Monday, August 24, 2020

Disparity Example

Uniqueness Example Uniqueness †Coursework Example Uniqueness The present financial plan of North Carolina, which remains at $19.7 billion, has to a great extent cut on instruction spending. Schools in North Carolina are supported contrastingly relying upon their territory. Schools in low pay zones should get a greater number of assets than schools in higher salary regions; this is on the grounds that the previous are probably going to have less fortunate learning offices and more instructive needs than the last mentioned (North Carolina General Assembly, 2010). Nonetheless, as a rule, the schools that should get all the more subsidizing are the ones that get less. There is additionally significant dissimilarity in the manner property charge is gathered. As indicated by the state’s General Assembly reports, districts and different territories inside the state which record high pay are probably going to give higher property duty to their province governments than low salary regions. The Title VI of the Civil Rights Act is clear in its explanation that there ought to be value in the manner state reserves are utilized and appropriated (North Carolina General Assembly, 2010). The varieties that exist in enormous urban school regions ought to be discarded since they are an indication that there are examples of race and class separation in the dispensing of training reserves. All schools are qualified for equivalent subsidizing and if there is to be any extra financing under any circumstances, it ought to be completely represented. On the issue of property charge, urban settings ordinarily draw in more assessment than different territories. In any case, the tax assessment arrangement ought to be directed sp that no land owner is burdened utilizing lopsided rates. In North Carolina, high salary zones, for example, Wake and Mecklenburg Counties pull in a serious enormous property charge rate when contrasted with different regions. At the point when tax assessment for property is guideline, the measure of propert y charge that occupants of these princely territories will come down to love sensible level. ReferenceNorth Carolina General Assembly. (2010). North Carolina’s monetary year 2011-12 spending hole. Raleigh: Fiscal Research Division.

Saturday, August 22, 2020

Transforming Personal Skills Samples for Students †MyAssignmenthelp.

Question: Talk about the Transforming Personal Skills. Answer: Presentation The motivation behind this report is to think about the subject of collaboration. The basic self-impression of this report will assist me with finding individual qualities and improve territories of shortcoming. I alongside my five kin chose to work in a group and produce thoughts and build up a marketable strategy for a potential privately-run company. Conceptualizing with colleagues brings about free progression of creative thoughts. So working in a group with my five kin was a mind boggling experience to create new thoughts and practice aptitudes of enterprise. The experience I have picked up from this collaboration has shown me abilities of time the executives, between close to home correspondence, moral correspondence and these aptitudes will help me in future when I choose to enter the corporate world. In present day period, business associations work in a serious worldwide condition. Multi-social groups are a piece of worldwide associations and collaboration is even common in fire up associations. Each group of an association has its own objectives, goals and expectations which contribute towards the accomplishment of the general hierarchical target (Belbin 2012). Conversation Setting The main phase of arrangement of our group was the shaping stage (Crawford and Lepine 2013). We were restless and dubious during the framing phase of the group. During the framing stage we conceptualized about thoughts of a business ventures. During this phase of producing thoughts, we were fair and stayed away from clashes and discussion. My five kin and I recorded all the thoughts that rung a bell without assessing the achievability of any of these thoughts. In the raging phase of group arrangement, we broke down the functional possibility of every thought. This stage brought about useful clashes among colleagues. A portion of my kin were progressively prevailing colleagues while others were less angry and attempted to smother their thoughts. I went about as a group chief and urged our group to assess the possibility of every thought with no close to home predisposition. The creators Carl Larson and Frank LaFasto in their model of the Five Dynamics of Team Work and Collaboration re commended that colleagues must share a welcoming relationship for the viability of a group and to upgrade the aptitudes of critical thinking among individuals from a team(Wang, Waldman and Zhang 2014 ).The creators Douglas Smith and Jon Katzenbach have proposed a triangular model of cooperation with self-awareness, work items and execution results at the three pinnacles of the triangle(West 2012).I have thought about from my collaboration that responsibility, abilities and duty of every individual from the group is essential to accomplish the goals of a group. In our group, my more youthful kin assumed the job of a more keen since she cherishes difficulties and is dynamic. I as a group head assumed the job of an implementer, group laborer and facilitator. As a facilitator, I needed to show listening aptitudes and agent obligations among individuals from the group. As a group specialist I offered need to union among colleagues. My job as an implementer has instructed me to change ove r thoughts of a group into real activities. Relational correspondence assumed a significant job in the raging phase of our group. It was basic to embrace an open model of correspondence among colleagues limit the contentions that brought about the procedure of assessment of the business thoughts. I could mull over on the job of correspondence inside groups in a hierarchical setting. In the cutting edge time associations have embraced compliment structures and supported open correspondence among colleagues. An open correspondence model aides in understanding the jobs and duties of individuals from a group and furthermore helps in the administration of decent variety among colleagues (DeOrtentiis et al. 2013). I figure out how to impart plainly and successfully and regard assessments of my colleagues from my experience of working in a group. I could relate my involvement in the act of correspondence received by worldwide associations. In worldwide organizations correspondence assumes an imperative job to limit inclinations and generalizations identified with sexual orientation, position, language and ethnicity that is predominant in culturally diverse groups (Gonzlez-Rom and Hernndez 2014). In the norming phase of our group, we chose a specific business thought and contemplated the small scale and large scale ecological variables and the opposition in the commercial center to benchmark our business thought against the prescribed procedures of the business. The thought we picked was to deal miniaturized scale distillery machines for blending lager at the comfort of home. Foundation Theory I could think about from my collaboration that Goals, Role, Process and Interpersonal connections assume a urgent job to improve group execution (Wang, Waldman and Zhang 2014). The objective of our group was to create enterprise abilities by setting up a strategy of a monetarily feasible business. The act of defining very much characterized objectives is common among exceptionally powerful groups of business associations. The objectives of a group are explicit, quantifiable and the individuals from a group ought to be plainly and straightforwardly imparted about the individual jobs and duties which will contribute towards the accomplishment of the destinations of a group. The procedure of work inside a group ought to have lucidity and ought to be straightforward (West 2012). In our group, the procedure of work followed a specific arrangement of exercises like age of business thoughts, assessment of the thoughts, decision of a potential business thought and statistical surveying about the thought picked to set up the marketable strategy of our thought. The performing phase of our group started with the readiness of the marketable strategy. The field-tested strategy had a few sections like the tasks plan, the showcasing plan, the money related arrangement and the human asset plan. The performing phase of our group exhibited high measure of reliability and individuals from the group bolstered each other to set up the marketable strategy. I assumed the job of a transformational pioneer at this stage and the performing phase of our group improved my aptitudes of critical thinking. This stage empowered us to achieve the objective of our group. Basic Discussion During the whole procedure of working in a group, we followed moral set of accepted rules by regarding our colleagues, maintaining a strategic distance from predispositions and generalizations and conveying successfully. The job of morals is imperative in a compelling group. Morals are the arrangement of direct that individuals from a group follow to adjust their exercises to the moral estimations of an association (West 2012). The moral set of accepted rules that we followed in our group was a composed implicit rules with common understanding followed colleagues. From my experience of cooperation, I could consider that group information is fundamental to comprehend the procedure of collaboration among individuals from a profoundly powerful group. The group information can be identified with explicit errands that a group embraces just as group information can be identified with information about individual quality and shortcoming just as qualities, mentalities and inward convictions of individuals from a group (Beardwell and Thompson 2014). The group information is basic for creating attachment among individuals from a group and can be emphatically co-identified with the adequacy of a group. I could mull over from the experience of my collaboration that it is basic to be totally mindful about the objectives of a group and set up an arrangement to accomplish this objective. The mindfulness about condition and situational mindfulness likewise assumes significant job in the arrangement of a group (Bratton and Gold 2012). I could appreciate that colleagues ought to be eager to add to execute the arrangement which will prompt the achievement of the objectives of a group. From my experience of cooperation, I comprehended that it is fundamental for colleagues to know about individual capacities, quality and shortcoming so as to effectively contribute towards execution of the arrangement. I have found a portion of my qualities and shortcoming while at the same time chipping away at our group. I could think about that assigning duties, association aptitudes, abilities of time-the board and relational correspondence are a portion of my qualities. While working in our group, I assu med the job of group pioneer. I could viably convey the objectives of our group to our colleague in the arrangement phase of the group. I could likewise deal with clashes among colleagues during the raging stage. I could consider that contentions ascend among individuals from a group because of distinction of sentiment among colleagues. Outline and Synthesis While breaking down the business thoughts of our group, I have seen that colleagues communicated various assessments dependent on close to home predispositions. It was important to beat these individual inclinations to pick the best thought. Helpful clashes are basic for individuals from a group (Bradley et al. 2012). From my experience of cooperation, I could exhibit capacities to make shared trust and comprehension among colleagues which prompted better coordinated effort among colleagues powerful goals of contentions. In any case, from my experience of collaboration I could likewise mull over on my shortcoming and fields of individual abilities and attributes which require improvement. I understood that I have to upgrade my abilities of development and innovativeness just as investigative aptitudes. I could comprehend this shortcoming in the meetings to generate new ideas. Development and inventiveness assumes a significant job in authoritative groups (Galegher, Kraut and Egido 20 14). Thus, I might want to improve this expertise by rehearsing apparatuses of inventive reasoning like brain mapping. During our cooperation, I have created abilities of time the executives. I designated a daily agenda among colleagues setting up our marketable strategy. Time the executives is a basic ledge that improves group execution on the grounds that by acing this expertise we can organize our errands and accomplish the objective of

Sunday, July 19, 2020

On Rethinking a Reading Preference

On Rethinking a Reading Preference This week I read a book that made me reconsider one of my long-held reading beliefs. After reading many, many essay collections, Id concluded that I dont like reading book reviews that get anthologized, especially for books that I haven’t read. Even when I love a writer, I skip over any book reviews in a collection because I find them almost universally tedious. But I’ve also always thought this was sort of strange, since I like to read book reviews in other situations. I think this weird dislike happens because when reviews are included in a collection they’re pulled out of the public conversation that happens around a book when it is first published. Even when I haven’t read a book (or don’t plan on reading it), I like to skim reviews that come out around the publication date. I like seeing how different outlets compare the book, and I like being able to participate in conversations that happen around a book (in person and online) when it’s released. I like being one of those annoying people who gets to say, “I haven’t read that one, but I read in Publication X that it was terrible!” Essay collections pull the book review out of context and make them nearly unbearable for me to read. That’s why I was so surprised to love the book pieces in Katie Roiphe’s 2012 essay collection In Praise of Messy Lives, especially for the books that I hadn’t read.  After pondering over this development for awhile, I think I figured out what Roiphe does that works so well: every time she writes about a book, she turns the review into a trend piece. For example, in a review talking about Lucia Joyce: To Dance in the Wake, a 2005 biography of James Joyce’s daughter, Roiphe talks about the trend of writing biographies of the women who stood by famous male artists (women like Zelda Fitzgerald and Vera Nabokov). In the piece, she also addresses the problematic aspect of the trend: “Once the genre served as an original, quirky feminist corrective, but now, as it becomes more prevalent, it panders to the culture more enamored of prurient gossip than of literature itself.” I’ve never read the Joyce biography at the center of the piece, but I’ve read enough biographies of female bystanders to know what she is talking about. And I’ll admit that I’ve never thought of them as pandering genre rather than a genre exploring missing pieces of history. It’s a harsh piece, but a great one in any context. As a review, it didnt necessarily make me want to pick up the book in question, but it did make me think more about the books I have read or thought about reading in this genre. The other book-related pieces in the collection are equally as interesting, focusing on things like incest novels, authors Joan Didion and Susan Sontag, and Jane Austens ambiguous love live. I’m really excited about In Praise of Messy Lives, because of this revelation in my own thinking and the many other paths the pieces have led me down. Have you ever read a book that make you reconsider a stance you had about reading? Sign up for True Story to receive nonfiction news, new releases, and must-read forthcoming titles. Thank you for signing up! Keep an eye on your inbox.

Thursday, May 21, 2020

Battle of Shiloh in the Civil War

The Battle of Shiloh was fought April 6-7, 1862, and was an early engagement of the Civil War (1861-1865). Advancing into Tennessee, Major General Ulysses S. Grants troops were attacked by the Confederate Army of Mississippi. Taken by surprise, Union forces were driven back towards the Tennessee River. Able to hold, Grant was reinforced during the night of April 6/7 and launched a massive counterattack in the morning. This drove the Confederates from the field and secured a victory for the Union. The bloodiest battle of the war to date, the losses at Shiloh stunned the public but were far lower than the battles that would come later in the conflict. Lead-up to the Battle In the wake of the Union victories at Forts Henry and Donelson in February 1862, Major General Ulysses S. Grant pressed up the Tennessee River with the Army of West Tennessee. Halting at Pittsburg Landing, Grant was under orders to link up with Major General Don Carlos Buells Army of the Ohio for a thrust against the Memphis and Charleston Railroad. Not expecting a Confederate attack, Grant ordered his men to bivouac and commenced a regimen of training and drill. Lieutenant General Ulysses S. Grant. Photograph Courtesy of the National Archives Records Administration While the bulk of the army remained at Pittsburg Landing, Grant dispatched Major General Lew Wallaces division several miles north to Stoney Lonesome. Unbeknownst to Grant, his Confederate opposite number, General Albert Sidney Johnston had concentrated his departments forces at Corinth, MS. Intending to attack the Union camp, Johnstons Army of Mississippi departed Corinth on April 3 and encamped three miles from Grants men. Planning to move forward the next day, Johnston was forced to delay the attack forty-eight hours. This delay led his second-in-command, General P.G.T. Beauregard, to advocate cancelling the operation as he believed the element of surprise had been lost. Not to be deterred, Johnston led his men out of camp early on April 6. General P.G.T. Beauregard. Photograph Courtesy of the National Archives Records Administration Fast Facts: Battle of Shiloh Conflict: Civil War (1861-1865)Dates: April 6-7, 1862Armies Commanders:UnionMajor General Ulysses S. GrantMajor General Don Carlos BuellArmy of West Tennessee - 48,894 menArmy of the Ohio - 17, 918 menConfederateGeneral Albert Sidney JohnstonGeneral Pierre G.T. BeauregardArmy of Mississippi - 44,699 menCasualties:Union: 1,754 killed, 8,408 wounded, and 2,885 captured/missingConfederate: 1,728 killed, 8,012 wounded, 959 captured/missing The Confederate Plan Johnstons plan called for the weight of the assault to strike the Union left with the goal of separating it from the Tennessee River and driving Grants army north and west into the swamps of Snake and Owl Creeks. Around 5:15 AM, the Confederates encountered a Union patrol and the fighting began. Surging forward, the corps of Major Generals Braxton Bragg and William Hardee formed a single, long battle line and struck the unprepared Union camps. As they advanced, units became entangled and difficult to control. Meeting with success, the attack drove into the camps as the Union troops attempted to rally. The Confederates Strike Around 7:30, Beauregard, who had been instructed to remain in the rear, sent forward the corps of Major General Leonidas Polk and Brigadier General John C. Breckinridge. Grant, who was downstream at Savannah, TN when the battle began, raced back and reached the field around 8:30. Bearing the brunt of the initial Confederate attack was Brigadier General William T. Shermans division which anchored the Union right. Though forced back, he worked tirelessly to rally his men and mounted a strong defense. Major General John McClernand. Photograph Courtesy of the Library of Congress To his left, Major General John A. McClernands division was also forced to stubbornly give ground. Around 9:00, as Grant was recalling Wallaces division and attempting to hasten the lead division of Buells army, troops from Brigadier Generals W.H.L. Wallaces and Benjamin Prentiss division occupied a strong defensive position in an oak thicket dubbed the Hornets Nest. Fighting valiantly, they repulsed several Confederate attacks as Union troops on either side were forced back. The Hornets Nest held for seven hours and only fell when fifty Confederate guns were brought to bear. Johnston Lost Around 2:30 PM, the Confederate command structure was badly shaken when Johnston was mortally wounded in the leg. Ascending to command, Beauregard continued to push his men forward and Colonel David Stuarts brigade achieved a breakthrough on the Union left along the river. Pausing to reform his men, Stuart failed to exploit the gap and moved his men towards the fighting at the Hornets Nest. With the collapse of the Hornets Nest, Grant formed a strong position extending west from the river and north up the River Road with Sherman on the right, McClernand in the center, and the remnants of Wallace and Brigadier General Stephen Hurlbuts division on the left. Attacking this new Union line, Beauregard had little success and his men were beaten back by heavy fire and naval gunfire support. With dusk approaching, he elected to retire for the night with the goal of returning to the offensive in the morning. Between 6:30-7:00 PM, Lew Wallaces division finally arrived after an unnecessarily circuitous march. While Wallaces men joined the Union line on the right, Buells army began arriving and reinforced his left. Realizing that he now possessed a sizable numerical advantage, Grant planned a massive counterattack for the next morning. Major General Don Carlos Buell. Photograph Courtesy of the Library of Congress Grant Strikes Back Advancing at dawn, Lew Wallaces men opened the attack around 7:00 AM. Pushing south, Grant and Buells troops drove the Confederates back as Beauregard worked to stabilize his lines. Hampered by the previous days intermingling of units, he was not able to form his entire army until around 10:00 AM. Pushing forward, Buells men retook the Hornets Nest by late morning but met strong counterattacks by Breckinridges men. Grinding on, Grant was able to retake his old camps around noon, forcing Beauregard to launch a series of attacks to protect access to the roads leading back to Corinth. By 2:00 PM, Beauregard realized that the battle was lost and began ordering his troops to retreat south. Breckinridges men moved into a covering position, while Confederate artillery was massed near Shiloh Church to protect the withdrawal. By 5:00 PM, most of Beauregards men had departed the field. With dusk approaching and his men exhausted, Grant elected not to pursue. A Terrible Toll The bloodiest battle of the war to date, Shiloh cost the Union 1,754 killed, 8,408 wounded, and 2,885 captured/missing. The Confederates lost 1,728 killed (including Johnston), 8,012 wounded, 959 captured/missing. A stunning victory, Grant was initially vilified for being taken by surprise, while Buell and Sherman were hailed as saviors. Pressured to remove Grant, President Abraham Lincoln famously replied, I cant spare this man; he fights. When the smoke of battle cleared, Grant was praised for his cool demeanor in saving the army from disaster. Regardless, he was temporarily relegated to a supporting role when Major General Henry Halleck, Grants immediate superior, took direct command for an advance against Corinth. Grant regained his army that summer when Halleck was promoted to general-in-chief of the Union armies. With Johnstons death, command of the Army of Mississippi was given to Bragg who would lead it in the battles of Perryville, Stones River, Chickamauga, and Chattanooga.

Wednesday, May 6, 2020

The Ending of the American Dream - 1200 Words

The Ending of the American Dream Since the early colonization of America, the American dream has been the ultimate symbol for success. In retrospect, the dreamer desires to become wealthy, while also attaining love and high class. Though the dream has had different meanings in time, it is still based on individual freedom, and a desire for greatness. During the 19th century, the typical goal was to settle in the West and raise a family. However, the dream progressively transformed into greediness and materialism during the early 20th century. The indication of success soon became focused on wealth and luxury. The Great Gatsby is a story focused on the deterioration of the American dream. Throughout the novel, Jay Gatsby is shown with a†¦show more content†¦Gatsby is too late in realizing that there is no sympathy in Daisy; there is just wealth and status. Gatsby’s impractical view of life is so great that he tells Daisy to break up with Tom. He undertakes that his dre am will be complete if she says she never loved Tom. To Gatsby, Daisy is an object of the past. His obsession with her does not allow him to distinguish between times. Gatsby perceives Daisy being the same women he met long ago. Gatsby’s failures stems from the gap in his judgment that Daisy only represents beauty and love. Although she seems to be light and full of kindness, she is actually selfish and greedy. She is irresponsible and inconsiderate with others; she lets Myrtle’s death become Gatsby responsibility, and she shows no concern when her action leads to Gatsby’s death. In fact, Daisy’s character is immediately revealed early in the novel when she hopes her daughter will â€Å"†¦be a fool†¦a beautiful little fool.† (20) After Daisy learns about Gatsby’s illicit activities, she almost immediately sides with her equally-alike husband. Across from Gatsby’s house lies the wealthy East Egg, where the Buchanans live. Gat sby’s desire to become part of the East Egg is symbolized by the green light next to the dock. The green light symbolizes Gatsby’s hunger for more power and wealth, along with Daisy. The color of green also represents Gatsby’s jealousy and bitterness to be part of the East Egg. Because the lightShow MoreRelatedThe American Dream Not Ending Perfectly By Lorraine Hansberry, It s One Of Her Realistic Masterpieces961 Words   |  4 Pages A Raisin in the Sun by Lorraine Hansberry, it s one of her realistic masterpieces. The play expresses an African American family stand out in their respective to chase the American dream by experiencing contradictions and conflicts. Although in the play, the American dream not ending perfectly, the dramatis personae in the play, particularly mother Lena Younger, did not show any improvement by moving into a white neighborhood. 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Gender Roles and Marriage Free Essays

Compare and Contrast of Gender Roles and Marriage Gretchen Farricker ENG125: Introduction to Literature Instructor: Concetta Williams April 15, 2013 In this essay, I would like to compare and contrast gender roles and marriage and initially show through two literary works found in my text the differences and likenesses of each story, as they are being told to the audience essay writer typer. The initial stories that I have chosen to use for this essay are â€Å"The Necklace†, by Guy de Maupassant and also â€Å"The Secret Life of Walter Mitty†, by James Thurber. I will attempt to compare and contrast both stories and give the audience a brief synopsis, explaining the likenesses and differences and engaging the reader, whilst doing so. We will write a custom essay sample on Gender Roles and Marriage or any similar topic only for you Order Now Gender roles and marriages can play an important role in literature. It can be one of the most influential ways that gender roles are constructed. Works of literature construct images of boys and girls and men and women. These works usually depict the girls and women doing housework, playing with dolls, and cooking. The men are usually depicted as sports players and lovers, providers, and figures that are overall stronger than women. Guy de Maupassant’s, â€Å"The Necklace† and James Thurber’s, â€Å"The Secret Life of Walter Mitty† are two works of literature that focus on the themes gender roles and marriage, with some similarities, but with even more differences. In â€Å"The Secret Life of Walter Mitty,† Thurber shows a marriage that is not typical. In this marriage, Walter has a wife who is controlling, bossy, and runs the household. She’s aggressive, overbearing, and condescending. She’s everything Walter, the husband, is not. In comparison, Walter is very passive and compliant. This type of gender role reversal is quite unique considering that Thurber has given Mrs. Mitty the character traits that are generally expected of the man or husband to possess, and Walter has the traits usually given to the woman. In â€Å"The Necklace,† Guy de Maupassant focuses on femininity. He develops a character as a woman who possesses all the attributes needed to be desirable by other men. â€Å"She had no dresses, no jewelry, nothing. And she loved nothing else; she felt herself made for that only. She would so much have liked to please, to be envied, to be seductive and sought after (Clugston, 2010). † She’s in a marriage where she does not care for her husband and hates the house in which she resides. Because she is a woman and is living a world where men are dominating, she has absolutely no control over her life. The author played upon feminine characteristics making Mathilde overly emotional and extremely sensitive. â€Å"Walter’s failures in life and his successes in dreams are closely connected with gender roles. Everyday life for him consists of being ridiculed by women, such as the one who hears him mutter â€Å"puppy biscuit† on the street and his wife who nags him. Among women, Walter is subservient and the object of derision. Among men, Walter fails to meet traditional expectations of masculinity. He is embarrassed by his mechanical ineptitude: when he tried to remove the chains from his tires, he ends up winding them around the axles, and he has to send for a tow truck. The mechanic who arrives is described as â€Å"young† and â€Å"grinning. The description implies that the man, younger and more virile, is laughing at Walter’s ignorance of cars and makes Walter feel emasculated, or less of a man. Walter resolves that the next time that he takes the car to the shop to have the chains removed that he will cover his shame by wearing his right arm in a sling. Walter compensates for his failure to fulfill conventional expectations of masculinity in his daydreams. His f antasies center around feats of traditionally masculine prowess, and many of them involve violence. He can hit a target three hundred feet away with his left hand, fix sophisticated machinery with a common fountain pen, and walk bravely into battle in his fantasy worlds. Thurber’s exploration of sex roles in modern America can be understood in various ways: Thurber might be suggesting that men have become weak and ineffectual and women overly aggressive, or he may be pointing to a lack of opportunities for men to perform meaningful, heroic action in modern, suburban, middle-class America (Wolfstation, 2013). † Walter’s failures in life and his successes in dreams are closely connected with gender roles. Everyday life for himconsists of being ridiculed by women, such as the one who hears him mutter â€Å"puppy biscuit† on the street and his wife whonags him. Among women, Walter is subservient and the object of derision. Among men, Walter fails to meet traditionalexpectations of masculinity. He is embarrassed by his mechanical ineptitude: when he tries to remove the chains from histires, he ends up winding them around the axles, and he has to send for a towtruck. The mechanic who arrives is described as â€Å"young† and â€Å"grinning. † The description implies that the man, younger and more virile, is laughing at Walter’signorance of cars and makes Walter feel emasculated, or less of a man. Walter resolves that the next time he takes the car to the shop to have the chains removed, he will cover his shame by wearing his right arm in a sling. Walter compensates for his failure to fulfill conventional expectations of masculinity in his daydreams. All of his fantasies center around feats of traditionally masculine prowess, and many of them involve violence. He can hit a target three hundred feet away with his left hand, fix sophisticated machinery with a common fountain pen, and walk bravely intobattle in his fantasy worlds. Thurber’s exploration of sex roles in modern America can be understood in various ways:Thurber might be suggesting that men have become weak and ineffectual and women overly aggressive, or he may be pointing to a lack of opportunities for men to perform meaningful, heroic action in modern, suburban, middle-class America. Walter’s failures in life and his successes in dreams are closely connected with gender roles. Everyday life for himconsists of being ridiculed by women, such as the one who hears him mutter â€Å"puppy biscuit† on the street and his wife whonags him. Among women, Walter is subservient and the object of derision. Among men, Walter fails to meet traditionalexpectations of masculinity. He is embarrassed by his mechanical ineptitude: when he tries to remove the chains from histires, he ends up winding them around the axles, and he has to send for a towtruck. The mechanic who arrives is described as â€Å"young† and â€Å"grinning. The description implies that the man, younger and more virile, is laughing at Walter’signorance of cars and makes Walter feel emasculated, or less of a man. Walter resolves that the next time he takes the car to the shop to have the chains removed, he will cover his shame by wearing his right arm in a sling. Walter compensates for his failure to fulfill conventional expectations of masculinity in his daydreams. All of his fantasies center around feats of traditionally masculine prowess, and many of them involve violence. He can hit a target three hundred feet away with his left hand, fix sophisticated machinery with a common fountain pen, and walk bravely intobattle in his fantasy worlds. Thurber’s exploration of sex roles in modern America can be understood in various ways:Thurber might be suggesting that men have become weak and ineffectual and women overly aggressive, or he may be pointing to a lack of opportunities for men to perform meaningful, heroic action in modern, suburban, middle-class America. References: Clugston, R. W. (2010), Journey Into Literature, Retrieved from: https://content. ashford. edu/books/AUENG125. 10. 2/sections/sec8. 2? search=The%20Necklace#w59248 Wolfstation (2013), Scribd. , The Secret Life of Walter Mitty (James Thurber 1939), Retrieved from: http://www. scribd. com/doc/3310666/The-Secret-Life-Of-Walter-Mitty-James-Thurber-1939 How to cite Gender Roles and Marriage, Papers Gender Roles and Marriage Free Essays string(163) " the diamond was fake, is very low, which is why it makes the story so humorous Kate Chopin’s The Story of an Hour also displays a theme of an unhappy marriage\." The representation of gender roles and marriage has always been a controversial issue. However, much can be learned about unhappy marriages when examining the roles of both females and males within the marriage. The examination of gender roles and marriage are seen through the following short stories The Story of an Hour, The Necklace, and Country Lovers, along with scholarly articles based on gender role and marriage. We will write a custom essay sample on Gender Roles and Marriage or any similar topic only for you Order Now Evaluation of these literary works shows quite clearly that social and economic class affects choice in marriage. Gardiner’s County Lovers presents its fairly clear theme right from the beginning of the story. Yes, there is a theme of race, but if you look even deeper you can see the underlying idea of marriage and gender roles. There is a love between two people but it is forbidden due them being a part of two separate classes. In the marriage that takes place between Njabulo and Thebedi there is an absence of love. Thebedi agrees to marry Njabulo because it is what is expected of her, but this does not constitute what many see as a proper marriage. There are some prevalent gender roles expressed in this story. There is are not many females described in the story other than Thebedi, but those who are discussed always have the role of being silent, and that of a domestic worker. Thebedi is often described as being the primary care giver of her children, whereas Njabulo and Paulus are often described as holding careers outside the home. The gender roles in this story are very stereotypical. Thebedi is portrayed as being weak and helpless and she stands outside her hut while Paulus is alone with the child. She knowingly left her child alone with Paulus after he strongly expressed his dislike of the situation of her having his child. The author portrays her as being helpless and innocent but the death of her child could have been prevented if she wanted it. The point of view of this story is that of a third-person. The narrator was not involved as a character in the story, which made it harder to get involved in the story emotionally. There was little connection to the inner thoughts of Thebedi and Paulus. This made theory very limited, in that the narrator knew of the events but not of their experiences. This objective view could have been improved by connecting the reader more to the thoughts and feelings of Paulus, Thebedi and Njabulo. In the end of the, Njabulo decides to stay with his wife and continue living as a family with their new born child. There is little said about how he felt about the whole situation, when in fact the decision he made was a very big one, but would have taken a lot of thought and contradictory feelings. The tone reflected by the author was very somber and solemn. From the begging there was much negatively expressed towards the thoughts of love and marriage. There is a verbal ironic one use when all evidence persuades the reader to think that Thebedi and Paulus will be in trouble or their actions, but in the end their relationship was not acknowledged and they are both able to walk away and live their lives freely. The language used by the author also suggests gender inequality. As Thebedi is 18 years old and Njabulo is 19, Thebedi is still being called a â€Å"girl† and Njubulo is considered a â€Å"man†. Within the story The Necklace the theme of changing gender roles within the married couples is prevalent. Madame Loisel did not marry for love, but rather married because it was expected of her. She married a man who worked in the Ministry of Education and had little money. Mr. Loisel, however, did marry for love and was very satisfied with their life together. Mathilde Loisel did not respect her husband due to him not making as much money as she would like, and she is portrayed as always wanting more. Her husband tGries hard to do anything to please her and makes sacrifices to keep her happy. Mathilde uses her innocence to gain sympathy, which leads to her getting the possessions that she desires. She is presented as being a weak and needy wife who cannot care for herself, relying on her husband to survive. When the Loisel’s had to earn more money to pay off their debts, Mr. Loisel takes on a second job working outside of them home while Mrs. Loisel works in the home cooking, cleaning, and taking on the care giver role. In the begging of the story it seemed as though Mathilde held most of the power in their marriage, but once conflict arose the power shifted back to Mr. Loisel, as Mathilde continued to do exactly what he said without questioning. This story is also told from a third-person point of view. The narrator is not part of the story and presents the action to the reader from on outside view. The reader is able to see everything through the eyes or the narrator, but the reliability is questionable in that the information coming from a third party. The style of writing is very fluent and easy to follow, which makes for a very enjoyable read. deMauppassant uses situation irony in a creative way to give the story an humorous twist; when Mathilde finds out the diamond she and her husband have been working so hard to pay off, was actually imitation. This discrepancy allows the author to add humor, giving the story a light and playful tone. The use of satire exists towards the end of the story in the form of a farce. Subtle humor and hilarity is developed through improbable situations and exaggeration. In this situation the probability of Mr. And Mrs. Loisel going through ten years of misery and poverty just to find out the diamond was fake, is very low, which is why it makes the story so humorous Kate Chopin’s The Story of an Hour also displays a theme of an unhappy marriage. You read "Gender Roles and Marriage" in category "Essay examples" When Mrs. Mallard received the news about her dead husband she began to weep uncontrollably, only to figure out she was weeping out of joy not sadness. Mrs. Mallards journey thorugh her thoughts help her to realize just how unhappy she was in her marriage, and how much better off she will be living for herself, and only herself. Although this story is mostly about Mrs. Mallard, it still gives a sense of the stereotypical gender role. An early mention of Mr. Mallard sates that Mrs. Mallard was repressed by him in their marriage life. Mrs. Mallard’s constant joy (after hearing about her husband’s death) suggests that she wanted to leave her husband but did not have the bravery to do so. Also, men are portrayed as the stronger sex as Josephine comforts her sister as she cries in her arms, while Richard stands by and watches. The female takes on the role of the nurturer and comforter as the male takes on the role of the strong, silent type. The narrator, although a third-person point of view, does a great job of providing an in depth description of Mrs. Mallard’s feelings toward the whole situation. The action is presented through an outside view, displaying the characters thoughts and feelings toward the death of Mr. Ballard. Although most events are sensed through the eyes or the narrator, they do a great job of getting in touch with Mrs. Mallard’s feelings, so the reader can connect better with her, and how she is reacting to the situation. The narrator’s omniscient view is very refreshing and informative. Chopin uses a combination of verbal and situation irony to add humor to the situation. Throughout the story, it is explicitly expressed how each character feels about the unfortunate death of Mr. Mallard. As Mrs. Mallard chants â€Å"free, free, free! † to her in the bathroom, it leads the reader to believe that the deal of Mr. Mallard is accurate and Mrs. Mallard is ready to move on with her life. When Mrs. Mallard finally comes out of the bedroom, feeling quite positive about the situation, shock arrives on everyone’s faces as they find out Mr. Ballard was not on the train, and is therefore still alive. Although this story does not directly speak of social class, Mr. Mallard taking the train does suggest this family within the middle class category. Joan Kahn that during since the 70’s healthy adults are starting to face new challenges unrelated to their career. These activities are productive and provide new opportunities. Some of these activities include part time employment, volunteer, and informal support to family in friends. Kahn noted the gender difference between men and women’s behaviors and relationships. While men tend to work more, while achieving outside the home, women on the other hand are more nurturing in the home. Her studies have focused on age and gender differences in housework and have shown husbands to do less housework than wives which tends to increase with age. Findings on the gender gap in forms of unpaid labor have showed that women did more work for both kin and non kin than did men. Also men showed to be happier in their marriages than women. Also, her study illustrated that women were consistently more likely than men to assist their children in some capacity, as well as those who had living parents. William Wilcox demonstrates the profound changes in the functions and stability of marriage. The rise in women’s social and economic interest has drastically increased. He states, in the from the 18th century and onwards women became more concerned about marrying for social status, than marrying for love. The emotional functions and character of marriage have and marital happiness has become less important. Marital stability; home production, childbearing, and division of labor have been determined predominantly by the stereotypes of what is expected by either gender. Wilcox states, in his gender model of marriage, that men and women are invested in doing that their gender suggests they embrace. They are raised to live up to their gender role ideology. He believes women and men are socialized to hold on to their gender typical patterns of behavior. Jonathan Vespa describes children as a changing factor on gender ideology. When married couples have children, the couples are more likely to agree that a women’s duty is care giving. The effect of employment on gender ideology also depends on life experience and economic status. Working men with an employed wife their family suffered, where as working men with a stay-at-home wife reported their family was stable. Gayle Kaufman believes gender ideology has changed greatly during the last few decades. She also believes it is important to examine the relationship between ideology and marital happiness. There is a strong connection between gender attitudes in terms of expected roles for men and women and power relations. The traditional attitudes focus on men as breadwinners and women as homemakers, with both holding different amounts of power. Nontraditional attitudes focus on sharing economic and caring tasks which divides power more equally, but this is not the majority of most marriages. Much can be learned about unhappy marriages when examining the roles of both females and males within the marriage. Throughout this paper, the effects of social and economic class have shown to have a great impact on marriage. There are many common themes within the three literary works, including the unhappiness of wives in their marriages, as none of them married for love. The examination of gender roles and marriage are seen through the following short stories The Story of an Hour, The Necklace, and Country Lovers, along with scholarly articles based on gender role and marriage. Evaluation of these literary works shows quite clearly that social and economic class affects choice in marriage. How to cite Gender Roles and Marriage, Essay examples

Sunday, April 26, 2020

Using Nutrition to Fight Cancer Essays - Nutrition, Fatty Acids

Using Nutrition to Fight Cancer The correlation between sugar and cancer is quite disturbing to be honest. Human consumption of sugar was approximately 11 lbs. a year in 1830 and rose to a shocking 150 lbs. a year by the end of the twentieth century. This inevitably had an effect on the amount of cancer cases in the United States and around the world. Nobel Prize winner, Otto Heinrich Warburg, a German biologist, discovered that the metabolism of malignant tumors is dependent on glucose consumption. Sugar and flour have a high glycemic index. When we eat these foods our blood levels of glucose rise fast. The body releases insulin to allow the glucose to enter cells. The release of insulin promotes the release of another molecule called IGF (insulinlike growth factor) which is used to promote cell growth. Insulin and IGF combined can create a deadly cocktail that promotes inflammation and stimulates cell growth. In turn, this acts like a fertilizer to tumors. These days you cannot seem to find a food label without h igh fructose corn syrup on the ingredient list. We as a society have become one of the un-healthiest in the world. Our diets consist of a high sugar content and we have become dependent on preservatives and fast food, which also have high glucose content. If we dont control our eating habits the cancer epidemic could become worse. This information has certainly opened my eyes to the dangers of eating too much glucose. I grew up eating flour tortillas and drinking tons of Kool-Aid as a kid, so I figure I have a lot of making up to do. Originally, farmers used natural sources to feed cows and chickens. However, the demand for milk, eggs, and beef spiked in the fifties. This caused farmers to look for shortcuts in the production of milk and eggs. Farmers began to use corn, soy, and wheat as the main diet for cows and chickens. These foods practically have no omega-3 fatty acids, which develop the nervous system, makes cell membranes more flexible, and reduce inflammation. This leads to an imbalance with omega-6 fatty acids. Both these fatty acids are important because our bodies do not naturally make them. We get these nutrients directly from the food we eat. In order for our bodies to function the way there were supposed to, the balance of omega-3s and omega-6s needs to be close to 1/1. If the cows and chickens eat corn and soy, this results of an imbalance of 1/15 to 1/40. The rising amount of omega-6s in our bodies stocks fats and promotes rigidity in cells, as well as inflammation when responding to outside aggr essors. The use of estradiol and zeranol, and recently introduced hormones like rBGH, are stored in fatty tissues and are excreted in milk. These hormones stimulate the growth of fatty cells and speed the growth of malignant tumors. The most disturbing fact of all this is that we may have eliminated the anti-cancer benefit of CLA (conjugated linoleic acid) which is found in cheese. By not sticking to a grass-only diet for cows, this has almost entirely removed this benefit by changing their diet. Margarine is significantly more dangerous than butter. Due to the fact that margarine contains sunflower, soybean, and canola oil which contain a lot more omega-6s than omega 3s. Like stated previously, your body needs to maintain a balance of the two to properly function and to reduce the risk of cancer. I typically cook with olive oil, so in that aspect I have it covered. As far as margarine goes, I have used it for the majority of my life. I have tried many alternatives due to the low cholesterol, but never knew or considered the effects of not balancing the omega fatty acids. After reading this I will conduct more research to find the safest alternative to margarine. BIOL 2302 MTWR 12:00 PM-1:59PM Using Nutrition to Fight Cancer

Wednesday, March 18, 2020

Arbitration The WritePass Journal

Arbitration Introduction Arbitration IntroductionPart 1: The Seat TheoryThe Influence of Jurisdictional TheoryPart 2: The Delocalisation TheoryPart 3: The Impact of seat and delocalisation theoriesConclusionBibliographyRelated Introduction The concept of party autonomy provides the fundamental basis for modern international commercial arbitration law. As a result, it is widely considered to be â€Å"the most important characteristic of legislation within the field of arbitration.†[1]   Party autonomy enshrines â€Å"the fundamental freedom of parties† to determine the law which will guide arbitral proceedings they are to undergo.[2] It has gained what Redfern Hunter identify as â€Å"extensive acceptance in national courts† worldwide[3]. This acceptance transcends the legal basis of national systems and has found expression in international conventions; for example, the Rome Convention which recognises the principle of party autonomy as a basic right of the parties[4]. Excessive judicial intervention is anathema to the autonomy of the parties and viewed by some commentators as being harmful to the arbitral process in undermining the principles so sacrosanct and unique to arbitration[5]. Alongsid e such intervention there are other limits to this freedom which the underlying theoretical framework influences to various degrees: â€Å"the choice of law must exist within the lex arbitri of the ‘seat’ of the tribunal and must not be contrary to public policy or natural justice considerations.†[6] This is because parties are unable to agree to a procedure â€Å"fundamentally offensive to the notions of justice of the seat of the arbitration.†[7] This thereby makes the choice of the seat a very profound step in an arbitration process. This ‘seat’ theory is very well established within international commercial arbitration and provides an established legal framework which some advocates have argued puts the very existence of international arbitration in doubt[8]. Yet should arbitration be so â€Å"anchored†[9] within the national legal system where the award was made? In direct contrast to the seat theory is the ‘delocalisationâ⠂¬â„¢ theory which provides that international commercial arbitration â€Å"should remain free from the constraints of national laws and therefore the lex arbitri†[10]. Jan Paulsson is perhaps the strongest advocate of the delocalisation theory and he argues that delocalisation has at its heart the principle of party autonomy free from the rigid constraints of the lex arbitri[11]. Both the â€Å"seat† and â€Å"delocalisation† theories have profound impacts upon the fundamental and enduring principle of party autonomy with the basic understanding being that while the seat theory constitutes a threat to the very essence of international commercial arbitration in facilitating excessive court intervention[12] the delocalisation theory conforms to and indeed strengthens the principle of party autonomy[13]. This essay will argue that both theories have, to a large extent, had a profound impact upon party autonomy in the manner referred to above. In part 1 the seat th eory will be critically evaluated while in part 2 the delocalisation theory will be discussed before looking at both theories’ undoubted and growing impact upon party autonomy within international commercial arbitration. Part 1: The Seat Theory An arbitral process must have a ‘seat’ to which the arbitral process is ultimately tied and which therefore determines the procedural law of the arbitration: the juridicial seat[14]. This forms the basis for the Rome Convention on the Law Applicable to Contractual Obligations.[15] This is to avoid causing uncertainty which may arise from a situation where a choice has not been made.   The term ‘seat’ is not synonymous with the term ‘choice of law’; rather the seat is only relevant as a determinant of the governing law of an arbitration process in place of an express mention of the choice of law governing an arbitration process[16]. The seat theory certainly represents the orthodoxy in International Commercial Arbitration[17] and the international community’s acceptance of it is unsurprising for Ahmed who observes that the theory, in essence, maintains state sovereignty[18]. It must be noted, however, that the law of the seat has varying levels of involvement with arbitration within different jurisdictions and the quest for harmonisation of the lex arbitri is for Redfern and Hunter, as illusory as the search for â€Å"universal peace†[19]. In England, for example, the procedure to be adopted by the â€Å"arbitral tribunal is governed by the law of the country in which arbitration is seated†[20] thereby making the choice of country important as the law of the seat sometimes contains provisions which might have profound consequences for the proceedings. Apart from this, the choice of seat has great consequence in the context of the acknowledgement and re-enforcement of any award by virtue of the fact that the seat of arbitration constitutes a ground for the challenge of an award[21]. The example of France provides a strong contrast to the UK with our European cousins taking what has been described as a â€Å"more delocalised approach to international commercial arbitration†[22]. The theoretical f oundations clearly have a profound influence on the attitude of national courts to arbitration in interventionist terms. Hong-Lin-Yu states that[23], â€Å"the involvement of national courts in arbitration in the world over can be characterised as either intrusive or just supportive.† Among the arguments justifying the basis for the level of involvement discussed by Hong-Lin-Yu and which is relevant to this coursework in explaining the fundamentals of the involvement of the law of the seat in arbitration is jurisdictional theory. The Influence of Jurisdictional Theory Ahmed observes that the seat theory â€Å"emanates from† the jurisdictional theory which â€Å"places importance upon the territory or state within which arbitration is to take place in regulating the arbitral process†[24].   The theory proposes that the arbitration process â€Å"should be regulated by the national laws of the seat, or lex arbitri, and that of the country where recognition and enforcement will be sought†[25]. Therefore, the entire procedure must be regulated via the law selected by the parties, as well as the law of the seat of the arbitration; this is because â€Å"the power possessed by the arbitrator is acquired via concession given by the state from its monopoly over the administration of justice within its jurisdiction.†[26] It is widely acknowledged that these awards possess the equal status as a national Court Judge’s judgement. According to Klein[27], â€Å"the state alone has the right to administer justice, so in giving as a concession to arbitration in the administration of justice it is exercising a public function†; thus, an award made is correspondent to the judge’s decision. As a result, arbitrators, such as national Judges, must apply the rules of law of a particular state in order to reconcile any disputes that have been submitted. Ahmed eloquently sums up the influence of jurisdictional theory upon seat theory by observing that those who support the theory believe that the national laws of a seat have both an â€Å"automatic and legitimate† right to supervise the arbitral proceedings, or in other words, he adds, â€Å"the lex arbitri will govern arbitral proceedings†[28] which are the foundations of seat theory. As noted above Mann is one of the strongest advocates of seat theory and he has argued that it is municipal laws which are the source of the parties’ rights[29]. As noted above Mann has also insisted that, in the legal sense at least, international commercial arbitration doesn’t even exist owing to the fact that each arbitral decision is anchored within the national laws of that country[30]. Part 2: The Delocalisation Theory The principle of delocalisation refers to the partial severance of international commercial arbitration from the national laws of the seat of the tribunal[31].   Logically this also means that the arbitration should remain largely free from the lex arbitri and is truly international in character. This theory has been expressed most forcefully by Jan Paulsson whose views were described as â€Å"dangerous heresy† by Professor Park back in 1983[32]. The author is at pains though to explain that his arguments do not necessarily mean that national laws will be disregarded: it is only in certain situations, he argues, that the award should be allowed to â€Å"float† or â€Å"drift† away from the previously accepted orthodoxy of the seat theory[33]. Proponents of delocalisation also argue â€Å"that instead of the dual system of control between the lex arbitri and then the courts at the place where the award was rendered, should be replaced by just one powerful contr olling element: the place of enforcement†[34]. As Redfern Hunter note this effectively opens up the entire world for international commercial arbitrations, rendering the process: â€Å"supra national†, â€Å"a-national†, â€Å"transnational†, â€Å"delocalised†, or even â€Å"expatriate†. More poetically, this kind of arbitration is considered a â€Å"floating arbitration†, producing a â€Å"floating award†[35]. A classic case study used by many proponents of the theory is the French system which nurtures the tie amongst arbitration and the law of the country of enforcement reaches the minimum throughout the exercising of the â€Å"international public policy† and terms as provided under the New York Convention of 1958.[36] This place arbitration as â€Å"subject to the laws of the seat not being contained in French law.†[37] Under the French system, issues of arbitrability are completely left to the tribunals[38] where issues of the conflict of laws arise for determination unlike in other countries where the court can ascertain any question of validity in which there are no explicit evidence to the contrary[39]. The French position is that of total autonomy as provided under art. 1496 of Code of Civil Procedure of 1981 which gives the arbitrator the freedom to apply the law he deems appropriate in the absence of any law chosen by the parties taking into account trade usage in the application. The psychology of this section is in line with the concept of delocalisation of arbitration which allows the arbitral tribunal to operate free from national laws and most especially the lex arbitri with the only restriction being international public policy. Under the French system, the international arbitration courts are provided with restricted power to intervene as per review unless â€Å"the arbitration has some connection with France†[40] and in issues involving the setting aside of awards there are very few grounds for the challenge of an arbitration award under the French Law and this trend of minimum interference is followed in the French’s limitation of the grounds â€Å"for refusing recognition or enforcement of arbitral awards†[41]. As given by the principle of delocalised arbitration, any enforcing body is able to chose to ignore the decision made by the Court of the seat because â€Å"international arbitration cannot be deemed a manifestation of the state;†[42] therefore, international arbitration is stateless and free from the lex arbitri and indeed â€Å"floating† as noted above.[43] Hilmarton Ltd. V. Omnium de Traitement et de Valorisation (1999) 14 Mealey’s International Arbitration Report (No. 6) A-1-A-5 (High Court of England and Wales) put this position into action where the French Cour de Cassation held â€Å"that the award rendered in Switzerland is an international award which is not integrated in the legal system of that state, so that it remains in existence even if set aside and its recognition in France is not contrary to international public policy†[44]. Part 3: The Impact of seat and delocalisation theories From the above analysis of the seat and delocalisation theories, there is a clear and profound clash with the principle of party autonomy and the influence of the seat in arbitral proceedings. The basic position is that the seat theory is an obstacle to the principle of party autonomy in international commercial arbitration[45]. This is one of the chief criticisms of the orthodox seat theory and, as Ahmed rightly warns, the principle of party autonomy is in danger of becoming an anachronism if judicial intervention in international commercial arbitration goes past mere support[46]. On the other hand the delocalisation theory is perceived to have party autonomy at its heart as it arguably empowers true freedom of the parties to resolve disputes without any interference from national courts[47]. Others would go further with Pierre Lalive arguing powerfully that the parties’ private dispute should in no way be resolved with reference to national laws. As noted above the seat theo ry still has many powerful supporters and it is undoubtedly the favoured approach of many countries as it is in essence a protection of state sovereignty and allows countries to retain a degree of control of such processes[48]. Clearly the aim of the business communities’ desire in arbitration is to provide a malleable and informal process of settling disputes using the courts that tends to present the contractual outlook using their interpretation of the relationship between the parties as a contract[49]. However there is the existence of a situation where it has been claimed that arbitration concerns the differences amongst parties and existing contracts between them and the arbitrators is unsustainable. This is as a result of all of the problems surrounding the validity of the arbitral agreement and arbitrability that are chosen via the lex fori[50]. A state alone possesses the influence to pass decisions on arbitrability and that does not favour public interest or depends on every state’s economic and social policies[51]. However, while it should be conceded that that view for reducing the influence of the national law and the strength of contracts is a commendable one, this approach is not practical. The reasons for this are, firstly, as a result of the condition of the judicial review in which the court of the place of arbitration and the place of enforcement may act out supervisory powers in order to ascertain how valid the arbitrary awards. The national courts exercise this jurisdiction[52]. Secondly it is also important to note that the situation in reality, as Redfern Hunter have noted, is that despite the fact the delocalisation theory has powerful allies, â€Å"the reality is that the delocalisation of arbitrations†¦is only possible if the local law (lex arbitri) permits it†[53]. The distinguished authors cite the example of Belgium which tried to opt for delocalisation but has since changed its law owing to the simple fact that Belgium immediately became an unattractive place to settle arbitral disputes[54]. Conclusion In conclusion both the seat and delocalisation theories have exercised a strong influence over the principle of party autonomy but to different degrees. The seat theory, which undoubtedly represents the orthodox position and the preferred mode for countries seeking to preserve their sovereignty, presents a strong challenge to the principle of party autonomy. Given the prevalence of seat theory in the world this attack must be taken seriously and Ahmed is correct when he warns that the principle is in danger of becoming a â€Å"myth† should such judicial interference go beyond support to interference[55]. The example of the English courts is enough to demonstrate the dangers of excessive interference which goes beyond the â€Å"safety net† it is intended to be. On the other hand the delocalisation theory has, in the submission of this essay, had a lesser although not negligible effect upon the principle of party autonomy. Despite its noted advocates, such as Jan Paulsson , it is still very much an evolving theory[56]. Further, as Redfern Hunter have noted accurately, it is only when the lex arbitri allows it that delocalised arbitration can occur and the example of Belgium is indeed a warning that any states which embrace it do so at their own peril of parties seeking to enforce their disputes elsewhere. Of course the French courts have taken the delocalised approach to be their own while recent English decisions travel in the opposite direction[57]. The seat theory remains the orthodoxy and for now the process of harmonisation of international commercial arbitration has ground to a halt. Bibliography 1.0  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Books Goode, Roy (2010) Goode on Commercial Law (4th ed) Penguin Books: London at p.1308 Andrew Tweedale and Keren Tweedale (2010): â€Å"Arbitration of Commercial Disputes: International and English Law and Practice† (Oxford University Press) Compagnie d’Armement Maritime. David St. John Sutton, John Kendall, Judith Grill(1997): Russell on Arbitration (London Sweet and Maxwell) Adam Samuel(1989): â€Å"Jurisdictional Problems in International Commercial Arbitration: A Study of Belgian, Dutch, English, Swedish, Swiss, U.S., and West German Law†. Published by Schulthess Polygraphisch verlag Redfern and Hunter(1991): â€Å"International Commercial Arbitration† .(Sweet and Maxwell) 2nd Statutes Rome Convention on the Law Applicable to Contractual Obligations [1980] Official Journal of the European Union, No L266/1 Arbitration Act 1996 French Code of Civil Procedure 1981, Book IV 4 Arbitration[1] 1958 Convention on the Recognition and Enforcement of Foreign Arbitral Awards    Journals Ahmed, Masood (2011) ‘The Influence of the Delocalisation and Seat Theories Upon Judicial Attitudes Towards International Commercial Arbitration’ Arbitration Volume 77 Issue 4 pp406-422 at p.406 Lalive, â€Å"Les rà ¨gles de conflit de lois appliquà ©es au fond du litige par larbitre international sià ¨geant en Suisse† (1976) 145 Recueil Des Cours 2. Lie, Ji (2011) ‘The Application of the Delocalisation Theory In Current International Commercial Arbitration’ I.C.C.L.R Volume 22 Issue 12 pp383-391 at p.384 Mann, â€Å"Lex arbitri and locus arbitri† (1988) 104 L.Q.R. 348. Paulsson, â€Å"Arbitration Unbound: Award Detached From the Law of Its Country of Origin† (1981) 30 I.C.L.Q. 358. Paulsson, Jan (1983) ‘Delocalisation of International Commercial Arbitration: When and Why it Matters’ I.C.L.Q vol.32 pp53-61 Hong-Lin-Yu (2004): â€Å"Explore the Void-An Evaluation of Arbitration Theories†: Part 1. Int. A.L.R. 2004, 7(6), 180-190 Julian Lew(1978): Applicable Law Mann (1983): â€Å"Lex Facit Arbitrum†. Arbitration International 245, 2(3) â€Å"Trends in the Field of International Arbitration†(1975)II Recueil Des Cours 233-234 Lord Mustill(1989): Arbitration: â€Å"History and Background†. 6 Journal of Int. Arb. [emailprotected] Kerr (1985): â€Å"Arbitration and the Courts: The UNCITRAL Model Law†, 84 ICLQ 1, 15 Lando(1985): â€Å"The Lex Mercatoria in International Commercial Arbitration†. 34 ICLQ 747    Cases Bay Hotel Resort Ltd. V. Cavalier Construction Ltd. [2001] UKPC 34, PC (TCI) Jakob Boss Sohne KG V. Federal Republic of Germany Application No. 18479/912.05, 8.11 Hebei Import Export Corp. V Polytek Engineering Company Ltd.(1999) 14 Mealey’s International Arbitration Report (No. 2) G-1-G-15; XXIVa YBK Comm Arbn 657-77 Mitsubishi Motors Corporation V. Soler Chrysler Plymouth Inc. 473 US 614, 105 S.Ct. ABS American Bureau of Shipping V. Shipping Co-Ownership Jules Verne(2003) Rev Arb Somm Juris 234 Green Tree Financial Corp. V. Lynn Bazzle (2000) 531 US 79, 90, 121 S Ct 513, 522 Chromalloy Aerosemica V. Arab Republic of Egypt(1993)xxii ybk Comm Arb 691 Cereals SA V. Tradex Export SA[1986]2 Lloyds Rep 301; K/S Norjal A/S V. Hyundai Heary Industries Co. Ltd [1991] 1 Lloyds Rep. 524 (CA)

Monday, March 2, 2020

Dolphin Fish (Mahi-Mahi) Facts

Dolphin Fish (Mahi-Mahi) Facts The dolphin fish is not a dolphin. Unlike dolphins, which are mammals, dolphin fish are a type of ray-finned fish. The dolphin fish most likely got its confusing common name because it was previously classified in the genus Dolfyn. It also has a melon-shaped head, much like that of a true dolphin. In the modern classification system, the fish belongs to the genus Coryphaena. If a restaurant menu includes dolphin, its referring to the dolphin fish, not the mammal. Some restaurants use the alternative names mahi-mahi and pompano to prevent confusion. Fast Facts: Dolphin Fish Scientific Name: Coryphaena hippurus (common dolphin fish); Coryphaena equiselis (pompano dolphin fish)Other Names: Dolphinfish, dolphin, mahi-mahi, dorado, pompanoDistinguishing Features: Brilliantly colored fish with single dorsal fin spanning the length of the body; males have protruding foreheadsAverage Size: 1 meter in length and up to 40 kilograms (88 lb) weightDiet: CarnivorousLife Span: Up to 5 years, but usually less than 2 yearsHabitat: Temperate, subtropical, and tropical oceans worldwideConservation Status: Least ConcernKingdom: AnimaliaPhylum: ChordataClass: ActinopterygiiOrder: PerciformesFamily: CoryphaenidaeFun Fact: The dolphin fish is a very fast swimmer, reaching speeds of nearly 60 mph. Description There are two species of dolphin fish. The common dolphin fish (also known as mahi-mahi or dorado) is C. hippurus. The other species of dolphin fish is C. equiselis, which is also known as the pompano dolphin fish. Both species in the genus Coryphaena have a compressed head and single dorsal fin running the full length of the body. Both the anal and caudal fins are sharply concave. A mature male (bull) has a prominent protruding forehead, while a female has a rounded head. Mature females are smaller than males. Their long, slender bodies are well-suited to fast swimming. Mahi-mahi swim up to 50 knots (92.6 kph or 57.5 mph). Pompano dolphin fish are sometimes mistaken for juvenile common dolphin fish or mahi-mahi because they are small, reaching a maximum length of 127 centimeters (50 in). Pompano dolphin fish are bright blue-green with silver-gold sides. The fish fade in color to dull gray-green when they die. A typical mahi-mahi reaches a length of one meter and a weight of 7 to 13 kg (15 to 29 lb), but fish over 18 kg (40 lb) have been caught. These fish are brilliantly colored in shades of blue, green, and gold. Pectoral fins are iridescent blue, the back is green and blue, while flanks are silvery-gold. Some individuals sport red spots. Out of water, the fish appears golden (giving rise to the name dorado). Upon death, color fades to yellowish-gray. Distribution Both species of dolphin fish are migratory. The common dolphin fish prefers coastal and open water from sea level to a depth of 85 meters in temperate, subtropical, and tropical oceans worldwide. The pompano dolphin fish range overlaps that of the common dolphin fish, but it usually lives in the open ocean and occurs as deep as 119 meters. The fish form schools and tend to congregate in seaweed and under floating objects, including buoys and boats. Diet and Predators Dolphin fish are carnivores that prey upon zooplankton, squid, crustaceans, and smaller fish. The fish is prey to other large oceanic predators, including billfish and sharks. Both species are important for commercial and sports fishing. The fish are generally considered safe to eat, but they are moderately contaminated with mercury and can serve as a vector for ciguatera poisoning. Reproduction and Life Cycle Dolphin fish grow and mature very quickly. Fish reach maturity between 4 and 5 months of age and start spawning when they reach a length of about 20 centimeters. Spawning occurs throughout the year when water currents are warm. Females spawn two to three times each year, producing 80,000 to a million eggs each time. Pompano dolphin fish have a life span of up to 3 to 4 years, but most live less than 2 years. Mahi-mahi live up to 5 years, but rarely exceed 4 years. Conservation Status Both the common dolphin fish and pompano dolphin fish are categorized as least concern on the IUCN Red List. Its population is stable. However, the fish face threats from declining habitat quality. The species has high commercial value and is extensively harvested. Many countries have imposed bag limits and size limits to support sustainable fishing. Sources Collette, B., Acero, A., Amorim, A.F., Boustany, A., Canales Ramirez, C., Cardenas, G., Carpenter, K.E., de Oliveira Leite Jr., N., Di Natale, A., Fox, W., Fredou, F.L., Graves, J., Viera Hazin, F.H., Juan Jorda, M., Minte Vera, C., Miyabe, N., Montano Cruz, R., Nelson, R., Oxenford, H., Schaefer, K., Serra, R., Sun, C., Teixeira Lessa, R.P., Pires Ferreira Travassos, P.E., Uozumi, Y. Yanez, E.  2011.  Coryphaena hippurus.  The IUCN Red List of Threatened Species  2011: e.T154712A4614989.  Gibbs, R.H., Jr. and Collette, B.B. 1959. On the identification, distribution, and biology of the dolphins,  Coryphaena hippurus  and  C. equiselis.  Bulletin of Marine Science  9(2): 117-152.Potoschi, A., O. Reà ±ones and L. Cannizzaro. 1999. Sexual development, maturity and reproduction of dolphinfish (Coryphaena hippurus) in the western and central Mediterranean.: Sci. Mar. 63(3-4):367-372.Sakamoto, R. and Kojima, S. 1999. Review of dolphinfish biological and fishing data i n Japanese waters.  Science Marine  63(3-4): 375-385. Schwenke, K.L. and Buckel, J.A. 2008. Age, growth, and reproduction of dolphinfish (Coryphaena hippurus) caught off the coast of North Carolina.  Fish. Bull.  106: 82-92.

Saturday, February 15, 2020

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

Business Entrepreneurship - Essay Example Internet marketing in this phase after generating a feasible amount of donation request can again prove to be useful in many ways. For example, the website can also help to gain the support of professionals in this case without any extra cost. Precisely, the blogs creation can be useful to recognize the supportive donators and organize them ultimately. Another objective of the team was to establish a new gym in the local community. To attain this objective the team shall have to manage an adequate space within the building. The main supplies that the team should be focused on in this case are the equipments, one trainer at least, a changing and a resting room for the participants. In addition, the part of membership donations should also be considered. The advantages of website designing is quite remarkable in the case of New Wave Youth Club, therefore it demands a continuous development to sustain the position. To develop the website into a ‘Killer Website’ the team need to be focused on the attributes of speed, customer service and involvement of new up-graded technology as well. For instance, the team can organize awareness programs, or entertaining games which shall be effective to attract potential donators and other suppliers.

Sunday, February 2, 2020

About the history Essay Example | Topics and Well Written Essays - 1000 words

About the history - Essay Example This period lasted from the Alexander Severus’ death to the reign of Diocletian. During this period, the Empire witnessed rapid changes of emperors. Despite the turbulent times that the empire went through, it succeeded in sustaining itself. However, this crisis precipitated the splitting of the empire into two divides, one comprising of the Eastern Empire while the other comprised of the Western Empire. The splitting of the empire into the eastern and western empires can be regarded as one of the internal factors, which contributed to the dissolution of the Roman Empire (Gibbon, Lentin & Norman, 1998). Another internal factor that contributed to the dissolution of the Roman Empire included the antagonism between the emperor and the senate. The emperor had the power to make decisions with regard to issues related to religion, civil affairs, and the military affairs of the Empire. The Senate acted as the advisory body to the Emperor. As a result of the powers accorded to his office, the emperor became. This led to numerous disagreements between the emperors and the senators, thus leading to the dissolution of the Empire (Gibbon, Lentin & Norman, 1998). Another internal factor that contributed to the dissolution of the Roman Empire included the decline in morals within the empire. The rich upper class, the emperor, and the nobility became immoral, and this had a negative impact on the empire. Some of the immoral behaviors that characterized the empire included sexual immorality, which entailed orgies and adultery. The immoral behaviors of the empire also encompassed the keeping of young boys for the purposes of pleasure by Emperor Tiberius (Gibbon, Lentin & Norman, 1998). Other internal factors that can be attributed to the dissolution of the Roman Empire included forced prostitution, which used to be common in brothels. The masses got angered by such acts and expressed their bitterness towards the empire. This had a

Saturday, January 25, 2020

Leadership Essay -- essays research papers

Leadership comes in many different forms but they all are heading toward the same goal; and that is to communicate with people. Some people are silent leaders and lead by example some are more vocal. Nevertheless, whatever type of leader you are, there are certain criteria that must be met. For example being a good role model, being dependable, being trust worthy, these are all things that a true leader must possess. However, all leaders have their strengths and weakness and these are a few areas in which men and woman striving to become leaders often have trouble dealing with. All to often leaders become over defensive and it beings to tear away at the seams of a cohesive unit. A little defensiveness is healthy self-protection...like your immune system. Excessive defensiveness will prevent you from learning from your mistakes after all, why do anything different, if all your mistakes are someone else's fault? Feeling angry because of changes imposed from above? Attack the stupidity of your bosses and you will feel better! This move can be self-defeating if it stops you from understanding their rationale and coming to terms with your own resistance to change. If you have healthy self-esteem, you should be able to admit your mistakes if you have low self-esteem you will either be too hard on yourself for even small mistakes, or you will overreact and defensively never admit them! When you anticipate the failure of one of your projects, do you start telling people why it will fail? You are setting up your defenses in advance so you will not have to create the m after the fact. Advance defensiveness can even facilitate failure. Some people will even sabotage their own projects, when they start to think they will fail, if they can do so in a way that ensures their getting off the hook. Recognizing and avoiding your own excessive defensiveness is not easy if you have developed a pattern of protecting a fragile self esteem in this way. However, you will not keep up with the demand in today's competitive market to learn faster if you do not confront this issue for yourself. Assertiveness - you may think you are assertive just because you rant and rave at times. Maybe you often give in to others, kidding yourself that you are just being reasonable. So how can you say "no" to your boss or others without incurring their wrath? Say "Yes, but"...... ...create a learning organization, first focus on creating a more entrepreneurial culture Fostering continuous employee development is complementary to a learning culture. However, an organization can learn in an entrepreneurial sense without a lot of employee development. You could have a fast learning organization that continually imported fresh talent with little emphasis on employee development. This is not to downplay the value of employee development - just to clearly separate it from organizational learning. Being a leader is never an easy task, and only a select few have the ability to lead. Not many people can take an organization, a team, or their local neighborhood and get them to work together toward a single goal. They have to be stern but at the same time sympathetic, they have to be able to delegate power without causing uproar. So many things go into being a leader that when everything is said and done, most people shy away from being a leader and feel as though they need to follow. However, that is the difference between a leader and a follower. When crunch time comes, the true leader will stand forward and guide his/her team, organization, or what have to victory.

Thursday, January 16, 2020

Aristotle Virtue Theory Essay

Aristotle’s Virtue theory is based on Teleology and the Golden Mean. He says that to be virtuous that we need to act with excellence. He believed that everything on this earth has its own virtue, meaning that if it performs the way it’s supposed to by its nature then it is virtuous. He asserted that every event had four causes or four factors that work on it and to bring it into being; 1) Material Cause- the â€Å"stuff the thing is made of. 2) Efficient Cause- the force that has brought it into being. 3) Formal cause- the shape or idea (the Form) of the thing. 4) Final cause- the purpose of the thing. Virtue is not just for humans; it means that everything that exists has a purpose. The Golden Mean-is an action or feeling that corresponds to a particular situation at the right time, in the right way, in the right amount, and for the right reason. Not too much, not too little, everything in moderation. It is what is â€Å"Good for man† where a human can excel, what a human is meant to do and where a human will find happiness. He determined that if we are able to choose the proper response to every situation in life then we are morally good. It is all about the reasonably thought  out decisions we make and the action we take after we have made them. The virtuous person finds and choses the one that is intermediate. These are human concerns that are constant and remain the same concerns throughout the ages. Since we are human beings and capable of rational decision making we can be prone to go toward one extreme or the other, we must beware of our own short comings. It is only through habitually practicing to try to make the right decisions that we can aspire to become virtuous. It is not our response to a single situation but how we respond as a general rule. We need to be consistent in our actions. Aristotle realized that this is something that doesn’t come overnight but that it takes time to mold ourselves. How we find out what the mean is in every situation is through reason, the more times we have done it and acted correctly the better we can build the habit of responding appropriately. He specifies that there are some acts that are just wrong by themselves, i. e. stealing, lying and murdering, and cannot be done in the right amount. There are also acts that cannot be done too often such as justice. You can never be â€Å"too just†. It takes a lifetime of training and commitment we are not inherently born this way. It is not enough that you just act on your intentions but you need to succeed in order to be virtuous. Once you have succeeded in living a virtuous life then as a virtuous person your future actions will be generally virtuous because you developed virtuous habits. There are three dispositions to every situation: two vices, one on either side of virtue which in the middle. Aristotle advises us to keep trying until we get it right. Some extremes are closer to the middle than others. If you don’t know which one to choose, stay away from the extreme that is more opposed to the mean than the other extreme. We each have our own ideals and failings but our responses to a situation need to remain flexible and a virtuous response will reveal itself. The appropriate way to handle the situation will fall within a range that is recognized by other virtuous people. He believed that there could be a perfectly virtuous person. He also believed that if you are virtuous in one respect but fail terribly in another then you have lost out completely. If you deviate only slightly you are still a virtuous person, a person who is good at being human and at realizing the human potential. His thoughts on courage were that if you had too little courage you were a coward and that if you had too much courage you could be fool hardy, rush in and make rash decisions. He felt that there was nothing wrong with enjoying pleasure, but if you overdid it you are intemperate. If you are not capable of enjoying pleasure at all then you are unimpressionable. The virtue is to know in what amount to enjoy your pleasure, which would be temperance. The key is to enjoy in moderation. His opinion on spending money was that if you spend too much you are prodigal and spend too little  you’re a miser, just the right amount at the right time on the right people for the right reason makes you liberal. It is also possible to overestimate your honor, and become vain or underestimate it and become humble. He described proper pride as the virtuous way to estimate yourself and your accomplishments. There is nothing wrong with feeling angry but you need to be even tempered. Being hot tempered is 1 / 2 a vice but so is also being meek. Let your anger be in proportion to the offense against you. Truthfulness is a virtue but his idea of a deficiency of truthfulness is irony â€Å"mock modesty†Ã‚  (downplaying the situation), the excess of truthfulness, bragging. It is all about assessing the situation and acting accordingly, don’t underplay the truth but don’t overplay the truth either. The sole reason for designing the development of virtuous character was that Aristotle felt that being virtuous makes you happy. Happiness is what is good for a man. A good life means a happy life, but a good person also means a moral person. We can be happy only if we are good. Our highest goal, our purpose as a human being, is to live well, be happy, and to do well. He also warned that if  we rely too much on pleasures that one day they won’t give us the thrill they used to. What is good for us can’t be something that harms us and over indulgence in too many pleasures can be harmful. The requirement of true happiness is that it must be stand the test of time. Something that no one can take away from us and that is not harmful but beneficial that would be our good reasoning and contemplation. The ultimate happy life is that of the life of a thinker. He did not believe in an afterlife or a god that watches over humanity. He states that the soul is the  Ã¢â‚¬Å"form† of a human and the body is the â€Å"matter†, but since form cannot exist separately from matter when the body dies the soul ceases to exist. Happiness is only for the living and must be achieved in the here and now for a person to have fulfilled their purpose. One of the weaknesses of Virtue Ethics is that Aristotle was talking about the ruling class. If there is to be equality for all then there needs to be a moral theory that everyone follows regardless of whom they are. The laws need to be reasonable and clear. Virtues were also too vague and weren’t helpful in solving problems. When you have two virtuous  people that disagree how can you tell which one is correct. How is it decided which one is more virtuous than the other? With a clear set of morals and laws the problem is much easier resolved. Also why can’t humans have more than one purpose? There are many people that are equally good at several different things. Look at the musician that is equally good at playing the guitar and singing. Which purpose are they supposed to choose? Aristotle’s Virtue theory is basically based on the fact that everything has a purpose and as humans our happiness is determined by the choices that we make. We should always strive to achieve our purpose whatever that may be and during that struggle hopefully we will achieve happiness. His theory may have some weaknesses but some of the ideas are supportable in my opinion. You need to use your logic to make informed decisions. Practice making the right choices, this practice will eventually turn into a habit. Make decisions that don’t cause harm to yourself or others. Lastly everything in moderation is a good rule to live by. This I believe will go a long way in helping human beings to achieve happiness. POWERED BY TCPDF (WWW. TCPDF. ORG).