Wednesday, December 25, 2019

Health Care Reform Throughout The United States - 2059 Words

Abstract Health care reform and health care itself has been a debatable subject for quite some time. Health care is a major issue that is found not only in the United States, but around the world. Controversy has gone around this subject due to the causes and effects of the reform and the matter of not being successful as many hoped. The World Prosperity Organization and the Institute of Medicine have two intriguing viewpoints about health care reform and what is needed to be done. The World Prosperity Organization touches bases on medical negligence, premedical education, money, mindset, medical school and the health care system itself. The Institute of Medicine focuses on the need for healthcare to be safe, effective, patient-centered, timely, efficient and equitable. As the viewpoints are noticeably different, they still wrap around the idea that health care reform has room for improvement to be more successful and not have a negative impact on people around the world. The both agree that something needs to be done and done soon. Health Care Reform Health care is an important topic that needs to be addressed more often and looked into more thoroughly. For many years, and even today, our health care system in the United States has effected many and been the cause of numerous cases throughout our country. It must be noted that this problem is not just within our country but various countries around the world. This has caused many people, especially politicians andShow MoreRelatedHealth Care Reform Debate the Pluralistic Prespective1049 Words   |  5 PagesAna Sakalis SOC 335 Prof. K. Bentele February 24, 2012 Health Care Reform Debate The Pluralistic Perspective In this paper I will explain how the portion of the health care debate I chose would be classified under this pluralist framework of government. First I will explain the definition of the pluralist view of how government is structured. Then I will explain a bit of what portion of the healthcare reform under president Obama’s administration I chose to write about and in conclusionRead MoreHealth Care Act Of Indiana And The United States1553 Words   |  7 PagesHealth care in Indiana and the United States has received a lot of attention since the Barack Obama presidential campaign in 2008. Hoosiers in Indiana and Americans throughout the United States lack health care coverage. One goal all individuals have is obtaining health care coverage suitable for their individual needs. Since the health care reform became a big topic of discussion, health insurance has started to become more available. Between Obamacare and work sponsored health insurance, many AmericansRead MoreThe F uture Challenges Facing Health Care in the United States1299 Words   |  6 PagesChallenges Facing Health Care in the United States Liz M. Santiago Dr. Watson HSA 500 March 11, 2012 Identify and describe at least three of the most difficult issues facing health care in the United States today.   Our health care system is complex in the way it is setup and the way it operates. There are many key issues that face the health care system in the United States today. Three of the most difficult issues include diseases, health disparities and paying for health care. Read MoreThe Health Care Reform Act1692 Words   |  7 Pages In March 23. 2010 the Health Care Reform law, also known as the â€Å"Affordable Care Act† was signed to enhance help for the United States health care system. This law is meant to â€Å"provide affordable, quality health care for all Americans and reduce the growth in health care spending, and for other purposes†. Although this is the most recent act to help the health care system, this effort to reform the system has been in action for many years with many failed attempts to succeed. With further researchRead MoreChina Case Study1057 Words   |  5 Pageshealthcare reform effort to improve their healthcare system, and it was launched in 2009. (Shi, 2014) China, like the United States, strives to provide their citizens with quality and convenient healthcare, but health policymaking can also be vastly different between the two countries. China has been dedicated to making many improvements with their healthcare system, but the current state of healthcare reform in China still has a long way to go, especially when it comes to quality of care. (Curto,Read MoreHealthcare Reform And Health Care Reform917 Words   |  4 Pagesconstant battle over health care reform, healthcare in the United States has become a growing problem that must be addressed. While the main controversy seems to be the politics of healthcare reform and whether the government should have total control, the one thing that I believe should be the focus, is the quality of care that is embedded in th e patient doctor relationship. It’s quite troublesome when large health insurance companies are swaying politicians to vote for less health care regulation andRead MoreEssay about The Impact of The Affordable Care Act1660 Words   |  7 PagesThroughout the 20th century and into the 21st century the United States has always had a realization that there was a problem with obtaining affordable health insurance. The Patient Protection and Affordable Care Act (ACA) also known as Obamacare, was signed into law in March 2010. This law enables people who were unable to afford healthcare the ability to obtain a healthcare plan at an affordable rate. In 2009 a survey was taken as to the amount of people in the United States that carried healthRead MoreThe And Affordable Care Act1566 Words   |  7 PagesThe most radical reform made in the United States of America in the past 45 years has been the Patient Protection and Affordable Care Act (ACA). The ACA was signed into law by Pres ident Obama on March 23, 2010 (Key Features of the Affordable Care Act). The purpose of the ACA is to redesign companies within the insurance industry in the United States, mandate everyone in the country to have health insurance, expand public insurances while private insurances subsidize, introduce newer taxes, andRead MoreU.s. Health Care System1142 Words   |  5 PagesIntroduction U.S. Health Care System Health care systems are organizations that are formed to meet the overall health needs of the population. Health care is regarded as one of the leading cause in promoting not only physical and mental health but the well-being of the population. Legislation is implemented requiring government to offer services to all members of its society. The role of health services and the organizations that provide aid is to focus on the health of an individual and to upholdRead MoreHealthcare Finance1518 Words   |  7 Pagesthe United States health care spending grew 3.9 percent. The total health care expenditures reached $2.6 trillion, which translates to $8,402 per person or 17.9 percent of the nation’s Gross Domestic Product (GDP). Health care spending plays a major role in shaping our countrys health care system. Financing health care influences how people access health care, the types of health care provided, and how the cost of health care is distributed among members of society by income and by health status

Tuesday, December 17, 2019

Proponents Of Financial Incentives For Organ Donation Essay

Proponents of financial incentives for organ donation assert that a demonstration project is necessary to confirm or refute the types of concerns mentioned above. The American Medical Association, the United Network for Organ Sharing and the Ethics Committee of the American Society of Transplant Surgeons have called for pilot studies of financial incentives. Conversely, the National Kidney Foundation maintains that it would not be feasible to design a pilot project that would definitively demonstrate the efficacy of financial incentives for organ donation. Moreover, the implementation of a pilot project would have the same corrosive effect on the ethical, moral and social fabric of this country that a formal change in policy would have. Finally, a demonstration project is objectionable because it will be difficult to revert to an altruistic system once payment is initiated, even if it becomes evident that financial incentives don t have a positive impact on organ donation. (http://ww w.kidney.org/news/newsroom/positionpaper03) Challenges and Solutions With the latest medical advances in processing, preserving and storing, organs and tissues can be maintained for a much longer period. In addition to this, work on xenotransplantation ( animal to human transplantation) and stem cell research shows promising results in the near future. Regardless of all this, the gap between demand and supply is continuously widening with a patient being added to the waiting list every tenShow MoreRelatedA Generous Gift or Financial Incentive?973 Words   |  4 PagesA Generous Gift or Financial Incentive? The demand for organ donors far exceeds the supply of available organs. According to the United Network for Organ Sharing (UNOS) †¦ there are more than 77,000 people in the U.S. who are waiting to receive an organ (Organ Selling 1). The article goes on to say that the majority of those on the national organ transplant waiting list are in need of kidneys, an overwhelming 50,000 people. Although financial gain in the U.S and in most countries is illegal, byRead MoreFinancial Compensation for Organ Donation Essay1307 Words   |  6 Pagesreceive a life-saving organ donation, yet only one out of four will ever receive that precious gift (Statistics Facts, n.d.). The demand for organ donation has consistently exceeded supply, and the gap between the number of recipients on the waiting list and the number of donors has increased by 110% in the last ten years (OReilly, 2009). As a result, some propose radical new ideas to meet these demands, including the selling of human organs. Financial compensation for organs, which is illegalRead MoreThe Debate Over Marketing Human Organs Isn t A Laughing Matter2217 Words   |  9 Pagesdebate over marketing human organs isn’t a laughing matter. The truth is that there is a serious shortage of organ donors verses those people needing transplants and that has been on the rise for years (see Figure 1). According to organdonor.gov there are over 120,000 people currently waiting for an organ. 21 people die every day while waiting for an organ transplant and those numbers, people needing organs and the number of people that die while waiting for an organ, are increasing because of medicineRead MoreSelling Human Organs10012 Words   |  41 PagesTERM PAPER RESEARCH : Selling Human Organs ARTICLE 1 : Should people be allowed to sell their organs? Currently, exchanging organs for money or other valuable considerations is illegal, but some members of the medical and business communities would like to change that. One of those is the American Medical Associations influential Council on Ethical and Judicial Affairs. Convinced that the balance of moral and ethical concerns favors the ability to sell organs, they would like the laws to changeRead MoreBiomedical Ethics: Cloning and Sale of Organs4459 Words   |  18 Pages Biomedical Ethics: Cloning and Sales of Organs To Sell or Not to Sell, that is the Question Table of Contents ITEM PAGE # Introduction 3 I. The Initial Horror 3 II. What is Cloning? 3 III. Bioethics 4 IV. Immanuel Kant 5 V. President’s Council on Bioethics (2002) 5 VI. Utilitarian Viewpoint 7 VII. The Debate on the Sale of Organs 8 VIII. Human Rights 12 IX. Justice Approach to Ethics 13 X. DistributiveRead MoreEnding Starvation Essay3266 Words   |  14 Pagesthere is something to this thought. It doesnt make sense to us to pass over the starving in our own country to help children thousands of miles away. This, however, does not free us from our moral obligation to help those who are far away. What proponents of this view are pointing out is that we do have a problem in this country. That simply means we are morally obligated to do something about the starving people here also, not that we are not equally obligated to help people in other countries asRead MoreCorporate Social Responsibility10163 Words   |  41 Pagesthree instances of technosocial problems. Each involves issues that cannot be resolved simply on the basis of scientific or technical reasoning, but call for reflection on and reference to moral principles and practice: * There are not enough organ donations for everyone who needs a liver transplant. How should a physician (or a patient) decide who gets a new liver and who does not--and dies as a result? Should it always be the Mickey Mantles of the world who get priority treatment? * Nuclear wasteRead Moreventure capital Essays16329 Words   |  66 Pagesï » ¿ CHAPTER -1 INTRODUCTION 1.1 INTRODUCTION Venture capital, a financial innovation of the twentieth century, is a long-term liquid investment, which can be in the form of equity, quasi-equity and sometimes debt in new and high-risk ventures. Venture capital became better known after the famous legend of Apple Computers, which started out in the US in 1977 with the capital firm, Arthur Rock Co. Apple Computers then made it to the Fortune 500 and Arthur Rock Co. attained heightRead MoreFundamentals of Hrm263904 Words   |  1056 PagesExternal Factors 272 Geographic Differences 272 Labor Supply 272 Competition 272 Cost of Living 272 Collective Bargaining 273 Communicating with Employees 273 Special Cases of Compensation 273 Incentive Compensation Plans 273 Individual Incentives 273 Group Incentives 274 Organization-Wide Incentives 274 Linking Concepts to Practice: Discussion Questions 256 Developing Diagnostic and Analytical Skills 256 Case Application 10: Rank ’Em and Yank ’Em 256 Working with a Team: Behaviorally AnchoredRead MoreProject Mgmt296381 Words   |  1186 PagesEstablishing Project Priorities 106 Step 3: Creating the Work Breakdown Structure 108 Major Groupings Found in a WBS 108 How WBS Helps the Project Manager 109 WBS Development 109 34 A Portfolio Management System Classification of the Project Financial Criteria 37 Nonfinancial Criteria 39 36 36 Applying a Selection Model 42 Sources and Solicitation of Project Proposals 43 Ranking Proposals and Selection of Projects 44 Step 4: Integrating the WBS with the Organization 113 Step 5: Coding

Monday, December 9, 2019

Emerging Economies in Globalising World

Question: Discuss about the Emerging Economies in Globalising World. Answer: China in the Global Economy The economic transition of China has created long-run implications, not only for the emerging economies but also for the leading economies as well. The International Monetary Fund (IMF) has already rated China as the leading economic superpower of the globe surpassing the United States of America (Stiglitz, 2015). By the investigation of major economic indicators such as Gross Domestic Product (GDP), unemployment rate, and consumer purchasing parity, the economic position of China will be a lot clearer. Over the previous 30 years or so, the Chinese economy has shown significant growth and development to become the leading economic superpower in the world (Schweinberger, 2014). The primary agenda of the article is to identify whether China is in the position to lead the world while the nation has become the economic superpower. In the debate motion, it can be stated that China has lacked the power to lead the global industry. Since the global recession of 2008, the Chinese economy has come a long way as in 2015-16 the GDP of the country has been recorded as US$11007.72 billion. The reports of World Bank can be shown to prove the continuous rise in GDP. In 2017, the expected growth target of China is stated to be 6.5 to 7 percent due to debt buildup and rising risks in financial sectors. According to the data released by the National Bureau of Statistics of China, during the fourth quarter of 2016, the economy has expanded at a rate of 6.8 percent beating the previous data of 6.7 percent (Stats.gov.cn, 2017). Undoubtedly, the cut down in growth rate has been a negative indicator for the economy. In the recent consequences, the economy of China may seem to have lacked the force to rule the global market. However, in reality, the monetary, as well as credit policy of China, can create massive monetary outflows, to say the least (Kamrany Jiang, 2015). Fundamentally, the aggressive monetary policy of the Chinese Central Bank will trigger the major drivers of capital outflows in future. The most negative point in Chinas economy is the debt to GDP. According to the data resources, in 2016-16, Chinas borrowing has hit US$25.6 trillion that is almost equal to 250 percent of entire GDP (The Guardian, 2016). Meanwhile, such massive debt to GDP can be fatal for Chinas economy in the future. Currently, the government of China is in no position to reduce the huge borrowing numbers including household, corporate, and government borrowings. Precisely, the debt-fuelled expenditure can lead to the devastating outcome as far as the economic downturn is concerned. In this particular scenario, though China has been named as the economic superpower of the globe ahead of the US, the economy is in no position to lead the global industry in the upcoming decade or so. The fundamentals of the economy have not guaranteed long-run economic growth as debt pressure will ease up the substantial growth of the economy. Moreover, the current reserves of monetary outflows of the Chinese economy have remained significantly tight under the current circumstances (Wolf, 2016). Based on the economic research, China cannot be the leader of global industry although it may be the economic superpower. India in the Global Economy India is considered as one of the growing superpower of the globe by several economist of the world. According to Diamond (2005), India and China will compete with the United States for the global economic supremacy by the end of 2020. The potential for becoming a superpower is attributed by several economic indicators such as the demographic trend and the fast growing GDP of the nation. According to the report of International Monetary Fund (IMF), India has emerged to be the fastest growing nation of the world with a GDP growth rate of 7.3 percent (Pandey, 2015). Meanwhile, it is important for the country to overcome its social, political and economic problems to lead the global economy. Furthermore, the economic growth of India is also not yet influential in the current scenario over the international platform when compared to the former Soviet Union and United States. Hence, the fact of Indias aspirations to lead the globe are just wishful thinking is quite debatable. There are several factors that support the statement Indias aspirations to lead the globe are just wishful thinking to be false, while there are some factors as well that make the statement true. The factors in favour of India to become a global leader are presented herein below: Future advantage of location: The location of India is favourable for expansion of trade in the future. It is located in the north of the Indian Ocean that connects it with the entire world through sea route. Furthermore, the natural resources available in the country make it a valuable economic power in the globe (Dhanappa Jeur, 2014). Political Factors: India is one of the largest democratic republics of the world and has good trade relations with several major economies. It is one of the emerging markets for the foreign companies (Padma, 2015). Economic Factors: The booming economic growth of the nation is one of the supporting factors for India to become a superpower. It is expected by the IMF that the GDP of the nation will double by the end of 2030. The development of science and technology along with that expansion of the Indian organisations in the foreign market makes the debating statement false (Padma, 2015). Demographic Factors: It is the second largest populated country of the world with skilled workers and increasing literacy level. On the other hand, around 65 percent of the population is below 35 years of age. Military Factors: The Indian Armed Forces consists of two primary branches that are known as the Indian Paramilitary Forces and the Military of India. The Indian Paramilitary Forces is the second largest force in the world, while the Indian Military Forces is the third largest after the United States and China (Dhanappa Jeur, 2014). On the other hand, the factors that are against the Indian economy to become a global leader are presented herein below: Political obstacles: The diverse democracy of the country levies a high amount of tax over the economy. The Government of India has to consult several interest groups before taking any decision (Padma, 2015). Social Issues: India has 29 states with a diverse population belonging to different religion and caste. The caste system and religious barriers divides the country into small groups that makes the economy lag behind. Economic Obstacles: Some of the economic obstacles are the high rate of poverty, unemployment and inflation that pulls back the nation to become a global leader in the future. On the other hand, the infrastructure of the nation and disorganization acts as an obstacle for the economic growth of the country (Dhanappa Jeur, 2014). By considering the above factors, it can be seen that there are several positive factors by which it can be said that Indias aspirations to lead the globe is not just a wishful thinking. But, there are several negative factors that prove that Indias aspiration to lead the globe are just wishful thinking. Hence, it is quite difficult to predict the future possibilities due to the uncertainties that may come in the upcoming years. Therefore, I will both agree and disagree with the debate motion. References China's debt is 250% of GDP and 'could be fatal', says government expert. (2016).the Guardian. Retrieved March 2017, from https://www.theguardian.com/business/2016/jun/16/chinas-debt-is-250-of-gdp-and-could-be-fatal-says-government-expert Dhanappa Jeur, D. (2014). BRICS: Opportunity to India to Be a Superpower.IOSR Journal Of Humanities And Social Science,19(9), 57-60. Diamond, J. (2005).USATODAY.com - Prediction: India, China will be economic giants.Usatoday30.usatoday.com. Retrieved March 2017, from https://usatoday30.usatoday.com/news/world/2005-01-13-long-view-usat_x.htm Kamrany, N. Jiang, F. (2015).China's Rise to Global Economic Superpower.The Huffington Post. Retrieved March 2017, from https://www.huffingtonpost.com/nake-m-kamrany/chinas-rise-to-global-eco_b_6544924.html National Bureau of Statistics of China. (2017).Stats.gov.cn. Retrieved March 2017, from https://www.stats.gov.cn/english/ Padma, T. (2015). India: The fight to become a science superpower.Nature,521(7551), 144-147. Pandey, V. (2015).IMF expects India to retain world's fastest growing economy tag.The Economic Times. Retrieved March 2017, from https://economictimes.indiatimes.com/news/economy/indicators/imf-expects-india-to-retain-worlds-fastest-growing-economy-tag/articleshow/49245651.cms?from=mdr Schweinberger, A. (2014). State Capitalism, Entrepreneurship, and Networks: China's Rise to a Superpower.Journal Of Economic Issues,48(1), 169-180. Stiglitz, J. (2015).China Has Overtaken the U.S. as the Worlds Largest Economy.The Hive. Retrieved March 2017, from https://www.vanityfair.com/news/2015/01/china-worlds-largest-economy Wolf, M. (2016).Chinas future challenge for the world economy.Ft.com. Retrieved March 2017, from https://www.ft.com/content/9bae5ce0-f1db-11e5-aff5-19b4e253664a

Sunday, December 1, 2019

Time As A Determinate Of Final Product In A Dehydration Reaction Essay

Time As A Determinate Of Final Product In A Dehydration Reaction Time as a Determinate of Final Product in a Dehydration Reaction Robert Simack, Department of Chemistry and Biochemistry, University of Alaska Fairbanks, Fairbanks, Alaska. Abstract: This study involved acid dehydration of 2-methylcyclohexanol. The results varied depending on the time elapsed after initial reaction. I attempted to prove the Evelyn Effect, which stated that over a period of time the products of the aforementioned reaction will beobserved to change volume so that those products formed by a cis isomer of 2-methylcyclohexanol will form first. However, once all molecules in the cis isomer undergo reaction the remaining trans configured 2-methylcyclohexanols will proliferate during the latter period of the reaction. I also postulated as to the possible formulation of 1-ethylcyclopentene, and to the cause of such an event. Introduction: After researching acid-catalyzed dehydration reactions (McMurray) and background on the Evelyn Effect (Clausen) I hypothesize that the cis isomer of 2-methylcyclohexanol will react via an E1 type process forming 1-methylcyclohexene according to predictions from Zaitzev's rule (Lehman). This should be due to the fact that the cis isomer has 2 anti-coplanar hydrogens. These two hydrogens should make the molecule more reactive. The trans isomer, with only one anti-coplanar hydrogen, should be slower to react and will form a 3-methylcyclohexene. In addition the 1-ethylcyclopentene will be formed from both the cis and trans isomers but only if the hydroxyl group is in an equatorial position. In that position electrons from the ring may attack the alcohol directly from behind pushing it off the ring and forming a five-membered ring instead. Results the ratio was roughly 6:1 trans/cis. Finally, in the spectra of the third fraction the cis isomer was absolutely imperceptible while the integration of trans was nearly twice that of the integration from fraction one. These spectra show that cis reacted first and was quickly consumed by the reaction leaving trans isomers to finish the reaction. Because it is known that the reaction with cis starting material caused both 3-methylcyclohexene and 1-methylcyclohexene I postulated that the foremost product of the latter stages of the reaction must be 3-methylcyclohexene, which is the sole product of the trans reaction (McMurray, chap. 11.12). In addition to the cis and trans peaks the peaks for both 3-methylcyclohexene and 1-methylcyclohexene could be found on the spectra at 5.7 and 5.4 respectively. The NMR showed that the integration of 1-methylcyclohexene dropped only slightly throughout the reaction while the integration of 3-methylcyclohexene increased nearly tenfold. The fi ndings from the spectra prove the hypothesis that the cis reaction will go the fastest followed by the trans because as the cis is consumed it's peak at 3.79 will decrease as well as the peak for 1-methylcyclohexene due to termination of that products formation. Also, peaks for 1-ethylcyclopentene begin to show in the spectra for the second fraction and increase in size (area beneath the peak) by the spectra of the third fraction. At the root of this phenomena is steric hinderance. Both the cis and trans isomers will form 1-ethylcyclopentene (fig. 1). However, because of steric hinderance the trans isomer is favored to form the 1-ethylcyclopentene. This fact will explain why more of the pentene shows up in the third fraction. Finally, a tiny peak showed at 4.6 in every fraction's spectra indicating the presence of methylenecyclohexane. This product formed from the original product by acid catalyst. Experimental: An apparatus was constructed with a round bottom flask topped by a claisen adaptor in which

Tuesday, November 26, 2019

Free Essays on Women Right To Vote

Women's Right to Vote Written by: Lm4103082 After reading Francis Parkman's article, â€Å"Women Are Unfit to Vote†, I found myself both offended and annoyed. His arguments were not only shaky, but they were also illogical. He states that the family has been the political unit; consequently, the head of the family should be the political representative. He goes on by stating that women have shared imperfectly in the traditions and not in the practice of self-government. Lastly, he suggests women might vote that men should go off and fight in war. Not only are these statements wrong, but they are very much so offensive. Women are humans, too, and they should be treated how a man is treated. We are, after all, of an equal race, so why do we women not get the right to vote? In my opinion,this question cannot be answered logically. Many reasons can contradict Parkman’s statements included in his article, and I plan to do so. To start with, Parkman declares that â€Å"the family, and not the individual, has been the political unit, and the head of the family... has been the political representative of the rest.† He is saying that the men are the head of the family; therefore, they should be the ones that vote. But what if the head of the family is a woman? Let’s say, for example, the husband dies unexpectedly, leaving the woman behind to raise the children and take the position as head of the family. Does she then get the right to vote? Or do we simply deny her that right because she is a woman? According to Francis Parkman, the head of the family is the political representative, and no where in that statement did he once specify the head of the family could not be a woman. Therefore, as long as the woman is the head of the family, they should be granted the right to vote. Many circumstances in one’s life may cause them to become, without notice, the head of their family. As quick as they become the new head, they should then b... Free Essays on Women Right To Vote Free Essays on Women Right To Vote Women's Right to Vote Written by: Lm4103082 After reading Francis Parkman's article, â€Å"Women Are Unfit to Vote†, I found myself both offended and annoyed. His arguments were not only shaky, but they were also illogical. He states that the family has been the political unit; consequently, the head of the family should be the political representative. He goes on by stating that women have shared imperfectly in the traditions and not in the practice of self-government. Lastly, he suggests women might vote that men should go off and fight in war. Not only are these statements wrong, but they are very much so offensive. Women are humans, too, and they should be treated how a man is treated. We are, after all, of an equal race, so why do we women not get the right to vote? In my opinion,this question cannot be answered logically. Many reasons can contradict Parkman’s statements included in his article, and I plan to do so. To start with, Parkman declares that â€Å"the family, and not the individual, has been the political unit, and the head of the family... has been the political representative of the rest.† He is saying that the men are the head of the family; therefore, they should be the ones that vote. But what if the head of the family is a woman? Let’s say, for example, the husband dies unexpectedly, leaving the woman behind to raise the children and take the position as head of the family. Does she then get the right to vote? Or do we simply deny her that right because she is a woman? According to Francis Parkman, the head of the family is the political representative, and no where in that statement did he once specify the head of the family could not be a woman. Therefore, as long as the woman is the head of the family, they should be granted the right to vote. Many circumstances in one’s life may cause them to become, without notice, the head of their family. As quick as they become the new head, they should then b...

Friday, November 22, 2019

Recovery-watch update - Emphasis

Recovery-watch update Recovery-watch update As the seasons turn and the nights draw in, we continue to track how often the terms recovery and green shoots appear in the broadsheets. And we ask: can we look to the newspapers for renewed hope, or mere cold comfort? With only the most intermittent exception, it is the latter. This pessimism has dominated since the news on 23 October that we still havent pulled out of the recession. Our research shows a huge drop-off in references to green shoots: at a feeble 41 (compared with 94 last month, and 167 in August), it is at its lowest number since 2008. This term has been becoming increasingly unpopular, not to mention mocked, as the situation drags on. The amount of articles featuring the word recovery has fallen to 1316 (from 1685 in September), which puts it about level with the June figures: a month when the Government came under attack for their role in the crisis. Theres little gentle solace here. The language of attack, war and brutality is prevalent in Octobers articles: emotive words like decimated, pummelled, crashing and shattering abound. Our hopes are mourned; the tyranny of numbers is feared; and we stand in the debris of shopping streets [] like bombsites. The purpose of such prose, besides sheer frustration by the authors, is unclear. Are we to rally in the face of this (we shall fight in BHS; we shall fight in Somerfields and on the High Street ) or hang our heads in defeat?

Thursday, November 21, 2019

Company Analysis for Nike Essay Example | Topics and Well Written Essays - 2000 words

Company Analysis for Nike - Essay Example The company has agreements with internet companies such as Yahoo and Google. It uses them as a marketing platform for its products. It operates within different companies and subsidiaries. It entered the market originally with different footwear designs. It also deals in apparel designs such jerseys for different football teams and designs sports gear for other games as well. The company produces running shoes with their trademark logo â€Å"Nike† inscribed most of the labels they produce. Today, the company’s logo has grown to include a large range of leisure and sportswear. All this is endorsed by famous sporting personalities such as Tiger Woods. The Company is recognized by the Federal Statistical Classification Agencies that classify business establishments in the United States. This is the body that is charged with collection, analysis and publication of statistical data relating to the businesses within the USA. According to North America Industry Codes, Nike has the code 316211. 31 denote Footwear manufacturing Industry. 62 denote Rubber while 11 denotes plastics. In short, Nike falls under Footwear Manufacturing industry according to NAICS Codes. Nike Company designs, develops and markets high quality and active sports equipment, apparel, as well as other accessory products. The company produces several brands of shoe styles every single day to keep up to speed with different needs of its customers. It deals in trends that appeal to different tastes of its customers (Bogomolova, 2011). This is perhaps a critical success factor for the company. Different customers have a variety of products to choose from. They strive to meet current standards by studying the market and carrying out feasibility studies about new products, a measure that ensures they stay ahead of their competitors. The management of the company ensures that they have closer working relationships foe effective deliberation of

Tuesday, November 19, 2019

Photochemistry of Ruthenium Complexes Essay Example | Topics and Well Written Essays - 1750 words

Photochemistry of Ruthenium Complexes - Essay Example In packed systems, this will lead to two events: the transfer of excitation energy or the transfer of the electron itself to a neighboring complex that has a lower energy level. Eventually, the series of reactions will result in the production of NADPH and ATP. The net photochemical reaction involves the splitting of water, which is the ultimate electron donor, to  ½ O2, 2H+ and 2 electrons (summarized in Mathews and Van Holde). The photochemical reaction in photosynthesis was the basis for developing inorganic systems that can make use of the high potential of solar energy. This is especially important now that supply of fossil fuels like gasoline and diesel is affected by political, climate and environmental events. The recent erratic changes in price and supply coupled with the high demand for fossil fuels increased the search for renewable and cheap sources of energy. Sunlight is free and harnessing solar energy is one of the main objectives for developing photochemical technologies. In this context, ruthenium complexes have very important roles to play. Ruthenium complexes have long been studied for their many uses in the energy, chemical and lately, in the medical industry. Ruthenium (Ru) is a rare transition metal which falls under the platinum group in the periodic table of elements. Its atomic number is 44, and has oxidation states ranging from -2 to +8 but the most common are +2, +3 and +4. In its elemental state, ruthenium is easily oxidized by air to form ruthenium oxide, RuO4. It does not react with acids but easily reacts with bases and halogens. Small amounts of Ru are added to platinum, palladium, gold and titanium to produce hard and tarnish-resistant alloys. Ruthenium, as part of an alloy or when complexed with other compounds, is also utilized in other applications like catalytic reactions, electrolytic protection, optic sensors, microelectronics, organic and polymer synthesis (Dragutan and Dragutan), anti-cancer agents

Sunday, November 17, 2019

Henry Ford Essay Example for Free

Henry Ford Essay Henry Ford was the creator of one of the largest automobile manufacturing companies, influencing society in a number of ways and forever changing the face of the auto industry. One of the reasons for his success was the high priority he placed on his employees’ satisfaction. While Ford had much strength he also had weaknesses that held the company back and threatened to destroy it at times. Ford was a notable member of society and a great peace promoter. Ford’s business style and leadership skills throttled him to success. Background Henry Ford was born in 1863 to farmers in Dearborn, Michigan. Ford grew up living on the farm and attending school, neither of which he was satisfied with (â€Å"Henry Ford: The Innovator†). At the age of 16 his dissatisfaction led him to leave home and travel to Detroit to find work (â€Å"Henry Ford: The Innovator†). He found work at Edison Illuminating Company under Thomas Edison who constantly encouraged him to toy with engines and be creative (â€Å"Henry Ford: The Innovator†). Ford’s tinkering led to the Quadricycle and eventually his first motor company, Detroit Automobile Co. in 1899 (â€Å"Henry Ford: The Innovator†). The Detroit Automobile Co. ailed shortly after it began and he created a new company, Henry Ford, Co. , which lasted about one year (â€Å"Henry Ford: The Innovator†). Ford turned to racing and managed to attract investors with $28,000 to begin his new company, Ford Motor in 1903 (â€Å"Henry Ford: The Innovator†). The auto industry was young and robust at the time (â€Å"Henry Ford: The Innovator†). Most companies were just starting with more and more entering the industry every week (â€Å"The Great Leaders Series†). Competition was fierce and the threat of new entrants was very high (â€Å"Henry Ford: The Innovator†). Ford ran the company until 1919 when he retired, letting his son Edsel take control (â€Å"Henry Ford: The Innovator†). Edsel died in 1943 and Henry came out of retirement until 1947 when he retired for the final time (â€Å"Henry Ford: The Innovator†). Treatment of Employees Henry Ford created a healthy, efficient, and attractive workplace so that he could retain his employees and attract the best. When Ford learned that his turnover rate was becoming a problem, he increased the pay rate to $5 and decreased the shift length to eight hours (â€Å"The Great Leaders Series†). This was unheard of in society at the time (â€Å"The Great Leaders Series†). Many people criticized Ford for this change but Ford knew that by decreasing the shift length, he could create three shifts (â€Å"The Great Leaders Series†). Creating three shifts would allow the factories to work around the clock without tiring the employees extensively (â€Å"The Great Leaders Series†). By making the process more efficient, Ford decreased his costs and was able to make up for the increased employee wages and even was able to lower the cost of the car for consumers (â€Å"The Great Leaders Series†). Henry Ford believed in some form of the Helzberg model. He understood the importance of work and how without work, man cannot reach fulfillment (Wood). Ford believed we were created for work and constantly challenged his employees to work harder and achieve more (Wood). Ford was concerned for the welfare of his workers and created a department of welfare sociology in his company (â€Å"Innovator, Industrialist, Outdoorsman†). Part of this department ensured that the higher wages he paid his employees were not being used to buy alcohol or cigarettes (â€Å"Innovator, Industrialist, Outdoorsman†). This policy kept his workers healthy and thus more efficient. Henry Ford valued his employees and showed that by paying extremely high wages compared to the industry average. He created a healthy work environment and was able to retain his current employees while attracting the best engineers and mechanics from all over the region to his workforce. Henry Ford proved that as a leader if you show that you value each of your workers you will create a loyal workforce. Employees care about more than just high salary, they want to be a part of an organization that places value on their skills and allows them to be part of a team. By following this strategy you will be able to attract a more numerous and higher quality workforce. Strengths Henry Ford believed that self-belief was essential (Wood) . He preached about self-belief to his employees and made an effort to hire those that knew no limitations and did not have the word impossible in their vocabulary (Wood). Henry Ford daily challenged his employees to be creative and think outside the box (Wood). The assembly line, Ford’s legacy and greatest innovation, greatly improved and forever changed the auto industry (â€Å"The Great Leaders Series†). The moveable conveyor belt cut manufacturing time from half a day to 93 minutes (â€Å"The Great Leaders Series†). Henry Ford also changed the way cars were sold by introducing a network of roughly 7,000 dealerships across the country (â€Å"The Great Leaders Series†). Ford was known for his strict, dictatorial style of management, he made most decisions for the company and even was known to monitor employees’ life outside of work (â€Å"The Great Leaders Series†). Even when the public and investors criticized his work and tried to influence him to go a certain way he held fast and proved them wrong (â€Å"The Great Leaders Series†). Weaknesses Ford’s single-handed, dictatorship was also one of his greatest weaknesses (â€Å"The Great Leaders Series†). His stubbornness and dictatorial style almost brought the company to ruin when he refused to allow innovation on his prized model T (â€Å"The Great Leaders Series†). His cars were being surpassed by the competition but Ford refused to update his model (â€Å"The Great Leaders Series†). Another weakness was his anti-Semitic beliefs (â€Å"Anti-Semitism†). Ford was a great admirer of Adolf Hitler’s dictatorial style and thus modeled his leadership style after his role model (â€Å"Anti-Semitism†). This mentality caused Ford to lose a large market of Semitic and pro-Semitic consumers. His competitors gained an advantage not because their product was superior, but because of conflicting values. A leader should avoid letting personal beliefs and values conflict with business. International Strategy After World War II ended, Ford Motor Co. was among the first companies to begin producing again (Wood). Ford’s innovation and vision for the future led him to be able to move into 33 global markets overseas before its competitors even began thinking about international markets (Wood). Henry Ford was a promoter of peace (Wood) . Although this may seem to conflict with his anti-Semitic views, Ford was adamant that international peace was necessary (Wood). He believed that through cooperation and international trade we could achieve this long sought after goal (Wood). Henry Ford was pressured by the president to run for senator but he preferred to be a peace senator (Wood). Working under Henry Ford According to some subordinates of Henry Ford, working in the factories was â€Å"living hell† (â€Å"Henry Ford: Witness Biographies†). The auto-manufacturer was very anti-union and the working conditions difficult (â€Å"Henry Ford: Witness Biographies†). The employees were always pushed to go faster but to produce perfect products (â€Å"Henry Ford: Witness Biographies†). The dictatorial style of Ford was very strict and difficult to manage, but despite the physical and mental toll the employees bared, they wore their Ford badges with pride and honor (â€Å"Henry Ford: Witness Biographies†). Working at Ford demanded respect and they would often wear their badges to church and formal events (â€Å"Henry Ford: Witness Biographies†). Many employees describe the working conditions as hot, dusty, and noisy with vibrations that made you consider finding another job (â€Å"Henry Ford: Witness Biographies†). Some employees mentioned that after an eight hour shift workers would get on the streetcar to go home and fall asleep immediately because they were so physically exhausted (â€Å"Henry Ford: Witness Biographies†) . However others described the factories as kept so white and clean that if an employee was chewing tobacco and spit on the ground it was noticeable immediately and the employee would be reprimanded (â€Å"Henry Ford: Witness Biographies†) . The witness accounts on this subject vary greatly (â€Å"Henry Ford: Witness Biographies†). Although the work was hard and some believed the conditions to be less than desirable, the employees respected Ford’s strict policies and were loyal to the company no matter what. They were proud to work for one of the most innovative leaders in the world. Leadership Implications Henry Ford had a dictatorial leadership style. In terms of Goleman’s situational leadership styles Henry Ford used a combination of Coercive and Affiliative. Ford can be described as coercive because he demanded immediate compliance. He did not stand for imperfect work or lazy employees. His factories were described as stressful and strictly structured. The workforce was mechanistically organized and everyone had a specific place. This style of leadership conflicts with America’s low power-distance status but at that time Ford seemed to be able to make it successful. However, Ford was able to retain his employees with an Affiliative style. He valued his workers and therefore paid them well and created shorter work days. This developed employee loyalty and satisfaction. While researching Henry Ford, it can be learned that his strict, dictatorship and innovative vision was the reason for his success, but it was also his greatest weakness. His stubbornness and self-pride prohibited him from taking advice from others and realizing that his products needed improvement. His leadership style did not allow him to gather opinions and advice on decisions from employees who were also his greatest and most loyal consumers. Conclusion Henry Ford is one of the greatest leaders in American history. He was an industrialist, innovator, peace promoter, and a man with great dedication. He was very successful and changed the auto industry and American society in numerous ways. Although his personal values and personality challenged the success of his company at times, he managed to keep the Ford Motor Co. in a good position and left it in the hands of his son Edsel when he retired. As a leader Ford had both strengths and weaknesses but his strengths overshadow the weak points. Henry Ford is a great American leader that can be looked upon for inspiration.

Thursday, November 14, 2019

Grief Patterns in Children Essay -- science

Grief Patterns in Children A simple child That lightly draws its breath And feels its life in every limb What should it know of death. This question has been posed by many philosophers, religious leaders and psychologists for centuries, yet has been a potent taboo in society even today. As the field of psychology is gaining ground and knowledge in how behaviors affect the way in which we interact with others, we are discovering new ways to approach and view the mental processes of a human and apply them to how a person grieves that loss. But while oft times those assumptions, hypothesis, and theories are made by adults for adults, the child is a more difficult subject in which to study since it has not achieved its mature mental capabilities. For the adult, a full and eventful life is the predecessor of a grasp of what life and death actually entail, whereas for the child a pure and incomprehensible approach is taken when trying to understand and rationalize its loss. These differences cause much pain and suffering for both adults and children when one does not understand what each is going through and needs, especi ally those of the child. It is often mistaken that bereavement, grief, and mourning are all used synonymously, when they are all in fact quite different terms, which are essential to understanding what relates to a loss proceeding a death. Bereavement alludes to the stress that the person who has experienced the loss is feeling, but not necessarily defining the stress' nature. Grief is the actual process that follows in stages which may occur at different times ensuing the death and loss. According to Tom Golden, LCSW, "grief is related to desire. Whether the desire is large or small, if it is not met, (one) will probably have grief." (Tom Golden, Crisis, Grief, & Healing) Mourning, according to Sigmund Freud, is "the mental work following the loss of a love object through death." (Fuhrman, 1974, p 34, quoting S. Freud, 1915/1957) It not only concerns itself with the present loss but also with the future possibility of relationships. But when a person experiences the loss of a parent through death, they are forever shaped and mettled. Although it has been theorized and debated over whether a child mourns or is even capable of mourning, the affirmations on the cases' part have been very well supported. In order to understand the differ... ...h is a process, not an event." (p. 47) When expecting a child to demonstrate certain characteristics, it is not uncommon for the parent to be confused since both are on different levels of recognizing the loss and dealing with it. Attempting to understand and sympathize with the child and to help them effectively deal with their emotions and confusion is very helpful, not only for the child but for the parent. Everyone, at some point in their life, is going to experience a death or have someone close to them experience a death, the key is communication--opening up and being perceptive to the needs of the bereaved. Sometimes the survivors will exemplify attitudes and actions which show independence and strength yet have needs that need to be met. The everyday changes everyone experiences are and can be very burdensome, but for children, with the uncertainty of their worlds and the people that fill them, it may seem almost impossible to deal with. The significance is in helping the children to deal with their loss at a developmentally appropriate level and to help them "get through" their feelings and to rebuild their lives with the environment in which they've been left.

Tuesday, November 12, 2019

World Life Ooo

Key events of World War 2 WW2 started September 1, 1939 and ended September 2, 1945 Leaders of the Allies were Joseph Stalin, Franklin D. Roosevelt and Winston Churchill Leaders of the Axis were Adolf Hitler, Emperor Hirohito and Benito Mussolini 1 September 1939 – Hitler invades Poland 3 September – Britain and France declare war on Germany September 5, 1939 – United States proclaims its neutrality September 10, 1939 – Canada declares war on Germany November 1939 – The Winter war begins. A military conflict between the Soviet Union and Finland) The Phoney War: The Phoney War of WW2 was period of limited military activity in Europe following the invasion of Poland in September 1939 and before the Battle of France in May 1940 March 12, 1940 -The Winter war ends. April 9, 1940 – Germany invades Denmark and Norway May 10, 1940 – Hitler launched Blitzkrieg against Belgium, France, Holland and Luxemburg May 15, 1940 – Holland surrend ers May 27, 1940 Evacuation of British and French forces to Britain at Dunkirk begins May 28, 1940 – Belgium surrendersJune 3, 1940 – More than 300,00 British Expeditionary Force evacuated from Dunkirk June 10, 1940 – Italy declares war on Britain and France June 10, 1940 – Norway surrenders Jun 14, 1940 – France signs Armistice agreement with Germany July 1, 1940 – Germany invades the British Channel Islands July 10, 1940 – The Battle of Britain begins August 23, 1940 – First German air raids on London August 25, 1940 – First British air raid on Berlin September 13, 1940 – Italy invades Egypt September 15, 1940 – Victory for the RAF in the Battle of Britain September 27, 1940 – Germany, Italy and Japan become AlliesOctober 28, 1940 – Italy invades Greece and Albania November 20, 1940 – Hungary and Romania joins the Axis March 7, 1941 – British forces arrive in Greece April 6, 19 41 – Germany invades Greece and Yugoslavia April 17, 1941 – Yugoslavia surrenders to Germany April 27, 1941 – Greece surrenders to Germany June 22, 1941 – Germany attacks Soviet Union as Operation Barbarossa begins July 31, 1941 – Instructions given by Hitler and Goring to prepare for the Final Solution. (The plan to murder the millions of European jews. September 15, 1941 The long German siege of Leningrad begins October 2, 1941 – Operation Typhoon begins and the Germans advance on Moscow 7 December, 1941 – Japan makes a surprise attack on the American naval base at Pearl Harbor in Hawaii. December 8, 1941 – The United States declares war on the Axis powers. January 26, 1942 – First American forces arrive in Great Britain June, 1942 – Mass murders of Jewish people at Auschwitz begins August 22nd – Brazil declares war on Germany and Italy October 23, 1942 – Battle of El Alamein beginsNovember 8, 1942 – Operation Torch begins (U. S. invasion of North Africa). February 2, 1943 – Surrender at Stalingrad marks Germany's first major defeat May 13, 1943 – German and Italian troops surrender in North Africa. September 8, 1943 – Italy surrenders to the Allies October 13, 1943 – Italy declares war on Germany January 27, 1944 – End of siege of Leningrad July 20, 1944 – German assassination attempt on Hitler fails August 15, 1944 – Operation Dragoon begins August 25, 1944 – Paris is liberated October 14, 1944 – Athens liberated. Rommel commits suicideNovember 4, 1944 – Greece is liberated December 16, 1944 – German attack through Ardennes – Battle of the Bulge begins January 1, 1945 – Germans withdraw from Ardennes April 30, 1945 – Adolph Hitler commits suicide May 8, 1945 – Victory in Europe. Germany surrenders. The war in Europe ends August 6: The United States drops atomic bo mb on Hiroshima (killed 80,000) August 8: Russia declares war on Japan August 9: The United States drops atomic bomb on Nagasaki in Japan (killed 70,000) August 14 : The Japanese surrender at the end of WW2 September 2, 1945 – WW2 officialy ends

Saturday, November 9, 2019

Utah Symphony and Utah Opera: a Merger Proposal

Utah Symphony and Utah Opera: A Merger Proposal The Utah Symphony (USO) and the Utah Opera (UOC) Merger was a union that was brought forth by the leadership committee at the USO in Salt Lake City. The proposal was an opportunity to strengthen a struggling symphony with a financially sound opera company. Although mergers between opera and symphony companies in the United States had been successfully in the past, the merging of a two major companies had yet to materialize (Delong & Ager, 2005, p. 2). William Bailey, Chairman of the Board for the Utah Opera Company had motivation to move forward with the merger.Successfully combining the two companies the size of Utah’s Opera and Symphony Orchestra would be a first in the nation, and set precedence for others to follow. If the merger were successful, the proposed name of the new organization would be the Utah Symphony & Opera (USUO), and with its potential draw, it had the power to elevate the Opera to the national stage making i t a tier-one organization, affiliating it with other such powerhouses to the likes of the Los Angeles Philharmonic. In comparison to other major operas, its viability to increase the current combined annual endowment 10 fold was a likely probability.The merger did not come without opposition. Carolyn Abravenal, widow to the longstanding maestro and music director to the USO publicly denounced the new company. Scott Parker, Chairman to the Utah Symphony is best suited to discuss the merger with Mrs. Abravenal to gain her support so that the symphony could achieve the true potential her husband had envisioned. Her husband had given 32 years of his life to the USO building it from a part-time ensemble to a world-class symphony (Delong & Ager, 2005, p. 4). Mrs.Abravenal’s main concern was that the symphony would take a back seat to the opera, conversely, it would lead in name with the new company, the Utah Symphony | Utah Opera. Parker might consider sharing with Mrs. Abravenal t hat the merger was actually his idea and that Anne Ewers was also his choice to take the company into the future. Through Ewers’ leadership, musicians could add variety to their repertoire, giving them access to a broader spectrum of performances. Performing with the Opera would allow for additional productions each year creating rotations for instrumentalists wanting to crossover and perform in oth genres. Combining the two styles could create a pop style opera that could potentially reach the younger demographic, once again increasing revenue. Although Ewers’ experience was primarily in opera, it is her positional power and knack for building fiscally sound companies that made her the easy choice to lead both companies. While the symphony struggled at fundraising, Ewers’ UOC annual budget grew 3X from her predecessor, mainly due to her corporate sponsorships that reached beyond the state of Utah (Delong & Ager, 2005, p. 3).One of Ewers’ first challenges was to get Keith Lockhart, Music Director for the USO onboard with her plan on how to merge the two entities. Lockhart’s concern was the proposed organizational chart that showed him reporting directly to Ewers rather than the Chairman as he had with the USO (Delong & Ager, 2005, p. 14). Ewers personal strengths allowed her to share her vision with Lockhart, however she was dependant on Lockhart’s leadership among the orchestra to help facilitate a smoother transition. The success of the USUO moving forward could only happen with the collaboration of the musicians.It was they who held strength in numbers, and without them the entire merger could collapse. If Lockhart failed to follow along with the proposed plan, Ewers faced an even greater obstacle, dissention amongst the majority of the company. Lockhart expressed concern that had the orchestra not believed in his leadership; they had the ability to render him ineffective as a conductor (Delong & Ager, 2005, p. 9). This exposed a window of opportunity for Ewers to sidestep Lockhart should she feel his efforts were counterproductive.Ewer could meet with the musicians without the presence of Lockhart and share with them that the symphony would not be taking a backseat to the opera, and it was the symphony they depended on for performances due to their year round schedule. The new direction could potentially allow for expansion of the symphony if they were to become the sole orchestra for the opera. This could allow for either growth in headcount, or increased pay from the additional productions. If they were successful in becoming a Group I orchestra, this would give them national exposure and perhaps advancement onto grander stages.This approach for power and affiliation might be the key to motivate. The final obstacle Ewers faced was overcoming the concerns of the opera trustees, full-time staff, along with the artists. What Ewers had in her favor was that the each entity in its own was net po sitive in their income statements for 2000-2001, and both were forecasting the same in 2001-2002 (Delong & Ager, 2005, p. 15). The symphony was operating without a CEO, which made it easy for the opera leadership to take step in and take charge.This would ensure a seat at the helm, and someone that could operate with the opera’s interest in mind. With the positional strengths of Ewer, she could exercise her marketing strategies for the symphony and tap her existing base to increase their annual contributions. If Ewers was successful in pulling all the departments together to support the merger, she will have demonstrated her strengths to overcome obstacles no other symphony and opera had been able to do in the history of our country. It was an opportunity to create precedence and pioneer a process for others to follow.Ewers would eventually complete this venture and lead the USUO for the next five years until her departure to the Kimmel Center for Performing Arts where she be came the President and CEO of Kimmel Center, Inc (Kimmel Center, Inc. 2010). References Delong, T. J & Ager, D. L (2005, August 8). Utah Symphony and Utah Opera: A Merger Proposal. Harvard Business Journal, 9-404-116, 1-16. Kreitner, R. & Kinicki, A. (2010). Organizational Behavior, 9th Edition. New York: McGraw-Hill Higher Education Kimmel Center, Inc. (2010). Anne Ewers. Retrieved from http://www. kimmelcenter. org/about/anne. php

Thursday, November 7, 2019

Definition of Wilmot Proviso

Definition of Wilmot Proviso The Wilmot Proviso was a brief amendment to a piece of legislation introduced by an obscure member of Congress that set off a firestorm of controversy over the issue of slavery in the late 1840s. The wording inserted into a finance bill in the House of Representatives would have repercussions that helped bring about the Compromise of 1850, the emergence of the short-lived Free Soil Party, and the eventual founding of the Republican Party. The language in the amendment only amounted to a sentence. Yet it would have had profound implications if approved, as it would have prohibited slavery in territories acquired from Mexico following the Mexican War. The amendment was not successful, as it was never approved by the U.S. Senate. However, the debate over the Wilmot Proviso kept the issue of whether slavery could exist in new territories in front of the public for years. It hardened sectional animosities between North and South, and ultimately helped put the country on the road to the Civil War. Origin of the Wilmot Proviso A clash of army patrols along the border in Texas sparked the Mexican War in the spring of 1846. That summer the U.S. Congress was debating a bill which would provide $30,000 to begin negotiations with Mexico, and an additional $2 million for the president to use at his discretion to try to find a peaceful solution to the crisis. It was assumed President James K. Polk might be able to use the money to avert the war by simply buying land from Mexico. On August 8, 1846, a freshman congressman from Pennsylvania, David Wilmot, after consulting with other northern congressmen, proposed an amendment to the appropriations bill that would ensure slavery could not exist in any territory which might be acquired from Mexico. The text of the Wilmot Proviso was one sentence of less than 75 words: Provided, That as an express and fundamental condition to the acquisition of any territory from the Republic of Mexico by the United States, by virtue of any treaty which may be negotiated between them, and to the use by the Executive of the moneys herein appropriated, neither Slavery nor involuntary servitude shall ever exist in any part of said Territory, except for crime, whereof the party shall be first duly convicted. The House of Representatives debated the language in the Wilmot Proviso. The amendment passed and was added to the bill. The bill would have gone on to the Senate, but the Senate adjourned before it could be considered. When a new Congress convened, the House again approved the bill. Among those voting for it was Abraham Lincoln, who was serving his one term in Congress. This time Wilmots amendment, added to a spending bill, moved on to the Senate, where a firestorm broke out. Battles Over the Wilmot Proviso Southerners were deeply offended by the House of Representatives adopting the Wilmot Proviso, and newspapers in the South wrote editorials denouncing it. Some state legislatures passed resolutions denouncing it. Southerners considered it an insult to their way of life. It also raised Constitutional questions. Did the federal government possess the power to restrict slavery in new territories? The powerful senator from South Carolina, John C. Calhoun, who had challenged federal power years earlier in the Nullification Crisis, made forceful arguments on behalf of the slave states. Calhoun’s legal reasoning was that slavery was legal under the Constitution, and slaves were property, and the Constitution protected property rights. Therefore settlers from the South, if they moved to the West, should be able to bring their own property, even if the property happened to be slaves. In the North, the Wilmot Proviso became a rallying cry. Newspapers printed editorials praising it, and speeches were given in support of it. Continuing Effects of the Wilmot Proviso The increasingly bitter debate over whether slavery would be allowed to exist in the West continued through the late 1840s. For several years the Wilmot Proviso would be added to bills passed by the House of Representatives, but the Senate always refused to pass any legislation containing the language about slavery. The stubborn revivals of Wilmots amendment served a purpose as it kept the issue of slavery alive in Congress and thus before the American people. The issue of slavery in the territories acquired during the Mexican War was finally addressed early in 1850 in a series of Senate debates, which featured the legendary figures Henry Clay, John C. Calhoun, and Daniel Webster. A set of new bills, which would become known as the Compromise of 1850, was thought to have provided a solution. The issue, however, did not die completely. One response to the Wilmot Proviso was the concept of â€Å"popular sovereignty,† which was first proposed by a Michigan senator, Lewis Cass, in 1848. The idea that settlers in the state would decide the issue became a constant theme for Senator Stephen Douglas in the 1850s. In the 1848 president the Free Soil party formed, and embraced the Wilmot Proviso. The new party nominated a former president, Martin Van Buren, as its candidate. Van Buren lost the election, but it demonstrated that debates about restricting slavery would not fade away. The language introduced by Wilmot continued to influence anti-slavery sentiment which developed in the 1850s and helped lead to the creation of the Republican Party. And ultimately the debate over slavery could not be solved in the halls of Congress, and was only settled by the Civil War.

Tuesday, November 5, 2019

Gonna, Gotta, Wanna

Gonna, Gotta, Wanna Gonna, Gotta, Wanna Gonna, Gotta, Wanna By Maeve Maddox Although not hearing impaired, I watch television with captions enabled. I like to see how words are spelled and how the running text differs from what is actually said by the actors and presenters. When I began to notice a frequency of the spelling gonna for â€Å"going to,† I decided to do a little research. I discovered that gonna has an entry in the OED: gonna: colloquial (especially U.S.) or vulgar pronunciation of â€Å"going to.† Not only gonna, but wanna, gotta, and shoulda also have entries in OED, although they do not appear in Merriam-Webster. Gonna, gotta and wanna are not contractions. Contractions are shortenings like aren’t and can’t. The missing letters have been replaced by an apostrophe, and the original words are discernible in the contraction. Contractions are acceptable in all but the most formal writing. Here are a few standard contractions: aren’t = are not can’t = cannot couldn’t =could not didn’t = did not doesn’t = does not don’t = do not hadn’t = had not hasn’t = has not haven’t = have not he’d = he had, he would he’ll = he will, he shall he’s = he is I’d = I had, I would I’ll = I will, I shall I’ve = I have isn’t = is not it’s = it is let’s = let us The spellings gonna, gotta, and wanna, on the other hand, do not preserve the shape of the words they represent. They are not contractions, but reductions. A linguistic reduction is the result of relaxed pronunciation. All speakers of all languages slur sounds and words together. Doing so is a normal part of spoken language. The more informal the situation, the more slurring goes on. Speakers who are sensitive to the needs of others will speak more carefully in some situations than in others. For example, teenagers who barely move their lips when speaking to one another may be expected to enunciate in the classroom. Courteous native speakers will take the trouble to pronounce words carefully when speaking to non-native speakers. Any English speaker who has received a formal education of ten years or more may be expected to speak clearly when being interviewed on television. Reductions are not unknown in print. Novelists have long spelled out whatcha and coulda in dialogue in order to convey a character’s attributes. Until recently, however, such spellings were not commonly seen outside of fiction. Gonna and gotta are not unexpected in song lyrics and on social media like Facebook, but now they are creeping into news coverage. Here are some examples from transcripts and quotations that have appeared on news sites: â€Å"He’s gonna get to the bottom of what happened at the Fort Hood shooting.† â€Å"I have no doubt she’s gonna run,† says Black. â€Å"We’re gonna try to construct a bipartisan bill.† Reductions heard in speech are not particularly jarring, but when they appear in print, they scream â€Å"Ignorant!† Unless a journalist desires to present a senator in a negative light, â€Å"going to† is a better choice than gonna, even in a direct quotation. Professional writers especially might be expected to avoid nonstandard usage and spelling, but the evidence on Amazon is that for many authors, gonna, gotta, wanna, and even whatcha and coulda are acceptable written English. Here’s a sampling of book titles: Dude, You’re Gonna Be a Dad! 10 Things You Gotta Know About Choosing a College I Wanna Iguana (This one is the title of a children’s book.) Whatcha Gonna Do with that Duck? Coulda Been a Cowboy Time will be the judge. An Ngram search shows that the use of gonna in printed books has risen dramatically since the 1960s, and gotta and wanna are making a little progress. It’s possible that these words will become acceptable in standard English one day. Meanwhile, their use does not reflect well on writers who wish to be taken seriously. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Style category, check our popular posts, or choose a related post below:Wether, Weather, WhetherProbable vs. PossibleUsing "zeitgeist" Coherently

Sunday, November 3, 2019

Educating Aboriginal Children Essay Example | Topics and Well Written Essays - 2000 words

Educating Aboriginal Children - Essay Example The shift from this stance has been gradual. Many aspects of the Aborigines' lifestyle including cultural values, skills, behaviour and language are still considered as primitive and bad. Aboriginal English, which is a dialect of English used by their group, is considered as lazy and incorrect (Eades, 1995). There are several theoretical as well as practical implications of this kind of attitude for Aboriginal children in the school system. After closely examining case study one, it is evident that Ben's problems in class have their origin in his Aboriginal heritage. His English teacher views Ben's language skills as deficient and in need of urgent addressing The teacher's attitude is that Ben needs to change his language inorder to be assimilated into the society and does not consider integrating Ben's home language in the classroom. The classroom teacher perceives Ben to be behind in his stage development. The teacher is convinced that if Ben's speech patterns are not corrected, it would affect his future learning ability (case study 1). The teacher takes it upon herself to consult with the mother inorder to point out the problem to her so that together they may address the "anomaly". She considers it to be Ben's mother's job to teach him what she considers proper language so that he may be able to catch up in school. The teacher ignores the fact that Aboriginal English is the home language of both Ben and his mother. Ben's grandfather spoke the traditional Aboriginal language. It can therefore be presumed that Ben has only been exposed to Aboriginal English since his family as well as the surrounding community spoke Aboriginal English to him. His mother could not have taught him Standard English since she herself spoke Aboriginal English most of the time. According to the case study, the teacher has failed to recognize Aboriginal English as an important language used by the indigenous people. She also does not take into account the vast differences between Aboriginal English and the Standard English in her evaluation of Ben's literacy development. She has thus formed an opinion based on her misconceptions. Due to being treated as a special needs child, Ben has withdrawn to himself whereas he was outgoing. He has been unfairly targeted as a slow and lazy child just because he had learnt to speak Aboriginal English all his life while now he is expected to use Standard English in school. Aboriginal English refers to the numerous kinds of English spoken by the Aboriginal people in Australia. It originated from the British settlers who due to their reluctance to learn the indigenous languages made it necessary for the aboriginal people to, learn some English in there relations with them. The language that developed was simplified English used in situations of limited contact (Eades 1995). However the language gained prominence when different aboriginal groups began to use it. In the subsequent developments the language resulted in widespread Aboriginal dialects of English. Today aboriginal English is an important means of communication for most of the aboriginal people. It is also important to the aboriginal identity. (Eades 1995) The language bears several similarities to the Standard Engl

Thursday, October 31, 2019

Brand Positioning Statement Coursework Example | Topics and Well Written Essays - 750 words

Brand Positioning Statement - Coursework Example This strategy of management evolved the idea of printing one-liners on the packing covers of different products set for sale. These promotional lines silently acknowledge the advantages with indications of different variable of purchase ranging from the name of the product to its value expectations. The statements pose implications of comparative references of the product with similar ones of various other contender companies and influence the buying choices made by the customer. These powerful but composed lines are beneficial to the company as it saves time of the sales executives in a busy environment while they provide for the independent choice of information search preferred by customers to hectic and stereotypic listening process forced on them. Successful descriptive has always enhanced the sales volume of many products; majority of them were one-liner tags that influenced people who eventually utter the taglines as they demand a new brand at retail sales spots. Most importan tly, they assure the committed narratives of the product prior to the final choice made by the customer to buy it or ignore. However, brand positioning statements are the most visible logic that helps promote business and pose and intellectual domination of the product over its substitutes in the market. The following is an example of a set of brand positioning statements Segway HTÂ ® could have used for the product launch. The brand positioning statement of Segway HTÂ ® may be designed in the following way. The Segway HTÂ ® is a two-wheeled electronic human transporter that is governed the inbuilt gyroscopes and tilt sensors. The Segway HT Â ® meets the self-transporting demands of employees and student to regularly travel short distances with provisions for electronically guiding the machine through busy and uneven tracks without loss of time stuck at traffic jams. The Segway HTÂ ® enables the mobility of people with least minimum operative input requirement for commanding th e speed and direction of the motion. The SEgway HTÂ ® is a digitally speed-governed sophisticated machine with an exclusive option of control switches to regulate the speed of the motion relative to the nature of surface and track environment. The Segway HTÂ ® assures easy operation of the machine with suggestion for perfect training for excellent use. The Segway HTÂ ® is powered by dual back up of energy sources for uninterrupted transport unlike other machines of human transport. The Segway HTÂ ® gives the best value for money with the longest endurance among all handy transport machines. (Source: Brandeo). The action plan The operational management is required to frame a target oriented action plan to meet the challenges expected to develop in the market segment with absolute concern for improving the sales of the product. An innovative venture should always be confidentially managed before the finalization of design and market research details. As an essential platform for e asy sales of the product, it is important to conduct surveys on the demand of the product among people of different cities and their ability to buy them. The final plan of the design as well as the price fixation needs to be carried out independently by the concerned departments, but focus should be kept on the universal applicability of the product. In case of a human transporter, the marketing challenges are mainly the social issues like high traffic, damaged pavements and unpredictable conditions of crowding

Tuesday, October 29, 2019

Diversity and Belief Essay Example | Topics and Well Written Essays - 750 words

Diversity and Belief - Essay Example The first aspect that Chaves discusses is ‘belief,’ the current trend towards belief is very different. Few Americans today are not enthusiast on a particular literal reading of the Bible as they did few years ago. And many are opting a diffusion of spirituality. One of the attribute that Chaves has described as the cause of lowering literal bible reading is due to education. Education system has been formulated with a very rigid curriculum that has cast aside the literal bible reading. The weakening in religion can also be attributed to the gradual drop of religious meetings, elderly congregation and less cohesive. In today’s world there is an increase of televangelists who are characterized with unending scandals and other disgraces that have surrounded a church like catholic. Most of the Churches that are likely to suffer this is the congregations that are more liberal, those that are conservatives seems to be affected in a minimal way. Chaves indicated that lo wer membership in liberal churches is not as a result of liberalizing ideas, on the contrary more people are to the opinion of liberal idea. A puzzling question regarding this thought is, are the liberal ideas religious or humanistic? One of the most amazing trend of American religion since 1970s is that conservatism and religiosity are embedded together. This a false sign that most people perceived since they thought that the force of religion was developing which was not the case. Another phenomenon that was perceived as a reason to dictate that religion was growing was the introduction of Mega churches, which focuses on crowds and programs. Many churches are not concerned about religious belief, they want to be perceived as huge churches with numerous followers.it is due to such reason that suggests that religion was developing gives untrue perception since only more people are

Sunday, October 27, 2019

Masculinity In Victorian Gothic Novels

Masculinity In Victorian Gothic Novels In both Robert Louis Stephensons The Strange Case of Dr Jekyll and Mr Hyde and Bram Stokers Dracula, social expectation reveals anxieties surrounding sexuality in the Victorian period. Stephensons novel depicts the masculine as a vehicle of self denial where the protagonist Jekyll will not allow himself to surrender to his immoral alter-ego. In a similar way, the novel Dracula depicts sexual power as a major threat to masculinity, whereby the male characters refuse to permit the females to act upon their sexual desires for fear that such liberation will destabilise patriarchal control. Whilst Victorian ideology is not outwardly challenged in the novels, as liberation sexual or otherwise is entirely condemned, investigating the function of the masculine reveals a somewhat radical gender ideology which contests Victorian expectation. In general, critics comment on oppression of the female within the Victorian period and overlook the same subjugation faced by men. Female disempowerment is commonly recognised whereas male suffering in the context of the same social rigidity is often omitted in criticism of the time. Critic George Landow comments that feminist analysis of the Gothic focuses on the concern of the stereotyping of the female characters according to male fantasy, however Stokers Dracula indulges the male imagination by subverting stereotypical female characters and allowing women power through sexual liberation. Stoker challenges Landows comments that it is only the feminine that suffers under marginalisation of the stereotype by presenting masculine subjugation as a consequence of social restraint. Critic Cyndy Hendershots work on male oppression in Victorian society further challenges ideology of the time. She argues that, generally, the notion of Victorian masculinity is ambiguous as stereotypical an d presumptuous representations of male characters are rarely questioned. Stefan Collini is a critic who acknowledges the ambiguity surrounding representations of Victorian masculinity. He comments that there appears to be a general consensus of gender ideals whereby the accepted single, rigid idea of Victorian masculinity remained unquestioned. Collini suggests that the concept of Victorian masculinity as heterosexual rises from an unquestioned assumption of this as the norm. As a result, it seems that the novels work to challenge accepted roles of gender and sexuality within the Victorian period. Within Victorian society, one of the fundamental concerns was the preservation of reputation. Alongside this concern lay an anxiety over sexuality and how to express and, in turn, suppress, sexual desires. In many ways, the oppressive nature of society, and consequently the inability for men, as well as women, to be sexually expressive, only heightened the fascination of a more sinister side of sexuality. In Jekyll and Hyde, there is a major emphasis on the value systems within Victorian society, especially with regards to their concern to preserve reputation. This is made evident through the characters of both Utterson and Enfield, both respectable members of the society who consider gossip as detrimental to a persons reputation. Dr Jekylls major concern is the way in which others perceive him and he is conscious to maintain an upstanding reputation throughout the novel. On the other hand, the character of Hyde is presented as wholly monstrous and as a means through which Jekyll can become uninhibited, unleashing the emotions society compels him to contain. The characters are anxious to remain within the boundaries of social expectation, yet this overbearing force of constraint is often detrimental as it is clear in both novels that what is constantly suppressed is ultimately released. It is interesting to consider the role of the male characters within the novels as it is evident that the masculine is not, as it would first appear, prioritised. Moreover, the omission of the female, which would generally suggest lack of authority on the part of the feminine, suggests here that the male characters are problematic to themselves, exposing the weakness of the male in a supposedly patriarchal society. In Jekyll and Hyde, the way in which the male characters are so evidently anxious about women and sexuality, despite the fact there are no predominant female characters, suggests that the masculine sphere is continually threatened by female influence. In many ways, the removal of the feminine exposes the flaws of the masculine, and shows that it is not the female who causes the male to suffer but the male alone. The threat of female sexual expression despite the lack of females within the novel demonstrates the psychological turmoil the men face under the constraints of th e Victorian society. Dracula uses female sexuality as a threat to men, again demonstrating the power that women hold over the men and consequently emphasising the weakness of the male. One of the key themes within Stokers novel is the fear surrounding sexual expression. Female sexual expression is seen as a threat which provokes a form of pleasure in the male imagination. The characters are liberated from the pressures of social constraint by means of the imagination, through which they can give a free rein to their sexual desires. Female sexuality is fundamental to the novels exploration of the role of the male within Victorian society as the novel shifts power from one gender to another, as the females exercise their voluptuousness and the men act to maintain social order. Critic Heath comments that feminism makes things unsafe for men, unsettles assumed positions and undoes given identities. Stokers Dracula confirms this theory in its exploration of sexually powerful women who threaten patriarchal authority. On the other hand, the way in which the female characters transform into vampire vixens is not categorically a feminist depiction as the females simply tran sform into embodiments of Dracula, meaning that they shift and take on a masculine form in order to gain power. The three females who become sexualised are clearly representations of gender subversion as they seek to dominate Harker and use him to fulfil their own sexual urges. Yet, in many respects, these females must adopt the role of the male in order to acquire any form of power. Their sharp teeth, which they are determined to bite Harker with, are undoubtedly phallic symbols which epitomise the penetration of the victim. Ultimately, the way females attain power in the novel is through masculinity, therefore gender ideals are not subverted in this sense. Although female characters in the novel are permitted a degree of power and sexual liberation, masculinity remains as the more powerful position. Stoker uses Freudian theory in his novel in order to examine sexuality in the Victorian period without appearing overtly critical of the society in which he lived. The vampire element of the novel distances the reader from the society being described and yet there are noticeable parallels which suggest Stokers deliberate attempt to challenge accepted ideology. Dracula begins with a description of Jonathan Harkers description of how he arrives at the castle. Harker uses the word uncanny in this description which immediately makes reference to Freuds theory, published in 1919, on the uncanny. This theory is referenced throughout the novel, as the vampire who brings about death with his mouth, is representative of the first stage of psychosexual development, according to Freud. It is at this stage where, Freud believes, the person develops the compulsion to destroy that which is living. The characters of Lucy and Mina are presented as being wholly devoted to the men in their lives. This innocence depicts these women as both docile and two-dimensional. Dracula threatens to change these women into devils of the Pit and give them power through sexualisation, and it is only through these transformations that the female characters may acquire a voice within the text. When Lucy Westerna is transformed into a sexual being by Count Dracula, she changes from a weak and passive female character into a vampire vixen who seeks to satisfy her own sexual desires. She is at first submissive at the hands of the male characters but, once she becomes sexualised, she hunts for to use men for her own advantage and fulfil her sexually. Stokers Dracula investigates the possibility of a kind of fluidity within gender roles. When Lucy transforms into a voluptuous vampire, any potential male suitor is warned off at the demand of any form of objection to established sexual identity. The men are perturbed at the prospect of a woman usurping power and subverting accepted roles. Lucys transformation is seen as so insubordinate of social expectation that Van Helsings men are determined to destroy her in an attempt to reinstate social order. The men are fearful that Mina will also be transformed and dedicate themselves to controlling female sexual behaviour in order that the women do not become disparaged socially and therefore incapable of any relationship with them. The mens fears over the womens transformations are entirely selfish as they feel unsafe with any attack on social order. Dracula mocks them saying your girls that you love are mine already; and through them you and others shall yet be mine. He suggests here tha t his transformation of women into sexualised vampire vixens, where their sexual desires are uncontained and liberated, leaves men exposed and will ultimately destroy patriarchy within society. Stoker depicts Victorian horror at the thought of a sexually liberated woman through his description of Harkers own fear at confronting the vampires. His confusion surrounding the kiss of the vampire, where he feels both desire, in his longing for the kiss, and deadly fear at the same time, is representative of the way that Victorian society constrained the mobility of sexual desire for men, as well as for women. His confusion as to whether he was dreaming in his visions of pleasure as the women approached him suggest that he will not allow himself to consider any sexual desire as real and he will not confront his feelings. He decides that if the vampires are more than just visions then they will drink his blood, making themselves stronger and, in turn, weakening him. However, he is still fearful of these vampires if they are simply visions as they still threaten to drain him of semen, as they are providing him with sexual pleasure, as he lies in languorous ecstasy. Harkers weakness as a male is revealed when he is described as being both sickened and excited by the thought of any sexual contact with the female vampires. This demonstrates the oppressive nature of Victorian society in that Harker was forced to subdue his desires as he did not have the power to act upon them. The way in which Stoker depicts Harkers fear in losing valuable fluid, whether blood or semen, in either situation, presents an image of the collapsing patriarchal structure of Victorian society. Stoker may be warning men of this social change, but it seems more likely that he is encouraging social ideology to be reconsidered. The function of the vampire in the novel can be considered as a representation of sexual oppression. The male characters in Dracula all fight to contain female sexuality as they panic for their own wellbeing. In Christopher Crafts essay on gender and inversion in the novel, he argues that Dracula uses gender stereotypes in order to encourage exploration into sexuality and in order that social expectation can be re-imagined. He comments that the novels depiction of transformation, whether from victim to vampire or from vampire to the victim, permits an investigation into sexuality and gender. Often, the way in which the novel challenges oppressive Victorian society is overlooked in favour of its apparent denunciation of gender inversion. Dracula seems to imply a failing on the part of women who seek to subvert conventional social roles and yet in many ways the females are not permitted any form of power as they adopt masculine qualities when they are transformed into vampires. It can be said that gender roles are not definitively reversed in the novel, as the females must become male as they become vampires. In becoming male, the female vampires lose any maternal sense as they prey on innocent children and they become penetrators in their desire to suck blood from their victims. The novel, therefore, has no real female representation, suggesting that Stoker was not setting men and women up against each other but commenting on society as a whole. Dr Jekyll and Mr Hyde is a novel which confronts anxieties of the Victorian period. The narrative presents the idea of one body which contains two opposing personas. Dr Jekyll, who is well-educated and an upright member of society is contained within the single body alongside the wholly immoral Mr Hyde. Dr Jekylls underlying desire to liberate himself from the oppressive society in which he lives is outplayed through his alter-ego Mr Hyde, who enjoys the freedom of acting upon his desires and human urges. This representation seems to emulate Victorian societys deep-rooted fascination with emancipation from social imprisonment. Many critics suggest that masculinity is often presented as an adaptable and indefinite sphere within the novel, a factor which has permitted a degree of reimagining the concept of the male in literature. Critic Cohen argues that from as early as the 1880s, fictional depictions of English masculinity often narrativise the difficulties of the male embodiment as a splitting within the male subject precisely in order to assert new modes of self-representation. He suggests here that the male figure was less frequently written as a stable representation and was more commonly represented as a character with more than one persona. The image of Victorian London presented by Stephenson is a society almost entirely lacking in females. The only woman who is present in the narrative is the maid who witnesses the murder of Sir Danvers Carew. Her status instantly suggests that the woman is lower class and she is presented as an almost insignificant member of society. She describes the body of Sir Danvers Carew as beautiful. This is the only instance novel in the novel where there is any form of interaction between the genders and, even this interaction is presented as non-sexual. The consequences of such a repressive society are clearly detrimental to the people who inhabit it, as Dr Jekyll proves through Hyde, and this oppression is demonstrated through the lack of open sexual desire within the novel. Furthermore, the absence of women within the novel suggests that the male identity crisis was a social creation rather than due to female influence. The men in the novel are at peril with their sexual identity and plac e in society because of the imposing nature of society itself. Whilst Stephenson presents the idea that Victorian society regarded displays of sexuality as indecent, Hydes actions within the novel are undoubted of a sexual nature. When Hyde is first introduced to the novel, there is a description of him trampling a young girl underfoot, and, afterwards, he pays for her family to keep quiet about the incident. This incident could insinuate that Hyde was involved in the common Victorian crime of child prostitution. Moreover, the lack of sexual desire towards females on the part of the male characters may imply that these men were concealing homosexual tendencies. The close relationship shared between Utterson and Enfield may also imply that these two men take part in some kind of sexual behaviour that would have been condemned at the time. Freudian theory labels the character of Hyde as an illustration of the unconscious mind, known as the id. Jekylls ability to conform to social expectation is controlled by his ego which suppresses his unconscious thoughts. Critic Michael Kane believes that Victorian society found the unconscious mind as detrimental. He comments that repressed desires were projected upon those it considered inferior, not only women but any lower order of society, who became the unconscious of respectable society. His ideas suggest that gender is not the significant factor which causes people to act upon their basic urges; it is the idea of levels of the class which impose social rigidity. By this he means that upper class citizens are more likely to suppress any improper desire because of their position within society. This argument is not supported by the novel, however, as Jekyll is a doctor so he is clearly educated and he is a respectable member of society who falls victim to the social oppression he faces. The novel uses the concept of the double in order to examine the way in which characters of either gender can be identified by more than one state, exploring Stephensons own claims that every human being contains some form of alter-ego. Dr Jekyll is an upstanding citizen who conceals an immoral monster in the form of alter-ego Hyde. Throughout the novel the two are presented as entirely distinct beings and it is only in the novels conclusion that the reader can fully understand the two personas as one character. The use of the double personality of Jekyll and Hyde is a useful concept when considering male gender identity, as the dual nature of the individual is said to destabilise male character itself. The novel challenges the idea that the male character represents unquestionably the embodied attributes of a male and a gender ideology that qualifies masculinity as proper male character. Despite the fact that the novel does appear to confront gender stereotypes referenced in the pre vious statement, the idea of masculinity is difficult to consider in the context of social influence, the idea that society constructs the way that gender identity is formed. Stephenson does not condemn men as individuals but comments on the way that the stringency of Victorian society and its expectations does not account for the duality of human nature. Both Stokers Dracula and Stephensons Jekyll and Hyde share a similar narrative structure, introducing a monstrosity and then exploring this idea before eradicating the monster with the intention that social order is reinstated. The monster in Dracula is the Count himself and the monstrosity of the novel is the liberation of female sexual expression through his transformation of women into vampire vixens. Stephensons novel shows the monster as repressed desires of Jekyll which are unveiled through the vehicle of Hyde. At the end of the novel, Jekyll reveals that he knows Hyde will be no more by the time Utterson reads his final letter. At the end of Stokers novel, Dracula is killed and Little Quinceys birth fulfils Van Helsings prophecy of the children that are to be and restores order among the community. Critic Christopher Craft comments that the monstrous threat in the novels is contained and finally nullified by the narrative requirement that the monster be repudiated and the worl d of normal relations restored. The restoration at the end of both novels suggests that gender ideals cannot be subverted entirely, despite challenging social expectation to a certain degree. Nevertheless, the conclusions of the novels are not positive which suggest that although ideals remain as established this is not necessarily the best outcome and there is an inference that change needs to be made. Gothic novels are commonly recognised as texts which exemplify the subjugation of women yet the oppression faced by the male characters is often disregarded. Both men and women suffered equally under the repressive Victorian society which directed sexual behaviour and regarded open sexual expression as depraved. The function of the male character within the novels is not merely to criticise the patriarchal society of the 19th century but to challenge the way that social ideology was a detrimental factor to both men and women.