains so many. Three historical factors contribute to the writing of Matthew’s gospel: 1. A delay in the parousia as indicated in Mt. 24:14 and 28:16-18, in which the disciples are told to go to all nations and into the whole world to teach and baptize, indicating an indefinite postponement. 2. The destruction of the temple in 70 C.E. (referred to in a parable in 22:7) caused the loss of temple worship. The Pharisees took over the leadership of Judaism and led to the re-expression of Jewish life through Rabbinic writings known as Mishna and Talmud. Pharisees helped to make Jewish life comprehensible without the Temple by focusing on the consecration of everyday activities. While Pharisees were claiming that their lifestyle and teachings were the fulfillment of Jewish life, Matthew was claiming that Jesus was the fulfillment of Jewish life. Therefore, Matthew and the Pharisees were competing for the same audience for recruits. Matthew connects Jesus repeatedly to Jewish prophecy throughout the text. 3. This is also the church’s book. Its stress on church authority may have contributed to its placement first in the New Testament. As the church grew, it developed regulations (18:15-20). Here, the gospel gives the church authority for settling disciplinary issues. In chapter 16 authority is given to Peter. In addition in Matthew (16:5-12, 14:33), the disciples look much better than in Mark (18:14-21, 6:52), preparing the way for the new church’s leaders to be respected. In Mark the disciples do not understand who Jesus is, but in Mark they not only understand that Jesus is Son of God but also worship him(Mt.14:33). The establishment of c... Free Essays on Mathew Free Essays on Mathew This chapter will include distinguishing characteristics of Matthew’s Gospel as well as major elements in Matthew’s Gospel which Mark does not have such as the Infancy Narrative and the Sermon on the Mount. In addition there will be a section on parables as Matthew contains so many. Three historical factors contribute to the writing of Matthew’s gospel: 1. A delay in the parousia as indicated in Mt. 24:14 and 28:16-18, in which the disciples are told to go to all nations and into the whole world to teach and baptize, indicating an indefinite postponement. 2. The destruction of the temple in 70 C.E. (referred to in a parable in 22:7) caused the loss of temple worship. The Pharisees took over the leadership of Judaism and led to the re-expression of Jewish life through Rabbinic writings known as Mishna and Talmud. Pharisees helped to make Jewish life comprehensible without the Temple by focusing on the consecration of everyday activities. While Pharisees were claiming that their lifestyle and teachings were the fulfillment of Jewish life, Matthew was claiming that Jesus was the fulfillment of Jewish life. Therefore, Matthew and the Pharisees were competing for the same audience for recruits. Matthew connects Jesus repeatedly to Jewish prophecy throughout the text. 3. This is also the church’s book. Its stress on church authority may have contributed to its placement first in the New Testament. As the church grew, it developed regulations (18:15-20). Here, the gospel gives the church authority for settling disciplinary issues. In chapter 16 authority is given to Peter. In addition in Matthew (16:5-12, 14:33), the disciples look much better than in Mark (18:14-21, 6:52), preparing the way for the new church’s leaders to be respected. In Mark the disciples do not understand who Jesus is, but in Mark they not only understand that Jesus is Son of God but also worship him(Mt.14:33). The establishment of c...

Saturday, October 19, 2019

Equality Essay Example | Topics and Well Written Essays - 750 words - 1

Equality - Essay Example While there are notions that connect equality with the similarity and sameness of identity, they identify equality with similarity, rather than sameness. However, probing further, the concept of equality is distinguished from the definition of identity, as two identical things may not be equal......(Gospath, 2007) In addition, the Marxist definitions have simplified the concept of equality as being a system of relations where every one has equal rights, privileges, and status. As per this theory, the concept of equality has been the result of development of concepts related to freedom and universality. It has cited the equality definition being not true in many societies of the world, like Afghanistan where the gender equality is still not present, as females are not treated at par with the male members of these tribal societies. The Marxist theory further propounds that due to the amassing of wealth by a miniscule percentage of the society, inequality was more evident than equality. Similarly, as per this theory, the religious equality was seen more in the form of inequality as the priests and other Godmen had more privileges and rights than the general masses....(Eq) Both of these cannot co-exist. It is often seen that with different levels of power and wealth accumulation, the real justice is not possible, as more powerful will always try to exploit the weaker section of the society. As per Friedrich Nietzsche, (Human, All Too Human, #92), justice is a trade, which has originated among those who are equally powerful. While he maintains that justice is just the payment and exchange within the characteristic of trade, everyone gives what the other person wants and each gets what he wants in return. It has been emphasized several times that fairness, being a form of justice, is possible, maybe rarely only, among equally powerful people only. Hence, justice cannot be treated at par with equality, as the basic character of justice is to trade on reasonably

Friday, October 18, 2019

Quantitative vs. Qualitative research Essay Example | Topics and Well Written Essays - 500 words

Quantitative vs. Qualitative research - Essay Example of the measures of concepts, then the research respondents are selected, the next step is issuing research instruments and data collection, what follows is data processing and analysis, after this process finding are drawn and conclusions made. The main steps involved in qualitative research are: setting the overall research questions, then selecting necessary subjects and sites, then relevant data ought to be collected, then interpretation follows, then theoretical and conceptual work follows, the last step is writing up conclusions and findings. In quantitative research, the quality issues involved are issues such as reliability, this deal with the measure of stability and consistency. Replication seeks to find out whether the study is repeatable. Validity seeks to establish whether what is measured is the one intended or if the conclusions are well founded. In qualitative research, quality issues are trustworthiness that entails credibility of the findings, transferability in terms of the applicability of the findings to other contexts; dependability is whether the findings apply at other times. Conformability is whether the investigator’s values have intruded to a high degree. Relevance is the importance of a topic in the field of study and the contribution made by the literature in that field. Quantitative research has major preoccupations such as measurement and reliability validity, causality which entails explanation on reason as to why things are the way they are and the direction taken by the causal influence, that is, dependent and independent variables. Another of these preoccupations is generalization which covers the question on the scope of the context, sample and population, as well as the extent to which the samples are representative. Replication is a value that seeks to reduce contamination of results by researcher values or biases, thorough procedure descriptions, and ability to duplicate in varying context. In qualitative research, the

Business data analysis Essay Example | Topics and Well Written Essays - 1000 words

Business data analysis - Essay Example They try to elaborate the rate at which the stock values are found to be varying over time. Seasonal variations Seasonal variations have very important implications for the policies which define the functioning of a company. Rise and fall in stock prices often classify the boom and recessive periods of a company respectively. When stock prices rise, the companies generally are found to increase their employee wages and hire more employees as the production rises. They are generally predicted through figuring out the differences between the predicted trend line and the actual observations, for each individual period. Averaging over the differences throughout an entire year leads to the calculation of seasonal variations for each month in any year (Hargreaves, 1994, p. 154). Stock prices for Deutsche Bank are estimated to be reaching a peak during the fourth month of every year while it faces a recession during the tenth month of every year. Hence, the company might be regarded to be u ndergoing a period of boom during the second quarter of every year and a depression during the fourth quarter. However, when these seasonal variation statistics are compared with the actual monthly differences in the trend calculations and actual observations, the readings were found to be much different. The following graph depicts the comparative readings of differences between actual and trend observations. ... On the other hand, recession is actually experienced during the beginning of second quarter as against the seasonal variations calculated. However, it is not repeated for each and every year, as is found for the year 2002. In the year 2002, the actual seasonal variations are found to be coinciding with the calculated ones even though the readings do not match each other. The only factor which seems to correspond with each other is the direction of trend. If actual stock price values are being counted for, as the diagram alongside depicts, it would show that the correspondence between actual trend and estimated one is rarely found for the span of 10 years. In fact, the diagram suggests the absence of any hard-core seasonal fluctuation as such. The actual detrended line indicates the period between 2002 and 2004 as well as that between 2009 and 2010 to be under recession while that between 2006 and 2008 to be a period of boom. On the other hand, seasonal variation statistics show that regular cycle of booms and recessions are found to characterise every year. However, a point to be taken a note of in this regard is that even when the company, i.e., Deutsche Bank undergoes a whole period of boom or recession as such, there exists small fluctuations during the same. Hence, predictions about seasonal variations are likely to match during some years. Even when a company is experiencing a period of boom or recession, there could be ups and downs in business which symbolise seasonal variations, which actually is a short run phenomenon. However, there might also be another reason behind the lack of compatibility between the estimated trends and the actual adjusted closing price of the stocks of Deutsche Bank. As the diagram produced

Thursday, October 17, 2019

Managerial Decision-Making Case Study Example | Topics and Well Written Essays - 250 words - 1

Managerial Decision-Making - Case Study Example he decisions makers of their firms, and if any stakeholders of the same are not satisfied by the outcome the managers are the people responsible to fix the problem. Managers use rational models, which suits them to make major decisions in their cooperatives. There are some rational processes that work when the models are used, but it does not mean that every good decision made must be from the models. There are times when the rational models cannot be used for a particular situation because each firm is different from the other, and it is a dynamic world where things are changing every day (Driver, Brousseau and Larsson 110). There is a need for change in the way managers make decisions to various particulars making it impossible to have standard decisions for every objective of a firm. The rational models are useful to the obvious decisions made every day, but there is the need to have use other ways of ensuring that the mangers are in control in the same time allowing the rest of the employees an opportunity to prove themselves to their ability (Driver, Brousseau and Larsson 110). This ensures good working environment for everyone and success to the

English literature Assignment Example | Topics and Well Written Essays - 250 words

English literature - Assignment Example The title of the story is absurd but it has a lot of meaning in it. It is amplified with the story’s symbolism and means a lot of thing. Phoenix is not just the name of a city situated in Arizona. According to Egyptian mythology, it is a bird that arises from its own ashes and takes rebirth. Phoenix is thus a symbol of regeneration and immortality. Thomas and victor too, like a Phoenix, travels to the city of Phoenix during the hot Arizona summer and step inside the trailer of Victor’s father just to reclaim and build that which has been lost once. Figuratively or literally, they to take the rebirth just like a Phoenix. So, the title is symbolic of the plot and bears a similar analogy with the mythology. Gryphon is a monster with wings, having the head of an eagle and body of a lion. In the short story by Charles Baxter, Ms. Firenze refers to the Gryphon and states that she has seen the animal in real life. Gryphon is constituted from things of this world but many things combined together and no one achieves that unless they imagine about the creature. Similarly, Ms. Firenze feels that one must leave the world of concrete objects sometimes and travel to the wonderland - the land of creativity and imagination created of objects outside our world. So in this way Gryphon may be important and very much suitable for the title of the story as it celebrates the spirit of the story. The child’s experience about Gryphon is so significant because it again makes a link with the core theme of the story. Gryphon is a tinge of a created world and Baxter never wanted Tommy to influence completely his readers, so he took the initiative to portray through Gryphon story that there are so many things beyond what we see and what we

Wednesday, October 16, 2019

Managerial Decision-Making Case Study Example | Topics and Well Written Essays - 250 words - 1

Managerial Decision-Making - Case Study Example he decisions makers of their firms, and if any stakeholders of the same are not satisfied by the outcome the managers are the people responsible to fix the problem. Managers use rational models, which suits them to make major decisions in their cooperatives. There are some rational processes that work when the models are used, but it does not mean that every good decision made must be from the models. There are times when the rational models cannot be used for a particular situation because each firm is different from the other, and it is a dynamic world where things are changing every day (Driver, Brousseau and Larsson 110). There is a need for change in the way managers make decisions to various particulars making it impossible to have standard decisions for every objective of a firm. The rational models are useful to the obvious decisions made every day, but there is the need to have use other ways of ensuring that the mangers are in control in the same time allowing the rest of the employees an opportunity to prove themselves to their ability (Driver, Brousseau and Larsson 110). This ensures good working environment for everyone and success to the

Tuesday, October 15, 2019

Elder Abuse and Psychosocial Simulation Essay Example | Topics and Well Written Essays - 750 words

Elder Abuse and Psychosocial Simulation - Essay Example Afterwards the interviewer remains alert and moderate in asking questions (Knapp, 2007). In terms of non-verbal actions the interviewer applied broad leads, such as neutral expressions. The intention was to support continued talking by the patient. However, the interviewer placed less time on open body posture. In terms of making observations, the interviewee appeared tense, especially in what appears to be some biting of the teeth. Nevertheless, the interviewer showed interest in the patient issues and still managed to come across as relaxed, by attempting to shift her body posture to a small level. The interviewer was trying to display an interest in what the client was saying. Gestures in some instances became an issue due to misinterpretations arising from the two diverse cultures. In addition, voice also became an issue due to timing and tempo since in some instances, the interviewer pitch and inflection did not bring out an understanding (Wachtel & Wachtel, 2011). The interview er applied non-verbal actions such as open facial movements displaying empathy as a part of intentional efforts to communicate experiences of suffering. For instance, the use of verbalizing implied thoughts such as the interviewer voicing what the client appears to have fairly evidently implied, instead of what the client had really said (Wachtel & Wachtel, 2011). The intention was to make conscious of the unconscious (Quinn & Tomita, 2002). Secondly, the interviewer applied neutral responses, and this displayed some interest and involvement in what the client was saying. The exact use of silence and some cases voice-tone was meant to offer time for the patient to present thoughts and feelings into expressions. The silence enabled the patient to verbalize while regaining composure. The interviewer seemed a little bit nervous initially when the camera gear was being setup, and this then reflected on the client sense of edginess. This was evidence by overusing of reflection which then made the client a little bit annoyed when her own words and statements were being continually repeated. However, as the interviewer began conversing with the client, she got somewhat more comfortable as both of them established a good human connection. The interview began with a chatting session with the client prior to the camera rolling. The intention was to first gauge the client awareness of the questions and then let him think about any solicitous responses. The caregiver managed to leave the room after a couple of questions were asked and she felt reassured about the interview session. However, the caregiver seemed to possess more ability in encoding the client emotional outlay. In particular, she was able to accurately decode the client body movements and voice-tone cues. On the other hand, the client did not know how to make clear his feelings, and he seemed to hold back tears at times while pacing and fidgeting, maybe because he feared that he will be labeled crazy. In wra pping matters up, I provided cues to the client that the session was coming to an end before summarizing the key answers and then thanking the client for his time. The interviewer was fairly comfortable with the questions concerning abuse and neglect as she used extensively reflective listening, while reacting with affirmative proclamations.

Dracula Essay Example for Free

Dracula Essay As Seward was called into the room, Renfield was found extremely injured, lying in a pool of blood that glistened under the light. His face was bashed and bruised, he had suffered severe damage to his head and it was evident that his back was broken as well. Renfield was kept in a straitjacket and his injuries left everyone wondering they could have been self-inflicted. As the story progresses, Seward sends the attendant to bring Dr. Van Helsing, who, after examination, later performs an emergency operation to the skull that would allow Renfield to regain consioucness and recount what had happen. As Renfield weakily began to recount the events that took place earlier that night. His story starts at the night Seward refuses to let him leave the asylum. Renfield admits to being visited by Dracula, who had appeared in a mist outside the asylum. After much attempt to resist the Count, Renfield was associated with Dracula for a period of time after he was promised several lives. Upon the presence of Mina Harker, Renfield notices that she appears extremely pale and seems to have lost alot of blood. This allows him to conclude and warn Seward and Van Helsing that Dracula had been visiting Mina. Prior to the moment Renfield was found on the floor, he explains that he encountered and tried to resist giving into Dracula, only to have been beaten up and thrown violently to the ground, crushing his head. The tale told by Renfield serves as new discovery that allows the characters of the book to carry out new ideas in order to bring down Dracula. His story seems to be the birth of a new discovery that represents the grande idea of resisting and going against Count Dracula. During his story, he appears to have been infuriated once he realized Mina was being violated by Dracula. This could represent how inaccepted actions that deteriorated purity were during the Victorian Era. Overall, his story serves as the final fuel that sets not only an ultimate goal but a time constraint as well, now knowing that Mina Harkers life was at risk. What can Mina see and hear when Van Helsing hypnotizes her? What does this indicate? Do you think Dracula can detect Minas interferance? Includes the October 11th entry of Dr. Sewards diary; the October 15th, October 16th, October 17th, and October 24th entries of Jonathan Harkers journal; telegram from Rufus Smith of Lloyds in London to Lord Godalming, dated October 24th; the October 25th, 26th, and 27th entries of Dr. Sewards diary; telegram from Rufus Smith to Lord Godalming, dated October 28th; the October 28th entry of Dr. Sewards diary. Mina makes the five men promise that if she becomes a vampire, they will kill her rather than allow her to be damned. She also asks her husband to read the burial service for her now, in case it should come to the worst. The heroes secure passage on the Orient Express from Paris to Varna, arriving there early to await the Count. Hypnotism of Mina brings the same news constantly: the sound of waves, masts, the movement of a ship at sea. Finally, they receive news that the ship has boarded at Galatz instead of Varna. The group takes the setback grimly, but they board the next available train to Galatz? knowing that they now may have to face Dracula on land. Van Helsing believes that the Counts unholy connection with Mina may have allowed him to discover their plans. He is optimistic, however, that the Count will not expect them to track him into his own country. A change comes over Mina, and Van Helsing believes that Dracula has released some of his hold over her spirit. The clue is in Draculas past, which Mina and Van Helsing analyze together: back when he was a mortal warrior invading Turkey, when the invasion failed he fled home and left his army to be cut to pieces. In the same way, he now thinks only of escape and has cut himself off from Mina? not realizing that because she has tasted his blood, Van Helsing can still hypnotize her and learn of Draculas whereabouts. Analysis Chapter 25 Although the Count is able to elude them at Varna, he makes a critical error when he cuts himself off from Mina (note, however, that Mina is still not free from the threat of becoming a vampire). He assumes that he is safe in his castle, and he does not understand that Van Helsings hypnotism, combined with Minas connection to the vampire, will give Draculas enemies a critical edge over him. Van Helsing and Mina both use the terms of physiognomy in this chapter, referring again and again to the Counts child brain. He is a criminal type (Mina even refers to two renowned physiognomists to back up her classification of the Count), and thus he has predictable limitations. He is selfish (he thinks of escape at all costs), and he uses the same strategy whether he is a mortal invading/escaping Turkey or an undead invading/escaping England. Here is another example of the heroes use of science as a weapon against the Count. It must be remembered that many intelligent people took physiognomy very seriously during Stokers time, and that for Stoker physiognomy was a viable tool for understanding and classifying human nature. Its racist/classist biases and unscientific methods are much easier to see in hindsight.

Monday, October 14, 2019

Stamp Duty: Policy Evaluation

Stamp Duty: Policy Evaluation EXAMINING STAMP DUTY: AN IDEAL GOVERNMENT REVENUE MACHINE AND A BURDEN TO BRITISH CITIZENS Stamp duty can be a costly part of any number of common transactions in Britain – from buying a home to investing in a U.K. company. In order to truly understand the degree to which this tax impacts a transaction’s bottom line, it is important to understand all the scenarios in which stamp duty is payable as well as determine what type of relief and exemptions are available. Before determining if stamp duty is an ideal tax, it is also vital to gather expert opinions on the various types of stamp duty, the reasons these taxes were created, and how recent changes are affecting British citizens and businesses. While the government may find stamp duty a perfect fulfilment of taxation principles due to its simplicity and the considerable revenue generated, stamp duty seems to be burdensome and impedes the financial success of many residents who dream of homeownership and to those companies who want to increase their market value through the stock exchange system. There are three types of stamp duty: stamp duty, stamp duty land tax, and stamp duty reserve tax. Stamp duty is â€Å"a charge on instruments† (Thomas 2003). Stamp duty is a general term for a tax that is levied on the purchase of shares and on property. While there is a flat rate for the purchase of shares, the rate for property has a range tied to different home purchase price thresholds. Considered a new tax in its own right rather than an offshoot of stamp duty, the stamp duty land tax went into effect on 1 December 2003 (Thomas 2003). This tax is charged to all land transactions whether or not it is actually stamped, or recorded, in a document (Thomas 2003). Included in these transactions are all types of property, including houses, flats, other buildings and land. What it really is considered is a land transaction but it retains the reference to stamp duty to link its activities to the original taxation system (Thomas 2003). The tax must be paid by the person buying the land and it is calculated as a percentage of the total purchase price. No stamp duty land tax is paid on any transaction under  £125,000. One per cent is paid on anything valued between  £125,000 and  £250,000. From  £250,001 to  £500,000, the tax is three per cent and anything valued at  £500,001 is taxed at four per cent (DirectGov 2006). The stamp duty land tax has been â€Å"founded on an entirely new set of concepts† and is â€Å"directly enforceable against the purchaser under a strict new self-assessment regime† (Thomas 2003). While some of the same relief provisions have been carried through from the stamp duty tax, other changes have been made to discourage certain types of transactions. For example, if the purchase price of a property is  £150,000 and the government has designated that area as disadvantaged, no stamp duty land tax is required (DirectGov 2006). Relief provisions that are retained from stamp duty include all the major provisions except that â€Å"group relief, reconstruction and acquisition reliefs, and charities relief† are now designed in a manner that prevents exploitation for â€Å"tax planning purposes† (Thomas 2003). Relief is now available for builders who make purchases in part-exchange as well as for â€Å"transactions not made for chargeable consideration † (Thomas 2003). The stamp land duty tax was designed to achieve a number of purposes. As with any tax, it was created as a way to raise more revenue for the government. The tax does this by stopping the loopholes in the stamp duty that were â€Å"exploited for planning purposes† (Thomas 2003); requiring the purchaser to file a tax return and pay the tax within thirty days of the close of the land transaction (Thomas 2003), and introducing a new upfront levy on the value of the rental stream over the â€Å"full term of the lease instead of on the average annual rent (Thomas 2003). The last of the three types of stamp duty is the stamp duty reserve tax. This tax is paid on any U.K share transactions when a person buys shares in a company that is incorporated in the UK or in a foreign company that maintains a share register in the UK (DirectGov 2006). These shares can be bought through a stockbroker and completed on paper forms or electronically through CREST, the electronic settlement and registration system (DirectGov 2006). The tax is a flat rate of 0.5 per cent based on what is paid for the shares, not what they are worth (DirectGov 2006). A higher rate of 1.5 per cent is paid when shares are transferred into a depository receipt scheme or a clearance service (DirectGov 2006). The fees are paid through the CREST system if a person uses a brokerage but are paid directly if this system is not used (DirectGov 2006). Even if a person does not pay cash but provides something else of value in exchange for the shares, the stamp duty reserve tax is based on the value of what the person gives for those shares (DirectGov 2006). Other situations that require payment of stamp duty reserve tax is when a person buys an option to buy shares, rights arising from shares and an interest in shares (DirectGov 2006).The only time the stamp duty reserve tax does not have to be paid is when shares are given to a person for nothing or a person buys foreign shares. One area where stamp duty revenue tax has been causing some dilemmas is with unit trusts, open-ended investment companies, and the structure of stakeholder pension products. The best example of this is with companies that provide CAT-marked investments: Stamp duty reserve tax arises when investors buy or sell units in the fund, and is generally paid for by the fund. It cannot be forecast accurately in advance, for the ultimate liability will depend on factors beyond the fund managers’ control. Yet this tax must be included in calculating whether charges to investors meet the CAT standard of 1 per cent a year, despite the fact that it is not a charge made by the ISA provider, but a government tax. This has led providers to question the commercial liability implied by offering a CAT-market product (Warland 2000). The net result of the stamp duty reserve tax is that it is â€Å"complex to administer, very difficult for fund investors to understand,† and did raise significant revenue (Warland 2000). It has been argued by the figures within the City of London, including the London Stock Exchange, that stamp duty reserve tax should be scrapped because â€Å"it undermines the competitiveness compared with other financial centres and distorts securities trading† (Wighton 2006). The National Association of Pension Funds says that stamp duty increases transaction costs, which are then passed onto employers (Brown-Humes 2006). Stamp duty reserve tax is also considered controversial because â€Å"it accounts for a greater proportion of overall share transaction costs†¦because broker commissions and other costs have fallen† (Brown-Humes 2006). In looking at the complete stamp duty tax scheme, the changes in the Finance Act of 2003 were intended to bring reform that was considered long overdue as well as infuse the government with much-needed revenue. Prior to that, legislation had been considered outdated and inadequate especially considering the real value that revenue from such a tax could yield (Thomas 2006). Prior to the Finance Act of 2003, the HM Revenue Customs (HMRC)did not have the power to enforce the stamp duty on any transaction that was not properly stamped (Thomas 2006). To the HMRC, â€Å"clamping down on perceived avoidance was the dominant motive for change† (Thomas 2006). To them, it was â€Å"unfair for well-advised taxpayers to avoid paying tax through good planning, as this puts an unfair share of the tax burden onto everyone else† (Thomas 2006). From this philosophy was born the most recent stamp duty requirements. In looking at the principles of taxation, stamp duty is ideal in that it is â€Å"easy to administer and collect† (Brown-Humes 2006). To everyone else outside of the government, the tax is considered less than ideal. As one of the most hotly debated government schemes and deemed a tax on the masses (Barrow 2006), it has been acknowledged by the chancellor that stamp duty land tax does place a burden on the average British citizen. According to figures released in May 2006, stamp duty is raking in revenues of  £1 billion per month (Barrow 2006) between residential and commercial transactions as well as share investment. These figures far surpass any tax amount ever demanded from citizens in Britain’s history (Barrow 2006). . In fact, one writer went as far as to say that the stamp duty has been one of the most lucrative stealth taxes developed by New Labour (O’Kelly 2006). As one economist noted, â€Å"We have now got to the level where it is hitting mainstream home-owners. It’s only going to get worse† (Barrow 2006). According to Halifax, Britain’s biggest mortgage lender, 2.6 million homeowners had to pay stamp duty land tax (Barrow 2006). That equates to fiv e out of six homeowners feeling this burden (Barrow 2006). Another way to slice and dice the figure comes from the Council of Mortgage Lenders. They found that 55 per cent of first-time buyers and 86 per cent of home-movers paid the tax in September. The government has retorted that there are a number of relief provisions in place. It was recently announced that new – no pre-existing dwellings – that are considered â€Å"zero-carbon† homes sill be completely exempt from stamp duty (Goff and Harvey 2006). While attractive to new homeowners, this is not very realistic as many first-time buyers are not prepared to inhabit in such a revolutionary dwelling or they live in an area where there is not enough renewable energy to power these homes (Goff and Harvey 2006). Another move intended to decrease the burden was the announcement last year to increase the threshold at which stamp duty is triggered (Batchelor 2006). As one finance expert noted, â€Å"If stamp duty had kept pace with rising house prices since 1993 the threshold would have been set at  £190,000† instead of  £125,000 (Batchelor 2006). It seems as if the rising house prices are making the new threshold rate seem ineffective as a relief. As Matthew Wyles of the Portman Building Society said, â€Å"Stamp duty continues to be a deeply unfair tax to all who pay it. The burden of this tax will continue to increase unless the government undertakes a radical alteration to its policy in this area and abandons its current strategy of making the occasional cosmetic tweak to the threshold to keep criticism at bay† (Houlder 2006). The chancellor decided to end â€Å"seeding relief,† which was intended to help on â€Å"transfers of property into a unit trust with immediate effect† (Batchelor 2006). Revenue from taking away this relief is expected to raise  £50 million annually (Batchelor 2006). Recent changes also involved not making partnerships that are involved in a trade or profession responsible for stamp duty for land transactions owned by that partnership (Batchelor 2006). It seems as though the government could still use this lucrative tax to levy sellers instead of buyers since it is usually the sellers who are involved in investment schemes. It might even make sense to still gain this revenue from non-residents who tend to speculate in the property market, making home ownership less feasible for the first-time resident buyer (O’Kelly 2006). While it may seem like an ideal tax in the minds of the government and a solution to stopping investors from exploiting the system, it certainly does nothing to help citizens who are already struggling to buy a home let alone pay the stamp duty required on the transaction. Recent announcements to raise interest rates alongside the intense housing price inflation only exacerbate a domestic problem that has been brewing for as long as the stamp duty policies have existed. Homeownership and investment should not create a financial burden for citizens in Britain because the government wants to resort to an overuse of its taxation powers. The concern, however, is that if stamp duty was ever scrapped and the government continued to overspend, whatever tax scheme replaced stamp duty might be a jump from the frying pan into the fire. REFERENCES Barrow, Becky 23 May 2006, Stamp Duty Rakes in  £1bn a Month, Daily Mail. Batchelor, Charles 23 March 2006, Stamp Duty, Financial Times. Brown-Humes, Christopher 21 October 2006, Stamp Duty’s Hidden Benefit: It’s the Devil-you-know Tax, Financial Times. DIRECTGOV 2006, Tax on Buying Shares, Available at: http://www.direct.gov.uk/MoneyTaxAndBenefits/Taxes/TaxOnSavingsAndInvestments/TaxOnSavingsAndInvestmentsArticles/fs/en?CONTENT_ID=10013514chk=Tac6CP. Goff, Sharlene and Harvey, Fiona 9 December 2006, Exemption from Stamp Duty Seen as Token Gesture, Financial Times. Houlder, Vanessa 7 September 2006, Amount Paid in Stamp Duty Up 30%, Financial Times. O’Kelly, Sebastian 12 March 2006, How Brown is Still Coining It with His Unfair Stamp Duty; the Chancellor is Milking Homebuyers. But Shouldn’t His Stealth Tax Target Sellers Instead? The Mail on Sunday, p. 13. Thomas, Michael 2003, Introduction to Stamp Duty Land Tax, Cambridge University Press. Thomas, Michael March 2006, Stamp Duty Land Tax, 2nd Edition, London: Cambridge University Press. Warland, Phillip 17 February 2000, How Stamp Duty Reserve Tax Threatens Low-Cost Savings, Financial Times. Wighton, David 27 July 2006, Balls Faces Calls to Scrap Stamp Duty, Financial Times. Clinical Psychology: History, Influences and Applications Clinical Psychology: History, Influences and Applications Myrto Giannakopoulou â€Å"Each student is expected to select info and produce an information pack targeted at a field/career of his/her interest in Psychology (e.g. Clinical Psychology, Educational Psychology, Cognitive Psychology – for example, you can select information via observing or/and interviewing a professional [preferable] or secondary reading). The above package will be accompanied by an academic, reflective essay supporting the choice above (e.g. explain your interest on this scientific area of Psychology, describe the basic issues of the professional’s interest in this field, refer to the basic taught psychological terms and concepts that you noticed to this scientific area, etc.)†. Nowadays, applied psychology has four main sub-categories which are clinical, educational, occupational/industrial and criminological/legal. Clinical psychology refers to treating emotional and behavioral disorders. Educational psychologists work with children and adolescents and their families and they give more importance in the efficacy of teaching and learning methods. Occupational psychology is applied into workplaces in order to improve the productivity of the employees and to increase the levels of job satisfaction. Criminological psychology is involved in the criminal and legal system and facilities such as prisons and courts or the police force. It has two branches, forensic and investigative psychology. In this project we are going to analyze the field of Clinical psychology. Clinical Psychology is a part of applied Psychology and it focuses on the treatment and understanding of behavioral and psychological problems. Clinical psychology is often confused with psychiatry because clinical psychologists also work with people with mental disorders and they use the same methods of therapies. Their difference is that psychiatrists can give medicine, thus clinical psychologists are forbidden to do so. Clinical psychology was developed in 1896, when Lightner Witmer, who is regarded as the father of Clinical psychology, established the first psychological clinic in the University of Pennsylvania. The clients of Witmers clinic were children with learning difficulties and with behavioural disorders. Next, in 1904 Alfred Binet and Theodore Simon created the Binet-Simon scale which is a test that can identify children with mental disablement and children with normal mentality and it influenced the development of clinical psychology in USA. Witmer denied the helpfulness of this scale and this is why he disappeared from the scene of clinical psychology. Later, in the early 20s, the psychiatrist William Healy established the Juvenile Psychopathic Institute, the worlds first child guidance clinic. Additionally, Healy in his clinic used the Binet-Simon scale for the children and adapted Freuds theory for the unconventional behaviour. Clinical psychology has been influenced from human physiology. For example, the term psychopathology includes the words pathology (disease) and psyche, which means that mental disorders have a biological basis. In other words, a mental disorder is considered as a dysfunction in the physiology of a person that appears in his behaviour. According to the medicine, the causes of a mental disorder are separated in three general categories: the infectious diseases (e.g. encephalitis which is an inflammation of the brain and its symptoms are familiar with those of dementia, such as memory loss), diseases that are related with the dysfunction of a human organ (e.g. diabetes) and traumatic diseases that arise from external or environmental causes (e.g. a hit in the head can cause cerebral hemorrhage and can also provoke problems in behavior such as coma, memory loss, and personality disorder). Clinical psychologists do more than talk to people who are distressed about personal matter. They often do different types of activities from teaching to psychotherapy to laboratory research and this is why they need to have a special training program in clinical psychology. After obtaining their degree, they can apply for a master course in clinical psychology, which usually lasts three years and at the same time do their apprenticeship, in order to gain experience in their field. Furthermore, research is the basis of all clinical psychology activities. Research programs, help to understand which approach could be more effective for a clinical problem such as depression, anxiety, eating, or panic disorders, personality disorders, phobias, etc. They can also focus on various populations like families, couples, ethnic minority groups such as gay, lesbians, etc. Although not all of the clinical psychologists are involved with research, they should be informed about other researches, in order to improve their own clinical work. Most of them use various tests or questionnaires to help them to their work or to their research. These tests have many measures, such as cognitive, behavioral, neuropsychological etc. On the other hand, in research there are certain problems. The most important is the fact that the researchers and the participants are human and the results are not solid, because the participants behave in a different way than their ordinary life, for example they are too defensive because they try to hide their thoughts from the researchers or they behave too normal, because they know how the experiment works. This happens because the participants are part of the society and n this way they try to be socially accepted and it is known as the Hawthorn effect. Despite all that, psychologists try to use multiple ways of reducing such effects, for example by using double-blind questionnaires. Another important practice that is used in the fields of Psychology is the Evidence-based practice (EBP). It is a process that involves â€Å"the conscientious, explicit, judicious use of current best evidence in making decisions about the care of individual patients† (Sackett, Rosenberg, Gray, Haynes, Richardson, 1996). Specifically, this practice gives to therapists a general guidance for addressing any given disorder in the best possible manner, based on research that they can use, but even if they don’t follow it to the letter is not wrong as long as they act in accordance to their professional experience. Although, it must be pointed out that these guidelines are general and do not take into account each person’s individuality and uniqueness. Another approach to EBP is the Ideograpdic one that takes into account each individual person and its singularity and is used by most health professions. Furthermore, there are three circles of Evidence Based Clinical practice, also known as the† three -legged stool†. The first circle represents the best available research proof, the second circle represents clinical expertness and finally the third circle includes the patient values, the preferences, the characteristics and the circumstances. Those three have to be combine in order to achieve the best clinical practice. Overall, Clinical Psychology is a complex field that parallels the complexity of human behavior and emotion and it combines and links human behaviour to stimulus created by people external environment such as everyday human relationships and interactions, health etc, and it explains the way it affects us. References: Barker M. (2003). Introductory Psychology: History, Themes and Perpectives, Crucial Kendall D., C., Norton Ford J., D. (1982). Clinical Psychology: Scientific and professional dimensions. New York: J. Wiley. Plante T., G., (2005). Contemporary Clinical Psychology, New Jersey: J. Wiley Sons, Inc. Sackett, D. L., Wennberg, J. E. (1997). Choosing the best research design for each question. British Medical Journal, 315, 1636. Wiley Periodicals, Inc. J Clin Psychol (2007). Evidence-Based Practice in Clinical Psychology: What It Is, Why It Matters; What You Need to Know. Journal of Clinical Psychology, 611-631

Sunday, October 13, 2019

Dianne Williams Stepps The Filbert Orchard portrays a uniquely Essays

Dianne Williams Stepp's The Filbert Orchard portrays a uniquely haunting experience. Dianne Williams Stepp's "The Filbert Orchard" portrays a uniquely haunting experience. The poem blaintly attempts to draw the reader in through its critical lense and perspective. Stepp's usage of many carefully connected literary devices creates a distinctive tone, effect, and message that exposes the tragedy behind southern ideology and values during the civil war. The success of "The Filbert Orchard" can then be traced to its tight construction and use of historical references portrayed through literary detail. Stepp's choice of both imagery and metaphor comprise the poems strength in terms of its overall effect and message. Stepp utilizes imagery as a means of developing her message about southern ideology. This can be seen at various points in the poem where emotions, sights, sounds, objects, places, and figures are all being used to demonstrate the purposely behind a lost generation. In that they are continuing to fight even though family and friends may be on either sides. The author is thus indirectly questioning the ethical and moral nature of the south portrayed through her obvious literary judgments: "the way they staggered in rows down the hill. In spring they sprouted sparse flags waved them foolishly at the jays." (Stepp, lines 4-7) In this example Stepp vividly uses the description of a tree for representation of the lost generations pride. Their pride in the sense of fighting a war that seems not worth fighting for both because of the scarcity of men and their inescapable death. Stepp also accomplishes her message through metaphorical comparisons, which aid in expressing the south's futility: "A compa... ... of a story. The ending changes that perspective and shifts the major themes of loss and disullisionment towards a more local individual level The close attention given to literary elements ultimately enables "The Filbert Orchard" to achieve an extreme level of insight into the southern identity and culture during the civil war. Through its exploration of southern values translated into a vivid storyline the reader is blown away by its short profound thematic integration. The poem is aided by its progressive literal development from appealing to the general society to the localized individual. The journey becomes compounded with introspection because of its ornate literary devices. PS MS KASTE: Did you choose this poem because of your interest in Faulkner and its relatable themes? What is your connection or fascination with literature about the south?

Saturday, October 12, 2019

Tuber Cells Essay -- essays research papers

DETERMINATION OF THE WATER POTENTIAL OF POTATO TUBER CELLS. Method. Five sucrose solutions with varying molarity and one control containing distilled water were prepared and poured into test tubes. The potato discs were dried, weighed and added to the test tubes. The discs were then weighed again after a period of 24 hours. The percentage change in mass was then calculated. Apparatus.  Specimen tubes with stoppers x6  1cm3 diameter cork borer  razor blade  filter papers  balance  distilled water  sucrose solutions with varying concentrations  potato cut into small discs Results. (Fig 1.0) Sucrose concentration (M)  Ã‚  Ã‚  Ã‚  Ã‚  Initial mass (kg)  Ã‚  Ã‚  Ã‚  Ã‚  Final mass (kg)  Ã‚  Ã‚  Ã‚  Ã‚  Change in mass (%) 0.10  Ã‚  Ã‚  Ã‚  Ã‚  0.95  Ã‚  Ã‚  Ã‚  Ã‚  1.25  Ã‚  Ã‚  Ã‚  Ã‚  31.57 0.20  Ã‚  Ã‚  Ã‚  Ã‚  0.94  Ã‚  Ã‚  Ã‚  Ã‚  1.13  Ã‚  Ã‚  Ã‚  Ã‚  20.21 0.30  Ã‚  Ã‚  Ã‚  Ã‚  1.03  Ã‚  Ã‚  Ã‚  Ã‚  1.15  Ã‚  Ã‚  Ã‚  Ã‚  11.65 0.40  Ã‚  Ã‚  Ã‚  Ã‚  0.95  Ã‚  Ã‚  Ã‚  Ã‚  1.05  Ã‚  Ã‚  Ã‚  Ã‚  10.52 0.50  Ã‚  Ã‚  Ã‚  Ã‚  0.88  Ã‚  Ã‚  Ã‚  Ã‚  0.86  Ã‚  Ã‚  Ã‚  Ã‚  -2.27 0.60  Ã‚  Ã‚  Ã‚  Ã‚  0.93  Ã‚  Ã‚  Ã‚  Ã‚  0.84  Ã‚  Ã‚  Ã‚  Ã‚  -9.67 Control  Ã‚  Ã‚  Ã‚  Ã‚  0.99  Ã‚  Ã‚  Ã‚  Ã‚  1.40  Ã‚  Ã‚  Ã‚  Ã‚  42.41 Discussion. Osmosis is the passive diffusion of water molecules across a selectively permeable membrane from a down a concentration gradient. The water potential of a system is the tendency for water to exit the system. In this experiment the aim was to measure the tendency for water to leave the tuber cells. As the water potential of pure water is zero the concentration of sucrose in solution will have an effect on the water potential, this is called the solute potential. The greater the concentration of sucrose the more negative the water potential, because water moves from a high to low water potential. When the potato is put into water it contains solute molecules which draw water in providing the external solute concentration is lower. The more s... ...ent was quite limited as the degree of experimental error that could occur gives rise to scepticism over the validity of the results. The cutting up of the potato into pieces of equal surface area and mass was extremely difficult given the equipment available. If error had occurred then this would have an effect on the amount of water moving to and from the cells. However this may have had little influence in this case, as the potato discs were meticulously weighed and cut out. Another area of likely error was the drying out of the discs. There was a degree of difficulty in deciding if the discs were dry enough, and the length of drying time each disc received. If the discs had not been dried sufficiently then the percentage change in mass recorded would have been greater than before. Such a change would result in a more negative water potential, making the results less accurate. If given the chance to repeat this experiment I would like to use more solutions ranging from 0.30M to 0.60M to give a more accurate graph, thus giving a more accurate determination of the water potential. I would also like to determine with the same degree of accuracy the point of incipient plasmolysis.

Friday, October 11, 2019

Exams Should Be Abolished Essay

Exams – a word that many students dread to hear, a word that many students fear of, a word that seems to have the magical power to transform a happy and cheerful person into a frustrated and nervous wreck. What are exams and should they been done away with entirely? Exams are longer and more comprehensive versions of tests held every term. Initially created to monitor and check how a student was performing academically, they now have so much more pressure on them that students are burning the midnight oil to study for an exam. This results in some students becoming ill due to stress and lack of sleep. They have become more and more stressful and, even worse, a constriction to the ideal of learning. It is a well known fact that when it comes to exams, students compete, not only with themselves, but with other students. They no longer want to see an increase in their knowledge, but want to beat other people to the top of the class. Even parents take exams as a race to see whose children are more intelligent. Read more: If There Were No Exams Students shouldn’t be judged on their performance on one day when they might be ill. The exams might not be completely representative of the student’s skills as everyone can have a bad day. They are a poor method of assessment as they don’t reflect the use of knowledge in a practical environment. They don’t reflect how well you’ll be able to use your knowledge in real world occupations. Many successful individuals are bad at exams but can perform well under other methods of assessment such as essays and oral presentations which still prepare students in coping with pressure. Some people would argue that exams are not a fair assessment of intelligence and aren’t favourable to those with poor memory skills, those who suffer under pressure, and those who get so nervous in such situations that they shut down in exams. It’s  very easy to know content but to completely fail an exam because you are nervous. They aren’t an accurate representation of a student’s knowledge as some people are just better at taking exams than others. If you happen to mess up in your exams due to stress or panic then your goals can disintegrate leaving you unable to reach your full potential and having to settle for second best.

Thursday, October 10, 2019

Financial circumstances Essay

The company was a well growing established retailer industry in the market, how ever due to the scandal charges against Wickes. This caused a lot damage to company itself, it gave Wickes a bad status in the market and also they were black listed which meant that the company had a poor financial history so therefore in the future they will be refused on credit products and any other kind of financial circumstances. On the same day the company got black listed which was on the 25th June 1996, the announcement of the scandal was exposed to the public. The announcement of the scandal instantaneously affected the company’s market value to 150 million pound and the stock was suspended from London market trading. So in order for Wickes to operate the business back to the way it was they refurbished its corporate management and also made emends with any shareholders and suppliers they had. This took the company a good two years of hard development. Bye the end of 1998 the company’s profits increased by 653 million pound so therefore sales rise by 27%. They instituted three new stores and redesigned locations to include ornamental and garden commodities. The fraud scandal could have been preventable in many ways, Wickes became aware of this incident when scandal exteriors and auditors thoroughly checked the books and notice the major extensive changes. How ever this could have been notice at an early stage. Wickes could carry out monthly or yearly check ups on transactions account to notice any changes or misappropriate mistakes occurred in the business. Wickes could employee internal audit; internal audit will improve the function of the organisation and consulting action which will be intended to add value to the business, along side meeting the company’s objectives. The organisations objectives will be achieved by bringing an efficient approach to evaluate and develop the efficiency of risk management, control and governance processes. Although to bring in an internal audit to check the operation of the business yearly will be expensive. In my opinion I personally think that Wickes will be able to pay for the expense of an internal audit as they are a fast established business which creates good profit. This will be beneficial for the business as a whole. Another suggestion to prevent the scandal could be to have good ethics and standards in place. The following charges which were made on the defendant were producing false statement and giving false information to the auditor (Arthur Andersen), so therefore Wickes could locate a system which contains a principle of governing morality and acceptable conduct. They could do this by producing a code of ethics which all the employees will have to fallow and can not be broken. Therefore the company will have strict rules and have control over their employees. This will help the business to be safe and prevent employee misbehaviour. An additional idea is to direct different position to different individuals; Henry Sweetbaum was the company’s former chairman and chief executive. So therefore Wickes could have given two individuals them to positions instead of just giving it to one individual. If they were two individuals directed for them positions then they would have had an inter link with one another jobs and would have been aware of what each one is undertaking. So therefore I personally think that the incident of the scandal would have occurred earlier than later if the former chairman and chief executive roles were given to two individual instead of just one. In conclusion I personally think that the fraud scandal which arose in 1996 for Wickes was a huge turn around for the company and now due to this incident they will be more careful now in the future. Wickes will be more alert and aware of how to minimise the risks and the prospect which occur in a scandal. Referencing  http://www.telegraph.co.uk/htmlContent.jhtml?html=/archive/1996/10/17/cwick17.html

Wednesday, October 9, 2019

Paradise Lost Essay Example | Topics and Well Written Essays - 1000 words

Paradise Lost - Essay Example Powerful as God is, if they repented, he would have forgiven them and put things the way they previously were. God cared for man and thus immediately started the process of reclaiming His people from Satan’s grip. First were judges, kings, and prophets who were prominent leaders whose work was to convince the humankind to stop sinning and start obeying their Creator. As a last resort, God sent His son to save humankind from sins before they can join His everlasting Kingdom (Matthews & Platt 110). On the other hand, final destruction awaits those who will be sinning when the Kingdom comes. This is the story about the fall of man as Christianity tells it. The aim of this paper is to analyze the role of man in God’s eternal plan as presented by Milton in his epic book, Paradise Lost. Purpose of the Book. This book explains the origin of today’s cultures and beliefs starting with the fallout between God and one of His archangels, Lucifer. Lucifer then declared war on God, his main aim being to reclaim heaven and overthrow his Creator and Master. First, he organized his supporters among angels and then went on to recruit God’s latest creation; man to his ranks. Man fell to many of Satan’s, another of Lucifer’s aliases, tricks. ... olism and poetry, he also portrays the underlying factors that led to the fall including; Lucifer’s rebellion, the archangel Raphael who was sent to warn Adam of the looming danger and the fight between Michael and Lucifer which led to the latter being thrown out of heaven (Matthews & Platt 111 – 112). In addition, he tells the story about the coming of Jesus and salvation of humankind. Social Sin during Birth. According to Milton, Christianity states that since the original humans sinned, we are all guilty, and have to be forgiven regardless of whether we have sinned or not. Failure to ask for forgiveness condemns humankind to destruction together with Lucifer and his comrades come the last day. Though this is the general belief, humans are not guilty at birth because it is not their fault that the original parents sinned. Earlier teachers of law who used the Torah in their teachings propagated this belief in Exodus 21. However, the truth is that people are born with t he potential to do both good and evil things, and not born evil or good. A person becomes good or evil depending on the line of actions or thought they take. Freewill versus Obedience. Satan was the first angel to exercise freewill. This put Lucifer in opposition to his master, God. God’s anger at him was justified since it brought disorder in the heavenly monarch. Freewill made Lucifer do things that were against laid rules. Despite being a rebel, Satan’s resolve and reasoning is intriguing. His greatest mistake is that he used and continues to use his freewill to go against the Ruler in propagation of evil. If he had decided to have a parallel government ruled by good, maybe his master would have obliged to give him a position of power in His government. Instead, he chose to rebel which

Tuesday, October 8, 2019

Amendment of the VAWA statute Thesis Example | Topics and Well Written Essays - 4000 words

Amendment of the VAWA statute - Thesis Example One of the goals of this legislation was to relieve aliens whose U.S. citizen spouses were abusing them from depending on that spouse to obtain legal immigration status. See Violent Crime Control and Law Enforcement Act, Pub. L. No. 103-322, 108 Stat. 1796 (1994) ("VAWA 1994"). Previously, an alien seeking lawful permanent resident ("LPR," or "green card") status based on her marriage to a U.S. citizen or LPR was entirely dependent on her husband to file an immigrant visa petition on her behalf 1.1See 8 U.S.C. ' 1154(a)(1) (1993) (repealed). Congress was concerned that such women were often pressured into remaining in abusive marriages, in light ofthe threat that their husbands would withdraw the visa petitions if they left, thereby putting them at risk of deportation. See 61 Fed. Reg. 13061, 13061-62 (Mar. 26, 1996) (noting that "some abusive citizens . . . misuse their control over the petitioning process . . . . to perpetuate domestic abuse"). Through VAWA 1994, this statute was amended to allow such an alien to "self-petition" for immigrant classification; to prevail, she was required to demonstrate that she was married to a U.S. citizen or LPR, was eligible for immigrant classification based on that relationship, was residing in the United States and had, at some point, lived there together with the spouse, entered into the marriage in good faith, was a person of good moral character, would experience "extreme hardship" if deported, and, during the marriage, either she or her child "was battered or subjected to extreme cruelty perpetuated by the alien's spouse." See H.R. Rep. No. 103-395 (1993), at 23-24; see also 8 U.S.C. ' 1154(a)(1); 8 C.F.R.' 204.2(c)(1)(i). If the petition is granted, the alien can apply to adjust her status to that of an LPR; if it is denied, she can file an administrative appeal. 8 C.F.R. ' 204.2(c)(3)(i)-(ii). VAWA 1994 also provided a remedy for battered spouses who had already been placed in deportation proceedings, by relaxing the requirements for the form of relief known as "suspension of deportation." See VAWA 1994 ' 40703(a) (codified at 8 U.S.C. ' 1254(a))(repealed 1996); Hernandez v. Ashcroft, 345 F.3d 824, 832 (9th Cir. 2003). This form of relief was repealed altogether in 1996, and replaced with an application now known as "cancellation ofremoval." See Illegal Immigration Reform and Immigrant Responsibility Act ("IIRIRA"), Pub. L. No. 104-208, ' 304(a)(3), 110 Stat. at 3009-596-606 (1996) (amending the INA to add, inter alia, section 240A, now codified at 8 U.S.C. ' 1229b). Normally, a non permanent resident seeking cancellation must demonstrate, inter alia, that she has been physically present in the United States for ten years, and that her removal would result in "exceptional and extremely unusual hardship" to a U.S. citizen or LPR relative. 8 U.S.C. ' 1229b(b)(1). If the alien can demonstrate that she was "battered or subjected to extreme cruelty" by a U.S. citizen spouse or parent, she need only show three years of physical presence, and that she personally would suffer "extreme hardship." 8 U.S.C. ' 1229b(b)(2). If she prevails in her application, then her status is adjusted to that of an LPR. 8 C.F.R ' 240.70(c). If her initial application is unsuccessful, she can appeal to the Board of Immigration Appeals and then to a Court of Appeals; if she is ultimately unsuccessful, she is

Monday, October 7, 2019

The Changing World Assignment Example | Topics and Well Written Essays - 500 words

The Changing World - Assignment Example The assignment "The Changing World" discusses the issue of how rapidly the world is changing as whatever was in place twenty-five years ago, is not the same today and will not be so in the next twenty-five years. And dreaming helps to make things happen as once upon a time, video calling, using the internet and traveling at such fast speed across the world was a dream for most people. The next twenty-five years will help the world witnessed a plethora of changes that affect human lives in general. The technological aspects and potential in the world are immense today, and many scientists from renowned institutes all over the world have stated how speed is going to give its definition a run for its money. In the computer industry, communication, information transfer and using technology will become a much easier job with great speeds that are unimaginable to man today. The use of silicon chips, faster processing systems etc will all help to share information and resources in a much easier and transparent manner. The environment is also a great aspect of what the future might hold in store. Today, it is being abused by a man and thus steps are being taken in order to preserve and conserve greenery in order to have a better future for the generations to come. Global warming should be countered in the future with better technology, the earth will definitely witness some unwanted changes what with the kind of natural calamities and disasters that have been striking because of environmental changes in the atmosphere.