Wednesday, October 30, 2019

1.a)Looking at the journal article, summarise your understanding of Essay

1.a)Looking at the journal article, summarise your understanding of word of mouth champions as discussed by the authors - Essay Example The answer is obvious that I will consult a friend who is well aware of that product before making a buy. After all, I am buying a cell phone, not a chocolate bar! And according to the authors of the article, ‘ Turning the amplification up to 11’, this friend of mine who talks about the product, knows mostly everything about it and has the ability to convince me to buy the brand that he is recommending is called as the ‘ word of mouth’ champion. In the marketing world, the consumers who communicate the information are divided into three types. One type of people are those who talk a lot to many people about a certain product, the second types are those who can give you loads of information about the product but this happens only when you ask them and the third type of people are those who has the ability to sell the product to you by convincing you about the worthiness of the product. But the champions are only those who are so passionate about the product and its functions that he not only discusses the product with whoever he comes in contact with but also enthusiastically provides you all the information that you need and with his passionate drive, becomes successful in making you to spend the money and buy it. So it is the passion that makes the word of mouth champions not just the ability to talk or give the information. Word of mouth is nothing but a way of telling customers about the product through people who are common people like others and whose words are trusted like that of friend’s. Mouth publicity can be done in numerous ways like discussing with friends,

Monday, October 28, 2019

Hard Rock Cafe Case Study Essay Example for Free

Hard Rock Cafe Case Study Essay 1. When the Hard Rock Cafe opened up it first location in London, England in 1971, their strategy was based on expansion, placing their restaurants in areas with heavy tourism. In recent years, this strategy has changed in a few ways. First off they began putting social factors into play by each location. For instance, they have tweaked some of the menus to satisfy local taste. For example, in London, they have replaced much of the burgers and beef with seafood dishes. Secondly, instead of focusing on tourist locations like they used to do, the Hard Rock Cafe has begun to place establishments in areas where tourism isn’t as heavily counted on. 2. Product the menus at each Hard Rock location has been made up to fit the personalities of each region. As stated earlier, in London much of the burger and beef dishes in the England locations have been switched out with seafood dishes. Location when the Hard Rock Cafe first began expansion, they decided to place restaurants in locations that attracted heavy tourism. Decades later they decided to begin putting Hard Rock Cafe’s in locations that arent as heavily relied on by tourists. Inventory at each location, they began to sell merchandise unique to each location. About 48% of the cafe’s sales come from its merchandising. 3. The Hard Rock Cafe fits within the multidomestic strategy. Although it has become a recognized name by most people, it is still growing worldwide with them having 157 facilities in 57 countries. They have used this strategy by customizing both their product offering and market strategy to match different locations. For example in London cafe s, they offer seafood dishes over some of their hamburger and beef dishes that are offered elsewhere. Also in each location they have merchandise, such as; t-shirts, pins, and even shot glasses that are unique to that location

Saturday, October 26, 2019

An Argument Against Abortion :: essays research papers

Psychologist, Sociologists and Anthropologist all have their place when it comes to analyzing criminals. Any member from these fields of study would have an interesting time analyzing Eric Rudolph. Eric Rudolph has been held responsible for numerous bombings of anti-abortion clinics as well as the bombing at the 1992 Atlanta summer games. As a result of these bombings one person has been killed and over 100 injured. From a psychological standpoint, Mr. Rudolph had some very serious issues. He was ruled to be mentally unstable. Eric belonged to a great number of anti-abortion groups. From a sociological stand point these groups did a great deal to aid in the crimes committed be Eric Rudolph. Upon looking at this case form the point of view of an anthropologist it becomes very clear that there is international support for Eric’s cause and very little being done to stop such actions.   Ã‚  Ã‚  Ã‚  Ã‚  Mentally unstable, odd, unsociable and depressed were all words used to describe Eric Rudolph in his childhood. In grade six a teacher wrote the following in the comment section. â€Å"Your son is an odd individual, please seek help for him. He is incredibly bright and gifted yet awkward and anti-social.† Eric Rudolph was constantly being called a failure and being told he was a plague on the planet, by his alcoholic father Mike Rudolph. Eric needed something to believe in, he took a stand in anti abortion. Anti abortion was a cause he supported ever since a very young age. Eric believed his criminal activities were simply moves in a direction of ending abortion and saving a life. This was his way of striving to make a difference. Time magazine did a psychological analysis of Eric Rudolph and they concluded â€Å"†¦ very little ability to decipher right from wrong, Eric is a young man that exploded in the very same manner as his bombs did. He was a cl ock waiting for the right time to make some noise.†   Ã‚  Ã‚  Ã‚  Ã‚  In the words of the great philosopher, David Letterman, â€Å"Eric Rudolph is like the whore of the anti abortion world, he is in bed with every anti abortion organization imaginable, some peaceful and some not so peaceful.† The role of a sociologist is to look at what groups or organizations that the person belongs too. There is a great deal of groups that Eric Rudolph was associated with. It was these groups that were responsible for teaching Eric what he needed to know in order to make a bomb.

Thursday, October 24, 2019

Premodern Religion

Paul Lambert Hum 251 Professor Horten 9 / 26 / 2012 The Facade of Pre-Modern Religion During the pre-modern age there was perhaps no larger an aspect of everyday life than religion. Today’s day and age is a stark contrast, as religion has for the most part taken a backseat in importance. From the pre-modern age to now, religion has changed completely. Pre-modern religion held political power locally, and all across Europe. Today religion holds a mostly spiritual power for the truly devout.This essay will discover the role and importance that religion played in the pre-modern age, and how it permeated the lives of those living in it. In pre-modern times there wasn’t a diverse society like the one we currently live in. In the pre-modern age everybody had their own role in the community. In this feudal society, there was very little opportunity for advancement. Because of the lack of education at this time people only had a few skills, which they would put to use to make a living. Most people were farmers who worked the land most of their lives to provide food for their village, and family.There were others that had specialty skills, who may have been a blacksmith, or a shoe maker; but what they all had in common was that they were all hard workers, who had hard lives. In a pre-modern village the noble family, or the wealthiest families, would have presided over the village. These nobles would have essentially ruled over the villages and made sure things ran smoothly. About the only chance of becoming something other than a craftsman, or farmer, was to be born into one of these noble families.If you were privileged you could become a knight, but many of these people would become clergy. These clergy were one of the biggest aspects of the pre-modern society. Each village had a church, and that church was the main center of community life. The priests or clergymen were at the center of this as well. The clergy played the role of intermediary to God. Th ese men were also some of the only educated people around, although their education may have been still somewhat limited. In addition to the church, the clergy would have run the monastery.Monasteries were multifaceted facilities where the sick in the community could be cared for, the poor fed, and where monks would have studied, and also made copies of books. Clergy would have been at the head of religious ceremonies, as we saw in â€Å"The Return of Martin Guerre,† where at his marriage the priest performs the actual marriage ceremony; along with blessing of the bride and groom so that they may be fertile and produce many children. The largest role that clergy would have played though would have been as the spiritual leader of the community.One of the biggest differences between religion in pre-modern times and today was the public nature of personal religious faith. Today our own personal religious beliefs are usually kept to yourself, unless you are talking with someone c lose to you, or are having a theological discussion. In pre-modern life everyone was religious, and your religious beliefs were a public matter. At a time when the mass public is so vastly uneducated, the need for counsel with clergy was in high demand.As we read in the book â€Å"Year of Wonders,† the local clergyman, Michael Mompellion, from the beginning of the book, because of his role of clergy, is always being asked for help. In the beginning of the book Anna has to work hard to keep Miss Bradford from bursting into the rectory to seek out the counsel of the Rector, Mompellion. Until the end of the book when we see Mompellion’s true colors show through, he does seem like a very good, level headed, leader for the community.Although his actual holiness may have been more of an act, due to some of his strange actions throughout the book; it seems that the village may not have made it through the plague without his leadership, both spiritual and actual. Michael Mompe llion is the one who first suggests that the village must quarantine themselves to prevent the spread of the plague to other villages. He is the one who stands up to the wealthy Bradford family, warning them of the potential for spreading the plague if they leave the village.In this confrontation Mompellion is shown to have the best interests of not only the village, but others surrounding by stating â€Å"but think of those you are putting at risk†¦Ã¢â‚¬  (110). This is in stark contrast to Colonel Bradford whose family is looked up to in the village doesn’t take the responsibility of staying and setting an example for the rest of them. Colonel Bradford clearly states his main concern, â€Å"The colonel replied coldly. â€Å"I am merely doing what any man of means and sense must do: safeguarding what is mine. †(110).Mompellion is also shown to give tremendous spiritual leadership. Mompellion in his sermon to the village; embraces the plague, as a test from God . He implores the village to view the plague in the same way. Mompellion states that the plague has brought God nearer to the village than ever before, and perhaps as close as he will ever come in all of their lives. Mompellion tests their faith in God here, and even though most of the villagers stay, their behavior afterwards is less than holy. Throughout the book Anna and Elinor Mompellion tend to the needs of the villagers.The two help with births, and when villagers begin to fall ill, they tend to them until death; and Michael Mompellion tends to their spiritual needs. Michael Mompellion is never cast in the holiest of holies light from the beginning. In the first interaction we see him in he tells Miss Bradford to go to hell. Mompellion also takes advantage of vulnerable Anna towards the end of the book after his wife is murdered, and sleeps with her. Mompellion is seen taking advantage of his position in the community; even what relatively small power he does have, which is ve ry small compared to the Catholic Church of the time.The Catholic Church played probably the biggest role in religion in the pre-modern age. At the head of this church was the Pope. In the Catholic Church the Pope acted as a king. Cardinals came second in the hierarchy. The power of the Catholic Church saturated the pre-modern day. Although Europe was still made up of many different countries, the Catholic Church essentially over powered the political will of any one country. The Pope especially had an almost unlimited power both politically and religiously. The role of the Pope was to act as an intermediary to God on earth.This led to the uneducated pre-modern people of the time to blindly follow most if not all commands that came from the Pope. In addition to having the power of a king, the Pope pursued power and wealth as if he were one. Over time the Catholic Church amassed land and wealth. The Pope was anything but holy by taking advantage of his perceived power of intermediary to God. The Catholic Church furthered their power over the pre-modern people by perpetuating a view of God as a brutal enforcer, who dealt out punishment for sin with very little mercy.The church emphasized fearing God. This kept the people obeying the rule of the church, and the Pope. This rule continued for the most part until the reformation. At this time large gothic cathedrals began to be built. These churches were very tall, with thick stone walls, and large stained glass windows. The cathedrals were designed to give the pre-modern people a sense of the presence of God inside, and a sense of the power and majesty of the Catholic Church by the sheer size on the outside.Religion played a major role in the lives of pre-modern people in Europe. For whatever reason it may have been; fear of the Catholic Church, or excommunication, a desire to fit in, or just plain old true belief. I believe it was a little bit of all of those factors. But the role of religion in pre-modern life di d have several key functions for those clergy in power. It allowed them to be an inspiration to the people they overlooked. In the case of Michael Mompellion, he was the one who kept the cool head in the face of impending danger.That religious power was also easy to take advantage of, and led to the search for more wealth, land, and political power. By using the people’s belief that the Pope was really chosen by God as his voice on earth, the Catholic Church was able to hide behind their religious office, and make people think they were doing good, when in fact it was only a facade. Works Cited Vigne, Daniel, dir. Le Retour de Martin Guerre. 1982. Film. 11 Sep 2012. Brooks, Geraldine. Year of Wonders. New York: Viking Penguin, 2001. Print. Horten, Gerd. â€Å"Pre-Modern Age . † Concordia University, Portland. 9/5-14/2012. Lecture.

Wednesday, October 23, 2019

History of Cinema Essay

From the very beginning its existence the cinema has created works of art worthy to stand comparison with the masterpieces of painting, music, literature, and theatre. Even more than that, the cinema is irremovably embedded in the whole history of the twentieth century. It has not only shaped but also reflected the reality of the times. The cinema gave also form to the aspirations and dreams of people all over the world. This work will focus on the main historical factors and the conditions surrounding the history of film-making. However, it is also the case that it is simply impossible, in a work of this size, to do justice to all the many individuals, technologies and processes that have played noteworthy roles in the history of cinema. The history is not only interesting in its own right; it can also illuminate with particular clarity how the cinema works as a whole. This work consists of four main parts: the Early times, the Silent Cinema, the Sound Cinema, and the Modern Cinema from 1960 to the modern times. In each part the paper looks at history of the cinema in general. As far as possible this paper will cover each development from a broad international perspective. The Early Cinema From the beginning the cinema developed quickly. What in 1890 had been just a dream had by 1913 grown into a whole industry. First films were just moving snapshots. They were only one minute in length and nearly all consisted of just one shot. By 1905, the films were usually five to ten minutes in length and included changes of site and camera position to create a story or show a theme. Later, in the early 1910s, when the first ‘feature-length’ films appeared, there little by little emerged new techniques for handling complex stories. At this time the process of creating of films had itself grown into a large-scale business. Specialist offices had emerged, exceptionally intended to the making of films. During the 1910s the heart of supply became Los Angeles – Hollywood. The early cinema of from the mid- 1890s to the mid-1910s is often called ‘pre-Hollywood’ cinema. The cinema of this period has also been called pre-classical. Actually the styles of filmmaking common in the early years have never been completely shifted by Hollywood or classical modes, even in America. Many films continued to be pre- or at any rate non-Hollywood in their style for a long time. But it is right to say that much of the cinema development in the years from 1906 or 1907 can be considered as laying the ground for what later became the Hollywood industry. Silent Cinema On the contrary to popular belief, the history of animation did not begin with Walt Disney’s sound film Steamboat Willie in 1928. Before that film there was a popular tradition, a film industry, and a vast number of films – considering nearly 100 of Disney’s (Hayward 234). The general history of the animated film begins with the use of transient trick effects in films around the turn of the century. As several genres emerged (Westerns, chase films, etc. ). During 1906-10, there appeared at the same time films made all or mostly by the animation technique. Since most films were a single reel. There was little programmatic difference between the animated films and others. But the multi-reel film trend developed after around 1912. Animated films retained their one-reel-or-less length. Until the First World War, animation was a completely international phenomenon. However, after about 1915 the producers in the United States began to control the world market. In a quarter of a century, the silent cinema created a tradition of film comedy. The cinema arrived at the end of a century that had witnessed a rich development of popular comedy. Later, the new proletarian audiences of the great cities of Europe and America found their own theatre in music hall, variety, and musical comedy. With these popular audiences, comedy became constant demand. When life was bad, laughter was a comfort; when it was good, they wanted to enjoy themselves just the same. Famous comedy mime troupes of the music halls, like the Martinettis, the Ravels, the Hanlon- Lees, and Fred Karno’s Speechless Comedians, can be seen as direct predecessors of one-reel slapstick films. Karno, in fact, was to train two of the greatest film comedians, Charlie Chaplin and Stan Laurel (Hayward 56- 58). The term ‘documentary’ did not become popular use until the late 1920s and 1930s. In the beginning it was applied to various kinds of ‘creative’ non-fiction screen practice in the post-First World War, classical cinema era. Originating films in the category have typically comprised Robert Flah erty ‘s Nanook of the North ( 1922), various Soviet films of the 1920s such as Dziga Vertov’s The Man with the Movie Camera (Chelovek s kinoapparatom, 1929), Walter Ruttmann’s 11Berlin: Symphony of a City (Berlin: die Sinfonie der GroBstadt, 1927), and John Grierson’s Drifters ( 1929) (Cook 89). Early documentarians used the magic lantern to create complex and often sophisticated programs out of a succession of projected photographic images. The images were accompanied by a live narration, with an occasional use of music and sound effects. By the turn of the century, films were gradually replacing slides. This in turn gave rise to the new terminology. The documentary tradition preceded film and has continued into the era of television and video. In this way it was redefined in the light of technological innovations, as well as in the context of shifting social and cultural forces. British films of the period were often quite sophisticated, particularly in the comic and actuality fields. Narrative editing, too, was often innovative. Sound Cinema The development from silent to sound cinema marks a period of revolution in the history of cinema. The revolution 4can be easily dated from 6 October 1927, with the New York premiere of Warner Bros. ‘ The Jazz Singer in which Al Jolson pronounces the immortal line ‘You ain’t heard nothin’ yet’ with more or less perfect synchronization between his lips in the film and his voice recorded in parallel on a disc (Hjort 90). Filmmakers began to use innovative sound technology that produced panic in cinema industry. In the same time it encouraged experiments and hopes too. While it decreased popularity of Hollywood’s films for several years, it stimulated a rebirth of national film production all over the world. This period in the history of cinema has specific features that make it unique in comparison with the years before and after. The coming of sound itself, and its world-wide implications is the first look. Then the focus is on the world of the studios, how the system operated – particularly in Hollywood – and how different aspects of the cinema were combined together during the studio period. The studios were not entirely free to make films simply for the market. The system also encountered problems of how to regulate itself to take account of political, social, and moral concern. While other countries experienced political censorship of varying degrees of severity, the Hollywood cinema suffered relatively little interference from central government. The Hollywood was instead faced with carefully orchestrated demands for a moral clean-up and the risk of intervention by local censor boards (Neale 78-79). Along with spoken dialogue, the major innovation of the sound cinema was synchronized music. The art of musical illustration that was used during the silent period was changed by the synchronized music. A considerable difference was, certainly, that filmmakers began to use music as a part of the fictional world. For instance, music could now be introduced when the film showed an orchestra or an actor performing a song. Then, sound film would use music not only to the picture, but to dialogue as well. Music became pure background. Composition, performance, and recording were all subject to studio control, and the production of musical tracks of high quality can be counted one of the greatest achievements of the system. Outside Hollywood music tracks were often less polished. But directors were more often free to work with composers of their own choice, and Sergei Prokofiev’s music for Eisen stein ‘s Alexander Nevsky (1938) provides an interesting contrast to two classic Warner Bros. scores of the same period – Erich Korngold’s The Adventures of Robin Hood (1938) and Max Steiner’s Casablanca (1943). Modern Cinema  The most significant change in world cinema since 1945 was that produced by the breakdown of the Hollywood studio system and of its competitors and imitators elsewhere. By the early 1960s the Hollywood system was in severe disarray. Declining audiences and a series of costly flops left the major studios on the verge of bankruptcy or open to hostile take-over. While the studios experienced difficulties, new enterprises such as American International Pictures emerged. These companied made low-budget movies that were intended for the new youth and drive-in markets. Many new genres came into being. One of such innovations was the road movie. It proved to be influential not only on more mainstream American films but throughout the world. The mainstream itself was forced to innovate, drawing inspiration both from the down-market competition and from the new cinemas emerging in Europe. In Europe the most important single event was the sudden explosion on to the scene of the French New Wave – the Nouvelle Vague – with first features by Claude Chabrol, Francois Truffaut, Jean-Luc Godard, and Alain Resnais following each other in quick succession in 1958 and 1959 (Hjort 123). The New Wave had been briefly preceded in Britain by the ‘Free Cinema’ movement, and was followed by the ‘Young German Cinema’ which announced its existence in the Oberhausen Manifesto of 1962 and went on to renovate the lackluster West German cinema later in the decade. In Italy the change was less sudden but none the less significant, with the creation of Federico Fellini’s La dolce vita and Michelangelo Antonioni’s L’avventura in 1960. It was beginning of a new art cinema. Changes in the 1960s were not confined to Europe. The Cuban Revolution in 1959 gave an impetus to the growth of new cinemas throughout Latin America, notably in Brazil (Cook 45). In Japan the studio system which had nurtured the work of the great masters such as Mizoguchi and Ozu was also in crisis, and in the changed situation allowed for the entry on to the world stage of directors like Nagisa Oshima, who was to play a role in Japanese cinema similar to that of Godard in France. The new cinemas greatly extended the boundaries of film art. They brought new audiences into the cinema, for whom films assumed an unprecedented cultural importance. Throughout the 1960s and into the 1970s the cinema spoke more directly to these mainly young audiences than did any of the more traditional art forms. But outside Italy, France and England the innovate cinema with the new realities was not popular. Because of the limits on the size of the audience, the new cinema had to be low-budget or propped up by subsidy (sometimes both) in order to survive (Guneratne 67). The ‘new’ period in Hollywood cinema begins from the 1975 release of Steven Spielberg’s Jaws. The film signaled the birth of a new, younger generation of Hollywood directors. Born mainly in the 1940s, they both studied the films of classical Hollywood and were influenced by the filmmakers of world cinema. George Lucas and Steven Spielberg made blockbusters with classic principles. One of the most famous filmmaker in the 1980s has been Woody Allen. Allen has made famous films, such as Interiors (1978) and Stardust Memories (1980). Conclusion There exists recognition of the fact that from the beginning the cinema has developed in remarkably similar ways all over the world. But it is also recognized that from the end of the First World War onwards, one film industry – the American – has played a main role in the creation of world’s cinema. However, many nations have created their own, culturally identifiable, genre films that proved extremely popular during the 1970s and 1980s. In India, for instance, a remarkable 250 film-making companies, using more than 60 studios, continued to produce 700 feature films a year throughout the 1980s (Kindem 23). The central government encouraged the making of Indian films by requiring all commercial cinemas to screen at least one Indian film per show. A star system, much like Hollywood’s of the 1930s and 1940s, is strong in all parts of the world. Indeed Indian stars working on several productions at the same time can become enormously wealthy. The nations survived mainly by learning from Hollywood cinema. At the same time Europe produced a product that corresponded to needs that Hollywood cinema could not supply. Asian countries have been strong producers of film. Hong Kong, a country of only 5 million people, produces more films than Hollywood. In the 1990s Hong Kong’s citizens watched Hollywood and native productions in about equal numbers. In the 1980s Hong Kong martial arts films were distributed world-wide in large numbers. With broadcasting systems combined with the rise of satellite-distributed services Hollywood penetrates even these markets. Hollywood produced the most famous icons in the world such as Steven Spielberg and Arnold Schwarzenegger. With its international control, the Hollywood corporations could and will define standards of film style, form, and content.

Tuesday, October 22, 2019

Victimization of Women in Society with Regard to Anita Nair, S Ladiescoupe Essays

Victimization of Women in Society with Regard to Anita Nair, S Ladiescoupe Essays Victimization of Women in Society with Regard to Anita Nair, S Ladiescoupe Essay Victimization of Women in Society with Regard to Anita Nair, S Ladiescoupe Essay etc. , shrink from grandeur to petty profit-taking. (48) The question ‘Who conquered whom’ melts into insignificance: â€Å"history is written by victors, but in the case of India, it’s not always clear who won, is it? 90) It is that both the victor (West) and the vanquished (East) mutually enriched the sensibility of the two cultures. It is a strange divine coincidence that John Mist’s creation of the â€Å"Mist-Nama† and â€Å"Mishtigunj† is along a line which the ancient tradition of India endorses. The discovery of such a wonderful treasure is made possible by the research work of an Indian immigrant in America, Tara. Both John Mist and Tara are in a way immigrants. The philosophical axiom is that cultures are not fixed entities like â€Å"quantity. Naturally ‘being’ and’ becoming’ are not static. The mutations have repercussions. Though the word Ã¢â‚¬Ë œbeing’ created a misleading picture of fixity and permanence, it has the character of fabric. The British conquest of India forms the context of the new in which these issues are raised indirectly. The history of Mishtigunj created by British Hindu John Mist puts obstacles in the way of glibly accepting the two categories ‘being’ and ‘becoming’. What determines history is not its concern with outward form but the ‘inner implications’ is which it unconsciously creates. It is this history which has created a martyr, John Mist. Tara Lata Gangooly represents the best of the East and her predecessor John Mist represents both the best of the East and the best of the West. Characters like Virgil Treadwell are more concerned with the British form and decorum than with the essence of life. Both John Mist and Tara Lata Gangooly live at a deeper level while men like Virgil Treadwell move on a superficial plane. There are many places where Virgil Treadwell is compared to Churchill and Nixon and he is satirized subtly. Both John Mist and Tara Lata died a martyr’s death. The former was hanged in 1880 on a charge of disobedience of the British Colonial venture and the latter died in a prison in 1943 on the same charges of treason, sedition and disobedience. These events and situations by themselves are utterly insignificant. But the effect and impact they leave have a lasting value. It is this fact which enable the readers arrives at a philosophical link between being and becoming both is that the reality of life permits a movement between being and becoming. Liking John Mist, Tara Lata, Virgil and their life styles lead the leader draw an intelligent interference events and circumstances keeps them in a state of transition and transformation. It is a great achievement on the part of the novelist to aim at an imaginative-historical reconstruction of Mishtigunj. Bharathi Mukherjee is not a thoughless immigrant. Her loyalty to the essence of life gives her a new responsibility to rephrase the issue of the contact and correlation between being and becoming.

Monday, October 21, 2019

The first group of European essays

The first group of European essays This is characteristic mostly of new constitutions that deliberately try to adopt the generally accepted standards of the Rule of Law and constitutionalism. The German Basic Law can be considered an example of this effort and philosophy, and for the moment is the only Western constitution examined here that explicitly states the principle of separation of powers. Article 20, section 2 of the Basic Law says: All State power emanates from the people. It shall be exercised by the people by means of elections and voting and by specific legislative, executive and judicial organs. The philosophy of the German Basic Law and this is common with other European constitutions is built upon the following postulates: 1. The people is the holder of the whole State power. 2. The State power forms a unity4, and is indivisible. 3. The principle of separation of powers outlines and determines the organization and content of the exercise of State power. 4. The former premises result from the democratic principle under this principle the separation of powers does not divide State power into branches of different origin, it marks only the different functions of the unified power according to the Constitutional Court, it is an organizational and functional principle.5 Constitutions of some former socialist countries expressly state the principle of separation of powers presumably as a reaction to the previous ideology which rejected the idea of separation of powers, and as an expression of commitment to Western standards of constitutionalism. Russia is a good example of this argument. According to Marxist-Leninist doctrine all powers were concentrated in the hands of the soviets. In 1992, after the Soviet Union fell apart, the principle of separation of powers was added to the text of the old Constitution as a foundation of the new constitutional regime. This led to a discrepancy between...

Sunday, October 20, 2019

Word Choice Shall vs. Will - Proofeds Writing Tips

Word Choice Shall vs. Will - Proofeds Writing Tips Word Choice: Shall vs. Will The words â€Å"will† and â€Å"shall† can seem a bit confusing. After all, while there is a difference of sorts, they’re both used to express the future tense. Do we really need both, then? The short answer to that question is â€Å"not really.† We don’t really use â€Å"shall† in modern English. However, it is still useful to know the traditional distinction between these terms. Shall (First Person) Traditionally, â€Å"shall† was used to form the future tense in the first person. This means that we use â€Å"shall† with the first-person pronouns â€Å"I† and â€Å"we†: I shall take a walk along the beach after lunch. In modern English, we’d be more likely to say â€Å"I will†¦Ã¢â‚¬  in a sentence like this. However, in very formal or old-fashioned English, â€Å"shall† is technically the correct term to use. â€Å"Shall† can also be used to ask a question in the first person. For instance: Shall we go to the theater tonight? In modern English, though, we’d be more likely to say â€Å"Should we†¦Ã¢â‚¬  in this situation. Will (Second and Third Person) In the second and third person, â€Å"will† is the traditional term used to express the future tense: Will you be home in time for supper? He will miss his train if he doesn’t leave soon. The first sentence above is in the second person and uses the pronoun â€Å"you.† The other sentence is in the third person and uses â€Å"he† (other third-person pronouns include â€Å"she,† â€Å"it,† and â€Å"they†). Except for Emphasis! You know everything we’ve said above? Well, you need to reverse it completely if you’re being emphatic! â€Å"Emphatic† here means making a forceful point. The most famous example of this is from Cinderella, where the Fairy Godmother tells the titular character: You shall go to the ball! Here, we see â€Å"shall† combined with the second-person pronoun â€Å"you.† This is because the Fairy Godmother was being emphatic. This is quite rare, but it is worth remembering in some cases. Cinders: Its a bit small, isnt it?Fairy Godmother: Look, you SHALL go to the ball. Even if I have to force you into my tiny pumpkin carriage. Will or Shall? In around 99.9% of cases, â€Å"will† is correct in modern American English. We simply don’t make the same distinction between â€Å"will† and â€Å"shall† as we used to. The only time you will need to use â€Å"shall† is if you’re being very formal. Probably the most common example of this is legal writing. Nevertheless, it is worth knowing the difference between the traditional uses of these terms. It can be helpful, for example, when you come across â€Å"shall† used in old-fashioned writing. So remember: Shall = First person Will = Second and third person

Saturday, October 19, 2019

Solution and explain Essay Example | Topics and Well Written Essays - 500 words

Solution and explain - Essay Example Hence OpenBSD is recommended for servers. FreeBSD, a product of Berkeley Software Distribution (BSD), is a PC compatible operating systems(OS) which can support Intel x86 family(IA-32) including MS Xbox and other systems like AMD 64, PowerPC and NEC PC-98 architectures. It is termed as a complete OS. The kernel, device driver and all sort of utilities like shell are incorporated in the one source code revision tracking tree(CVS). This OS is well known for its reliability and robustness. It has also been noticed in the long use of this OS that "no crashes have occurred and that no kernel updates have been deemed necessary, as installing a new kernel requires a reboot and resets the uptime counter of the system." (FreeBSD). Hence it is best OS for desktop systems considering its reliability and compatibility and ability of reporting uptime precisely. Formulating a data backup policy ensures data security from unexpected hazards. It is applied to safeguard the information resources that prevent data loss or data corruption. Data loss can expected any time by "an accidental deletion or corruption of data, system failure, or disaster". (Purpose and Scope: Data Backup Policy 2007).

Friday, October 18, 2019

Same Sex Marriage Essay Example | Topics and Well Written Essays - 500 words

Same Sex Marriage - Essay Example I believe that promoting the rights of homosexuals and legalizing marriage for them is an insult for the sacred and traditional institution that marriage is. Our society gives us no right to play with the traditional values that has been set by our ancestors. Homosexual marriages will give more rise to non-serious marriages. As mentioned by Andrew Sullivan, gay men enjoy more sexual freedom and escape the strains of monogamy. Legalizing gay marriages would hence mean inculcating more promiscuousness and corruption into your own society. Gay men are more likely to have many partners than straight men and they are less likely to be loyal to only one partner for a long time. Hence, the traditional family ties would be further weakened which would in turn have a detrimental impact on the future generations. Many people also believe that by legalizing homosexual marriage, the concept of marriage would gradually crumble down. Over the years, people would start marrying their pets or would develop a love for animals and would then press the authorities to legalize that, thereby derogating the entire system that our forefathers have followed. People might also want to marry stuff toys, their mothers or brothers or sisters, so how would they be stopped from claiming their rights? To be frank, Homosexuality is still considered an abnormality or a psychological disorder amongst many conservative societies and they would be completely unacceptable towards the stance of legalizing same sex marriage. Also, it has been shown by numerous studies that gays are more likely to have a shorter life expectancy. Promiscuousness, drinking, smoking and unhealthy lifestyles should be avoided. I disagree with Andrew Sullivan’s claim that same-sex marriage would strengthen the culture of marriage. Heterosexual marriages are considered sacred because they are the reason behind the continuation of generations of a particular race. Promoting same sex marriages would mean promoting a

Violent, Overcrowded Prisons Negatively Affects Society Term Paper

Violent, Overcrowded Prisons Negatively Affects Society - Term Paper Example Prisons should concentrate on rehabilitation because many inmates will eventually be released. Punishment, aside from a need for societal vengeance, is meant as a deterrent for those who have committed a crime as well as for those who have not. Since people who commit crimes do so believing they probably won’t get caught, this type of reasoning is based upon a false premise. Those who have committed crimes such as identity theft, prostitution, gambling and drug use are thrown into an excessively cruel circumstance where violence and sexual assault run rampant which acts an opposite effect of rehabilitation. These people, as well as society, would be better served if they were assigned community service of varying degrees in an effort to repay the victim or the community for their transgressions. One method hurts, the other helps – seems like a simple and effective solution but one that is rarely considered. The U.S. incarcerates more of its population than any other ind ustrialized country. Currently, more than two million prisoners are jailed in local, state or federal facilities. Not only the number of prisoners is increasing, the ratio of prisoner to population is widening as well. About a decade ago, for every 100,000 citizens, 703 were in prison. That number exceeds 715 today. When categorized according to ethnicity, a wide disparity of justice is apparent. â€Å"At midyear 2003 there were 4,834 black male prisoners per 100,000 black males in the United States in prison or jail, compared to 1,778 Hispanic male inmates per 100,000 Hispanic males and 681 white male inmates per 100,000 white males† (â€Å"Prison Statistics† 2006) Those incarcerated for on drug charges constitute more than 60 percent of inmates in Federal prisons and 15 percent of the growth in total prison populations. Violent offenders including those charged with murder, rape, assault and robbery constitute the remaining approximate 40 percent. 1) (â€Å"Prison S tatistics† 2006) Anyone who has seen a prison movie likely has witnessed the stereotypical ‘shower scene’ where gang members viciously attack a lone inmate. They put a knife tightly against the victim’s throat and threaten to kill him if he puts up a fight. The lone inmate is then repeatedly raped by the gang and afterwards is too frightened to notify prison officials fearing retribution. This Hollywood recreation is not unlike the actual events taking place inside prison walls. Being brutally raped in prison is not simply a physical violation; it is an emotionally scarring event. According to the Human Rights Watch, this and other forms of gang-related violence occur regularly in prisons across the country. â€Å"Gang assaults are not uncommon, and victims may be left beaten, bloody and, in the most extreme cases, dead† (â€Å"No Escape,† 2006) However, violent and blatant rapes are but one type of sexual abuse many prisoners must endure. The most prevalent form of rape does not occur by means of violence nor have many of the victims been overtly threatened. Nevertheless, they engage in sex acts unwillingly because they do not believe they have a choice. Prison is an intimidating place. Prisoners, especially those new to the system can be easily coerced into doing things such as allowing themselves to be raped or committing violent acts against others out of fear. This type of prison rape is easier to conceal than violent attacks and much easier for prison staff and the

Thursday, October 17, 2019

Do Divestitures Have PositiveWealth Effects Literature review

Do Divestitures Have PositiveWealth Effects - Literature review Example Therefore, it can be said that a concept of divestiture is the opposite of an investment. The concept of divestiture is very much different from the concept of personal finance. Under the concept of personal finance, the investors sell out their business shares so as to meet their personal objectives. The major scope of a divestiture is that it allows the concentration of business resources in the market, and this process makes the business more profitable. This literature review tends to evaluate the positive wealth effects of divestitures. Motives behind divestitures Evidently, divestiture processes have been gradually increasing since 1990s. According to Kiymaz (2006), the gradually increasing divestiture can be clearly attributed to widespread corporate restructuring activities. The Author points out that the volume of divestitures has increased since 2,057 in 1993 to 3,134 in 1998. Kiymaz also argues that divestitures are the outcomes of a firm’s interest to create and pr eserve its shareholder wealth and it does not always symbolize the failure of a firm. A divestiture effectively refreshes a business organization and it assists the firm to enter the next phase of growth. The ultimate objective of every business firm is its further expansion and thereby increased profitability. A running business may have thorough knowledge regarding its key areas of strengths and weaknesses. Hence, an organization normally intends to restructure its strategies and concepts in order to address its weaker business areas and thereby focus more on potential growth sectors. In the opinion of Kiymaz (2006), spin offs and sell offs are the two effective techniques for a successful divestiture. Under the spin off methods, a company distributes all the common stocks to its existing shareholders with intent to create a separate publicly traded company. The author asserts that the divested asset is sold to another firm according to the concept of sell off. A spin off does not release its assets out of the company boundaries; instead, it retains within the hands of its shareholders. In contrast, a sell off constitutes complete remolding of the organizational structure and it includes an absolute disposal of some of its assets. However, retirement of succession planning is one of the major elements that influence a firm to adopt the techniques of divestitures. Rationalizing the number of shareholders is another motive behind divestiture strategies. Obviously, every shareholder of a firm would not be able to raise additional funds in times of contingencies. Moreover, every firm likes to retain potential shareholders because only they can contribute to the expansion of the company. The concept of divestiture enables the company to explore its potential shareholders. Colak and Whited (n.d.) claim that conglomerate invest efficiency play a vital role in determining the degree of growth of conglomerates. The authors add that a divestiture can effectively add t o the improvement of conglomerate investment efficiency. Therefore, dismantling conglomerates becomes a strong motive behind a divestiture. Similarly, a firm may have earned number of business entities by the way of acquisitions. It is often seen that the acquisition strategies adopted by firms become incorrect and thereby such firms are compelled to discard their acquisitions. Under such

Korean War Essay Example | Topics and Well Written Essays - 750 words

Korean War - Essay Example The initial cause was that at the World War of 1939-45, at the Allied Summit meeting it was decided that Korea would be given independence. Korea had been a Japanese colony since 1910. Korea was to be occupied by the Soviet Union till the 38th parallel, the division line, and USA would occupy the South. In the North, the Soviets backed a Stalinist regime under their client Kim Il-sung and created the North Korean Peoples' Army. They had the use of Russian artillery and tanks. In the South, the situation was very chaotic and resulted in the Americans backing the administration under the leadership of Syngman Rhee. The South wanted a united nation, thus they had very little artillery and tanks compared to the North. Many incidents took place along the 38th parallel but a fully fledged attack was launched by the North Korean People's Army on the 25th of June 1950. The South was much unprepared for the attack. (Micheal, 2001) Stalin was assured by Kim Il-sung that he could capture the Southern part. Stalin thought of this as an opportunity to continue the cold war without directly getting involved. This would also cause discomfort to America, which is what Stalin wanted. In the South, Syngman Rhee boasted about attacking the North in 1950, this gave the North a very good reason to invade the South before the South took any action against them. (History Central, n.d.) The Domino theory was what bothered President Truman; he thought that if one country fell to Communism the rest will too. He thought if Korea became communist it would capture Japan. In his opinion supporting South Korea would indirectly fight Communism and their competition with the USSR would finish. The American National Security Council issued a report (NSC 68) recommending that America abandon 'containment' and start 'rolling back' Communism. (Claire, n.d.) All these causes started the Korean War and resulted in the country being divided into two parts along the 38th parallel. The War was divided into five phases. In the first phase the North attacked the South and the Americans were taken aback. At this time they captured most of the South. The Americans asked for military assistance and American troops were sent in, who reinforced the Southern Army at Pusan. The second phase started right after when American General MacArthur led an army of troops at Inchon, near Seoul. The North Korean People's Army has to retreat as the General came up behind them, the South recaptured their territory. The General invaded the North on the 7th of October 1950. They captured almost up till the Chinese Border. They assumed that they would be back home by Christmas. The third phase started with this. The Chinese were threatened by this and attacked the army led by the General. The Chinese had modern weapons and a dislike for the Americans. They recaptur ed the North and advanced into the South, there were more than half a million Chinese troops involved in this attack. (Claire, n.d.) The fourth phase came with more American troops landing; this led to the American pushing back the Chinese. Many lives were lost during this time. In March 1951, the American troops reached the 38th parallel line again. The last and final phase was when the President told the General to stop; the General criticized the President and was court marshaled. In 1953 the American

Wednesday, October 16, 2019

Do Divestitures Have PositiveWealth Effects Literature review

Do Divestitures Have PositiveWealth Effects - Literature review Example Therefore, it can be said that a concept of divestiture is the opposite of an investment. The concept of divestiture is very much different from the concept of personal finance. Under the concept of personal finance, the investors sell out their business shares so as to meet their personal objectives. The major scope of a divestiture is that it allows the concentration of business resources in the market, and this process makes the business more profitable. This literature review tends to evaluate the positive wealth effects of divestitures. Motives behind divestitures Evidently, divestiture processes have been gradually increasing since 1990s. According to Kiymaz (2006), the gradually increasing divestiture can be clearly attributed to widespread corporate restructuring activities. The Author points out that the volume of divestitures has increased since 2,057 in 1993 to 3,134 in 1998. Kiymaz also argues that divestitures are the outcomes of a firm’s interest to create and pr eserve its shareholder wealth and it does not always symbolize the failure of a firm. A divestiture effectively refreshes a business organization and it assists the firm to enter the next phase of growth. The ultimate objective of every business firm is its further expansion and thereby increased profitability. A running business may have thorough knowledge regarding its key areas of strengths and weaknesses. Hence, an organization normally intends to restructure its strategies and concepts in order to address its weaker business areas and thereby focus more on potential growth sectors. In the opinion of Kiymaz (2006), spin offs and sell offs are the two effective techniques for a successful divestiture. Under the spin off methods, a company distributes all the common stocks to its existing shareholders with intent to create a separate publicly traded company. The author asserts that the divested asset is sold to another firm according to the concept of sell off. A spin off does not release its assets out of the company boundaries; instead, it retains within the hands of its shareholders. In contrast, a sell off constitutes complete remolding of the organizational structure and it includes an absolute disposal of some of its assets. However, retirement of succession planning is one of the major elements that influence a firm to adopt the techniques of divestitures. Rationalizing the number of shareholders is another motive behind divestiture strategies. Obviously, every shareholder of a firm would not be able to raise additional funds in times of contingencies. Moreover, every firm likes to retain potential shareholders because only they can contribute to the expansion of the company. The concept of divestiture enables the company to explore its potential shareholders. Colak and Whited (n.d.) claim that conglomerate invest efficiency play a vital role in determining the degree of growth of conglomerates. The authors add that a divestiture can effectively add t o the improvement of conglomerate investment efficiency. Therefore, dismantling conglomerates becomes a strong motive behind a divestiture. Similarly, a firm may have earned number of business entities by the way of acquisitions. It is often seen that the acquisition strategies adopted by firms become incorrect and thereby such firms are compelled to discard their acquisitions. Under such

Tuesday, October 15, 2019

Newspaper Portrayals of Boris Johnson in the British Newspapers Literature review

Newspaper Portrayals of Boris Johnson in the British Newspapers - Literature review Example Naturally, the arms of government are defined as the legislative, judiciary and executive. Each of these has a constitutional role that they play in the democratic practice of government. To this end, it is these three arms of government that are officially accepted for all or any former duties (Angel, 2012). But as times went by in the practice of freedom of expression and freedom of the press through the provisions of democratic governance, the media was one area that was seen to have taken so much advantage of the provision, making its impact felt in almost every aspect of British life. It was for this reason that the media its self and the public started referring to the media as the fourth arm of government, necessary for undertaking the role of correcting and directing the society; especially government. Research has showed that one of the best and most favorable conditions that make it possible for the British media to have such influential role in British society is because m edia practice has been clearly diversified in Britain (Gunter, 2000). What this means is that in almost every aspect of social practice, there is a line of media practice that caters for that aspect. For example in it will be noted that Britain is a socio-cultural community with the people following social passions such as religion, sports, politics, economics, tourism, show business, education, and the likes. For each of these areas also, there will be a kind of media outlet that clearly distinct itself in providing the needed information that followers of the said passion seek after (Williams and Carpini, 2000). There is another school of thought that states that the role of media in British society could be grouped into three major key functions and these are to entertain, educate and inform society (Berger, 1991). What this means is that the media in Britain is responsible to offering entertainment to the society through the combination of a number of society paradigms including show business and sports. The media is also expected to educate the society by providing authentic and unadulterated facts that correspond to current and historic issues. Finally, the media informs the public by bringing them up to date with what takes place in Britain as a country and the international world. 1.2 Media and politics In Britain, the media and politics are both considered as independent and interrelated. As far as independence is concerned, it can be said that both the media and politics are considered as two agencies that have extremely different roles to play in society (Dimmick, 1974). Each of these can also play its role without necessarily needing support or help from the other. Between the two agencies, this phenomenon of independence of the media and politics has generally been in place as a means of ensuring fairness in the delivery of their duties. Studies have actually showed that when the media does its work in a manner that it needs no support and assista nce from any political personality or political party, it is possible that the media can go about its tasks more fairly and devoid of any political favouritism and biases that may be seen in various reportage as a form of payback for any good done to the media by the political agency (Dennis, 2000). In the same way, when politicians go about their roles in a manner that clearly shows that they do not need any assistance from the media to survive, it is possible for

On the Road by Jack Kerouac Essay Example for Free

On the Road by Jack Kerouac Essay â€Å"On the Road† by Jack Kerouac is largely autobiographical work attributed to the genre of stems of consciousness creation. The novel is based on the author’s spontaneous trips with his friends across mid-century America. The novel is deeply inspired by poetry, jazz and drug experiences. The author has changed many of the names, but most references are claimed to be real-world counterparts. In the five parts and sixteen chapters the author describes restless and crazy journeys of Dean, Sal and his friends across the country. Dean Moriarty plays important role in the novel progression as he symbolizes the changeable nature of human relations and the dark side of society. Nevertheless, he pushes and inspires other to act towards their destinies symbolizing changes and shifts. Dean is certainly negative character, though he has positive impact of Sal – one of the protagonists – as he makes his stronger and more confident. Dean lives in San Francisco, travels across the country. Kerouac defines Dean as â€Å"the perfect guy for the road because he actually was born on the road†. (p. 0) However, he presents Dean as wild and mad character stressing that it is his craziness and energy that affects others to act. Dean drinks a lot, uses drugs and has many women. Moreover, he is a father of four children from two different women. Dean manages to change the life values of Sal. For example, before Sal meets Dean, he had â€Å"just gotten over a serious illness that†¦had something to do with†¦my feeling that everything was dead†. (p. 10) Dean’s character can be defined as embodiment of the whirlwind day and as Sal’s shifts from the East to the West Coast. Dean symbolizes changes acting as mechanism for movement beginning. Dean is zealous and wild personality, though he is captivating as well. Sal says about Dean: â€Å"the only people for me are the mad ones, the ones who are mad to live, mad to talk, mad to be saved, desirous of everything†¦Ã¢â‚¬ . (p. 14-15) Therefore, Dean’s character plays crucial role for Sal’s development as personality, as well as he is the embodiment of passion for life and constant activity.

Sunday, October 13, 2019

Literature Review on Pakistans Food Security

Literature Review on Pakistans Food Security ANALYTICAL FRAMEWORK Food security is elucidated by the IFAD/FAO as the year-round access to the amount and variety of safe foods required by all household members in order to lead active and healthy lives, without undue risk of losing such access. No country anywhere in the world is food secure on this definition. It represents therefore an ideal. To make the definition operational, four dimensions are considered namely Food Availability, Food Access, Food Utilisation and Stability of Access. These are briefly explained as follows: 1. Food Availability: The availability of sufficient quantities of food of appropriate qualities, supplied through domestic production or imports (including food aid). This is often confused with food security but should properly be seen as only a part, albeit an important part of food security. The question is not only whether food is available in a country but whether it is available in the right place at the right time and there must be a mechanism for ensuring that food of the right quality is made available. 2. Food Access: Access by individuals to adequate resources (entitlements) to acquire appropriate foods for a nutritious diet. These resources need not be exclusively monetary but may also include traditional rights e.g. to a share of common resources. Entitlements are defined as the set of all those commodity bundles over which a person can establish command given the legal, political, economic and social arrangements of the community in which he or she lives. 3. Food Utilization: Utilization of food through adequate diet, clean water, sanitation, and health care. This brings out the importance of non-food inputs in food security. It is not enough that someone is getting what appears to be an adequate quantity of food if that person is unable to make use of the food because he or she is always falling sick. 4. Stability of Access: Are individuals at high risk of losing their access to food? An example of this situation would be a landless agricultural laborer who was almost wholly dependent on agricultural wages in a region of erratic rainfall. Such a person is at high risk of not being able to find work in a situation of general crop failure and thus going hungry, i.e. is vulnerable. The objective of the thesis would be to analyze the institutional, production, market and policy aspects of the aforementioned four specific factors underlying food insecurity in Pakistan. This shall be gauged by analyzing secure access, production and utilization of three key staples; wheat, rice and sugar. There is considerable evidence that indicates the need to route policy focus to take the shape of revisionary responses to institutional framework, production, market dynamics and existing policy framework; all geared towards actualizing yield potentials and enhancing food security in the context of factors outlined above. What makes it even more pertinent is the impending food crisis keeping in view the increasing population and various institutional constraints underlying the retarded growth in production e.g water shortages, soil degradation, absence of proper agriculture research, improper agricultural practices etc. The four key aspects defined above i.e. Food availability, Food Access, Food Utilisation and Stability of Access shall be analyzed in terms of their current standing as well as the potential areas of improvement to realize the stipulated objectives. The stated framework is illustrated in the table as under: FOOD AVAILABILITY Review of Land holdings Cropping Patterns and relative prices for each crop. Profits and Losses per acre for each crop for each size class of farm Total area of cultivable land including land currently being utilized and cultivable waste. Water Utilisation Seeds, Fertilisers and GM food technology as a yield enhancement technique Productivity Enhancement of major crops Availability of credit for farmers for investments geared towards productivity enhancement FOOD ACCESS Identification and Targeting of the Food Insecure People Enhancing Productivity of small farmers for poverty alleviation and foster agricultural growth Diversification of On-farm and Off-farm income generation activities Stabilization of input and output process Encouragement of small scale enterprises STABILITY Inter-regional Inequality Urban Rural Disparity Distribution of land and Access to inputs and resources Skill Development for broad based development UTILISATION Improving nutritional aspects of food Balanced dietary consumption Promotion of household food production e.g. vegetables and pulses production, poultry and rearing of small ruminants POLICIES AND INSTITUTIONAL IMPERATIVES Removing Policy Distortions Provision and enhancement of rural infrastructure Institutional Structure for accelerated agricultural growth with equity. Credit and Rural Finance Human Resource Development Research and Extension Support Services In addition, the modus operandi for addressing the questions specified above would be through: †¢ A review and research the production, availability and consumption of essential food commodities †¢ A review of existing food procurement and storage facilities and identify areas of potential improvement †¢ Identification of the constraints in production, yield as well as the prices of essential food commodities e.g. wheat, sugar and rice. †¢ Identifying areas and scope of improved physical inputs geared towards improving the state of agriculture. †¢ Appraising the effectiveness of the Social Safety nets like BISP, Punjab Food Support Scheme in improving food security and how modifications in these programs towards targeting can be brought about to reduce fiscal and economic costs and losses for non target beneficiaries. †¢ Institutional and policy imperatives for enhanced and sustainable agricultural growth through a normative analysis of the following: o Agriculture and Crop Research Facilities o Social Mobilization o Vertical Integrations and Marketing systems o Enforcement Mechanisms in place to keep track of the regulatory endeavors. LITERATURE REVIEW Agriculture is considered the mainstay of Pakistans economy. According to the Economic Survey of Pakistan 2008-09, there are major hindrances in the GDP growth rate in case of Pakistan, which the report asserts could not hold at 2007-2008 level. Agriculture, the major source of employment and income in the rural areas is expected to grow at 4.7 percent as against Services sector growing at the rate of 3.6 percent during 2008-2009. About 70% per cent of the countrys rural population is directly or indirectly linked with agriculture for their livelihood. Whatever happens to agriculture is bound to affect the livelihood and consequently food security of the poor rural people. Decline of agriculture and shrinking livelihood opportunities have resulted in rising poverty in rural areas while also compounding the food insecurity in both rural and urban areas. Agriculture, thus assumes a critical role in the national economy, providing food to the fast growing population of the country. Pakistan is a country where food security situation in recent years has not been very encouraging. The demand for food in recent years, especially key staples like wheat and sugar have started to exceed the supply. This gap can be attributed to many possible causes. According to Ahmed and Siddiqui (1994), even when the supply situation is better, there are problems with the distribution amongst different segments of the society thus adversely affecting the nutrition. On the demand side, the food security problem has been complicated by an unprecedented increase in population. Since the existing rate of population growth of over 3 percent per annum is expected to continue for a reasonable period of time, the total fertility rate also remaining well above the so-called â€Å"replacement level†, improvement in health-care facilities, which have already resulted in a remarkable decline in infant and child mortality rates has also contributed towards the high population rate in Pak istan. Transitory and chronic food insecurity is caused mainly by poverty. (Tweeten, 1999) People with adequate buying power overcome the frictions of time (e.g., unpredictable, unstable harvests from year to year) and space (e.g., local food short- ages) to be food-secure. The conclusions of the aforementioned study further suggested a food security policy synthesis for poor, developing countries like Pakistan which are outlined as follows; Poverty is best alleviated through broad-based, sustainable economic development. The most effective and efficient means to economic development is to follow the standard model, illustrated by the figure as under, which assures an economic pie to divide among people and among functions, such as human resource development, infrastructure, family planning, a food safety net, and environmental protection. The standard model is not merely an ideal; it is applicable to any culture and provides a workable prescription for economic progress, ensuring buying power for self-reliance and food security. Eventually, in conjunction with family planning, it brings decreased population growth. Although no country has adopted every component, many countries have adopted enough components of the standard model to demonstrate its capacity for economic success. The central puzzle of why food-insecure countries like Pakistan, eschew the standard model when it can bring food security is explained by political failure. Terminating even the worst policies creates losers. If the losers are in positions of power and authority, they resist reform. Economic distortions provide economic rents for those in authority who bestow licenses and enforce regulations. Parastatals provide employment for friends and relatives of power brokers; hence, unfortunate public policy carries powerful momentum. Political failur e is inseparable from broader institutional failure. Food insecurity and economic stagnation are not the result of limited natural resources, environmental degradation, or ignorant people. Rather, they are the result of misguided public policies, which in turn are the product of weak institutions and corrupt governments serving special interests. Institutional change is required to adopt the standard model. Poorly structured, inadequate institutions often trace to cultural factors such as tolerance of the public for unrepresentative, corrupt, incompetent government. Government leaders often view their position as an opportunity for personal aggrandizement rather than to be a servant of the public interest. Socio-institutional changes, and hence standard model adoption, are blocked by cultural characteristics such as caste and ethnic animosities, which provide a fertile climate for governments not representing the public interest to play one group against another. Thus, the challenge of food security for our time, as argued by Tweeten (1999), is socio-institutional change. A study was conducted by the IFPRI in 1977 that emphasized on the intensity of the problem facing the Developing Market Economies (DMEs) in countering food deficits in the wake of increasing populations. The options to grapple this challenge were outlined as increasing domestic production, commercial imports, reducing the food consumption levels through pricing adjustments or rationing, and food aid. For a country like Pakistan, easily branded as a low income country, policy choices are limited. Much of the population is already below the minimum dietary and nutritional requirements. Commercial imports to cover up the food deficit may not be a plausible option because it deems imperative a huge foreign exchange outlay coupled with various alternative development expenditures seeking priority. The study concluded that in order to narrow the food gap, development efforts in such low income countries must emphasize on policies to increase and enhance production performance. Large increa ses in agricultural investments coupled with appropriate policies and effective programs will be central. The third critical dimension of food security, utilization, refers to actual metabolization of food by the body. Food that is available and accessible does not alleviate food insecurity if people do not utilize food properly because of inadequate nutrition education and food preparation, bad habits, eating disorders, or poor health, such as intestinal parasites from unsanitary water. Thus, food security is appropriately defined not just as access but as utilization by all people at all times of sufficient nutrients for a productive and healthy life. It follows that sanitation, education, and health care are important instruments for food security. Despite per capita world food supplies being more than adequate to provide food security to all, food or income transfers among nations cannot be the principal instrument to end food insecurity. One reason is because altruism is too limited and fickle to provide sufficient, reliable transfers. Heavy dependence on transfers could discourage local production and create an unhealthy dependency of poor nations and individuals on rich nations, agencies, and individuals. Massive food transfers would destroy incentives for local food producers. A nation must have a pie of purchasing power to divide and share among its food-insecure people. Because it is the poor who lack access to food, alleviating food insecurity means alleviating poverty. Most of the worlds poor, the 1.3 billion people with incomes of less than $1 per day (updated from World Bank 1990, p. 29), will have to escape poverty and food insecurity through economic growth. Economic growth largely was responsible for the 158 million reduction in numbers of undernourished people in East, South, and Southeast Asia from 1979-1981 to 1990-1992. In the mixed and underdeveloped economies of the Third World, the maintenance of minimum consumption levels for large segments of the population is a critical problem. Even in developing countries with a reasonably well-developed industrial base, such as India, glaring nutrition gaps exist (Knudsen and Scandizzo 1979) and critical shortages can and do arise in basic consumption areas such as food, fuel, and clothing (Sharma and Roy 1979). Such shortfalls have serious economic, social, and political consequences (Burki and Haq 1981). Therefore, governments in developing countries usually attempt a macro management of selected consumption items. A fairly complex set of direct and indirect policies are used to influence the production, distribution, and prices of such items (Ahmed 1979, Dholakia and Khorana 1979, Kaynak 1980, Sorensen 1978). The formulation and implementation of such policies can be viewed as a macro-marketing management process [Zif 1980]. For essential consumption ite ms, this process entails: i. Identification of key consumption items (products) and target groups (markets), ii. Development and evaluation of intervention methods (macro marketing strategies), iii. Creation of delivery or communication systems (channels) to reach the target groups or other intervention points, and iv. Monitoring and control of the consumption- oriented programs (macromarketing control system). In discussing the rationale for Macromanagement System for Essential Consumption Items (referred herein as MSECI), two interrelated questions arise i.e. why do these systems come into existence and what are the goals of these systems. In analyzing why the government intervenes in the distributive trade for essential consumption items, Sorenson (1978) cites four reasons, which are presented below in an elaborated version: i. Under conditions of scarcity (a typical feature in underdeveloped countries), the unfettered operation of the market mechanism is politically unacceptable. Price increases and shortages resulting from unfettered private trade would be politically too risky for the government in power. ii. Distributive trade typically has a poor reach in the rural areas. In periods of shortages, rural distribution deteriorates even further, making government intervention a necessity. iii. The market mechanism is imperfect in terms of prices, information, and market clearing. During periods of shortages, these imperfections become magnified, inviting government regulation. iv. Profits and surpluses from private trade in developing countries usually do not flow into productive investments. Instead, they flow into private consumption and investment such as clothing, jewelry, gold, houses, dowries, and so on. Hence, profits from shortages do not help alleviate the major cause of shortages, i.e. low le vels of production. In fact, some of the surpluses may even accentuate shortages by becoming working capital for increased hoarding of goods. Government often intervenes to reduce the profits going into such unproductive uses. The experience of India as put forth by Dholakia and Khurana (1979) and other Third World countries points out a few other reasons for the emergence and growth of macro management systems in the distributive trade sector. Some of these are: i. Distributive trades absorb a lot of people and provide a low-cost employment outlet in developing countries. Governments often intervene to further some employment goals in addition to the distributional goals. In India, for example, the government often preferentially awards licenses to operate Fair Price Shops to those groups considered to be politically important unemployed college graduates, retired army personnel, widows of servicemen, etc. ii. Government intervention in distributive trades is often a consequence of agricultural price support programs. Once the government becomes a procurer and storer of large quantities of farm products, it needs a distribution method for these products. An MSECI is created as a result. Once an MSECI is created, the reverse logic often takes over. For example, to support an extensive public distribution system in a southern state of India, the state government resorts to mandatory procurement of some percentage of farms output [George 1979]. iii. In a manner similar to agricultural policy, the industrial policy of developing countries also leads to governmental intervention in distributive trade. To support small-scale, infant, or weak industries, the government sometimes assists in the marketing of the products of such industries by procuring their products and distributing them through state-controlled or subsidized channels [Bhandari 1979]. In Morocco, for example, the government subsidized the introductory advertising efforts of a baby food considered to be important in meeting that countrys nutritional goals [Vitale and Cavusgil 1981]. These last three points illustrate how consumption- and distribution- oriented policies get intertwined with policies related to employment, agriculture, industry, and other sectors. The rationale and rationality of MSECIs must therefore be studied in the context of other related sectoral policies [Gustafsson and Richardson 1979]. While the above discussion throws some light on why MSECIs come into existence, it does not fully illustrate the range of goals that MSECIs may serve. According to Gustafsson and Richardson (1979), where there is a complex polity, not only are there multiple actors in the policymaking process but each actor sometimes has multiple goals. Politicians, for example, are interested in: a) Solving problems, where it is feasible to do so and ideologically acceptable to the politician b) Agenda management, that is, getting problematic and intractable items off the political agenda, often by formulating do-nothing placebo policies, and c) Creating consensus, especially when the issue is frankly fractious. In the context of an MSECI, purely placebo or consensus-making policies are unlikely to exist. This is because breadbasket issues are involved and simply managing the agenda or creating a consensus (without solving the problem) is politically too risky. As a part of the problem-solving strategy, however, policymakers may make some efforts to manage agendas or create consensus. Policies geared towards essential consumption items are therefore likely to have some symbolic, rhetorical, or bargaining content (Lapps, Collins, and Kinley 1980). With reference to the rationale and goals of MSECIs, the following conclusions can be made: a) MSECIs usually emerge in developing countries to serve short-term, volatile political problems caused by scarcity. Later, these systems may be further developed to embrace other economic goals. In fact, appropriately used, MSECIs could play an important role in balanced development (United Nations 1977). b) As the complexity of an MSECI increases, consumption and distribution-related policies become entwined with several other sectoral policies in developing countries. c) Analysis of MSECIs should be conducted with sensitivity to the goals stated and implicit of the different actors in the consumptive and distributive policy process. According to Hussain et al, the production instability and food insecurity in are interrelated. Most of the rain-fed agriculture of the country is experiencing erratic production. The production instability index (coefficient of variation) is 29% in the Pakistan (Anonymous). Most variation is attributed to crop yields. The productivity per unit of resource especially water, is low. The declining resource productivity is due to increased water logging and salinity, nutrient depletion, deforestation and devegetation and increased pest complex. Looming water scarcity and competition for the same water from non agricultural sectors necessitates improving crop productivity to ensure adequate food for the nation with the equivalent or less water than is presently available for agriculture. This can be obtained because available information shows that there is a wide gap between actual and attainable crop water productivity, especially in the arid and semi-arid environments. Quantifying cro p water output reveals gaps in information regarding pre-eminent ways to increase crop water productivity. Cropping systems need to be inherently flexible to take advantage of economic opportunities and/or adapt to environmental realities. A dynamic cropping systems concept characterized by a management approach whereby crop sequencing decisions are made on an annual basis has been proposed to improve the adaptability of cropping practices to externalities. STATE OF AGRICULTURE IN PAKISTAN Despite a structural shift towards industrialization, agriculture continues to be the biggest sector of the economy. It contributes 21.8% of the GDP, employs 44.7 % of the workforce and is a major source of foreign exchange earnings . About 68% of the population lives in rural Pakistan and depends upon agriculture for their sustenance. Given its wide-spanning forward and backward linkages, in particular with the Industrial sector, agriculture has assumed an added significance especially in the context of the prevalent global food crunch and food security. According to the Economic Survey of Pakistan 2008-09, no economic reforms will be successful in the absence of a sustained and broad based agricultural development which is critical for raising living standards, alleviating poverty assuring food security, generating a buoyant market for industrial expansion an making a substantial contribution to the national economic growth. The utilization of agricultural land in Pakistan is illustrated by the table as under. The total area reported in the table includes the total physical area of the villages. Forest area refers to the area of any land administered as forest under any legal enactment dealing with forests. Any cultivated area which may exist within such a forest is shown under the heading of cultivated area. Culturable waste is that uncultivated farm area which, although fit for cultivation, has been left uncropped during the year under consideration as well as the one preceding. Cultivated area is the area which was sown at least during the year under reference or during the preceding year. This includes the net sown area as well as the current fallow. The current fallow is the area that is ploughed but not cropped. With these definitions in context, a review of the agricultural land holdings of Pakistan is presented as under: (Million hectares) Table: (Source: MINFAL) An analysis of the land utilization statistics indicate that the total area under cultivation has registered a gradual increase during the period specified i.e. 1990-2008. The uncultivable land is being brought under cultivation and the total cropped area has also been increasing, though not very significantly. Given the importance of agriculture in the national economy, the policy focus has essentially been on agriculture even though the need for a structural shift towards industries and manufacturing gained importance post 1990s. If we look at the historical statistics of the Pakistan economy, we can see how the performance of agriculture coincided with the GDP growth. Table below illustrates the performance and average annual growth rates of the Agriculture and the GDP for the period 1960-2009. AVERAGE ANNUAL GROWTH RATES 1960s 1970s 1980s 1990s 2000-2009 GDP 6.8 4.8 6.5 4.6 5 Agriculture 5.1 2.4 5.4 4.4 3.0 Table Broadly speaking the growth rate of agriculture across the periods specified in Table 1 was fairly good but the yearly growth rates during the same periods were erratic. The growth of agriculture was particularly low in the periods of 1998-99 at 1.9%, 2000-01 at -2.2%, 2001-02 at 0.1% and 2007-08 at 1.1%. Considering the current decade, agriculture has grown at an average rate of 3.32% per annum. Of this, the growth performance over the last seven years has been of a volatile nature ranging from 1.1% to 6.5% at the highest. See table below, AGRICULTURE GROWTH (%) Year Agriculture Major Crops Minor Crops 2002-3 4.1 6.8 1.9 2003-4 2.4 1.7 3.9 2004-5 6.5 17.7 1.5 2005-6 6.3 -3.9 0.4 2006-7 4.1 7.7 -1.3 2007-8 1.1 -6.4 10.9 2008-9 4.7 7.7 3.6 Table 2 Federal Board of Statistics, Government of Pakistan(2009) This volatility can be primarily attributed to the crop sector which has been a subject of various pest attacks, irregular raining patterns, adulterated pesticides etc. There are two principal crop seasons in Pakistan, Kharif and Rabi. The sowing season of the former begins in April-June and the harvesting occurs in October/ December while the latters begins in October/December and ends in April/ May. Major crops of the Kharif season include Sugarcane, rice, cotton and maize and those of the Rabi season include wheat, gram and lentils. As per the statistics of the MINFAL , the major crops such as wheat, rice, cotton and sugarcane amount to about 89.1% of the value added in the major crops, and this amounts to about 33.4% of value added in the overall agriculture. The production statistics of the major crops of both the seasons are given in the table as under: PRODUCTION OF MAJOR CROPS (000 TONS) YEAR COTTON (000 BALES) SUGARCANE RICE MAIZE WHEAT 2003-4 10048 53419 4848 1897 19500 2004-5 14265 47244 5025 2797 21612 2005-6 13019 44666 5547 3110 21277 2006-7 12856 54742 5438 3088 23295 2007-8 11655 63920 5563 3605 20959 2008-9 11819 50045 6852 4036 23421 MINFAL Pakistans agricultural production is closely linked with the supply of irrigation water. The supply of irrigation water has been strained as indicated by Table 3 as under: Actual Surface Water Availability (Million Acre Feet) Period Kharif Rabi Total % Change over Average Average System Usage 67.1 36.4 103.5 2002-3 62.8 25 87.8 -15.2 2003-4 65.9 31.5 97.4 -5.9 2004-5 59.1 23.1 82.2 -20.6 2005-6 70.8 30.1 100.9 -2.5 2006-7 63.1 31.2 94.3 -8.9 2007-8 70.8 27.9 98.7 -46 2008-9 66.9 24.9 91.8 -11.3 Table 3: (IRSA) As shown in the table, against the normal surface water availability at canal heads of 103.5 MAF, the overall water availability for both the crop seasons has been less in the range of -2.5% to 20.6%. If the water availability for the respective seasons is analyzed one can conclude that the Rabi season faced a greater dearth of the water supply as compared to the Kharif season.

Saturday, October 12, 2019

The Importance of Ghosts In Emily Brontes Wuthering Heights Essay

The Importance of Ghosts In Emily Bronte's ‘Wuthering Heights’ ‘My fingers closed on the fingers of a little, ice-cold hand! The intense horror of nightmare came over me: I tried to draw back my arm, but the hand clung to it’ (Page 20) In this extract Lockwood thought he had a dream, he remembers that he ‘turned and dozed’ and dreamt again, but the above extract shows that this was different from any other dream, it is much more realistic and increasingly frightening. This leads the reader to believe that this really is not a dream and that a supernatural being is causing this entire disturbance. The importance that this has to the novel is that it adds an element of excitement and mystery, rather than Lockwood just having a dream about a ghost by the end of the extract, they believe that there really was one there. What makes this part of the novel all the more stirring is the fact that there is evidence that this really was a ghost at Lockwood’s window. For instance Lockwood says that that name of the ghost was ‘Catherine Linton’: ‘(Why did I think of Linton? I had read Earnshaw twenty times for Linton)’ (Page20) This is to say that in any dream one would not expect to dream about someone they had never met before, and they would expect for their dreams to be a collaged combination of all the things that had happened to them. In this particular extract Lockwood is saying that he had read the name Earnshaw, all he saw ‘was nothing but a name repeated in all kinds of characters, large and small-Catherine Earnshaw,’ Lockwood is saying that if this really was a dream then why did it say Linton? The theme of the afterlife is repeated all throughout the novel, and is especially reiterated by the fact that Heathc... ... ‘There’s Heathcliff and a woman, yonder, under t’ nab,’ he blubbered, ‘un’ I dare not pass ‘em.’ (Page 288) The primary importance of this sighting of the ghost is that it could actually be real. The evidence for this was that the moors were very much a favourite place for Heathcliff and Catherine to go walking. This is important because it shows that their love for each other has lasted until after their death. The most important piece of evidence for these ghosts being real is that ‘neither the sheep would go on’ with the boy. As human kind we always say that animals do have a sixth sense and that they can detect the ghosts and other spirits which new cannot. Brontà « has used ideas like the sheep so that the reader can gain a real perspective of what was on the moors, and of course how strong the relationship between Catherine and Heathcliff really was.

Friday, October 11, 2019

Improve my writing skills

Most famous music curses of all the time The â€Å"Gloomy Sunday' Curse â€Å"Gloomy Sunday† was a song written by Roses Serves, a Hungarian composer . The break-up with his girlfriend in 1933 left him such depression that he wrote this obsessive sorrowful melody. A few months after Gloomy Sunday's coming-out, a record label agreed to buy † the dead song† and published it in many big cites in the world.However, Serves turned out to be a very unlucky man. Weeks after the publishable of Gloomy Sunday, there was many scary strange stories around it. In Berlin, a man complained to his friends that he was really obsessed by Its disconsolate melody and lyric. He was soon diagnosed with autism and then ended his life with a gun. Just about one or two days later, again in Berlin, the police found a girl hanging herself in her own room and surprisingly, there was a piece of the song's lyrics on her bed .In the same year, hundreds of cases like that happened in Hungary, Fra nce and America, then spreader to the whole world. In many nations, Gloomy Sunday was even banned but the more it was banned, the more popular it became. In January 1968, Serves also committed suicide . It sounds disgusting and unbelievable, right? I must admit that the melody is very scaring but then nothing happened to me. I'm still alive and I'm standing here, talking with you. Researchers showed that music can have an extraordinary impact on humans' behavior.At that time, America and the Europe was in such a hard period that the economic crisis, unemployment and war increasing had a strong effect on people's spirit, pushed them Into a state of pessimism and depression In life. In conclusion, Gloomy Sunday used to be regarded as the last straw that broke the camel's back, but finally, there's o curse or no secret around this song. Now, we can freely enjoy it. The â€Å"Buddy Hold Curse February 3, 1 959 Is commonly referred to as The Day The Music Died, because on that day, one of the rockers who had pooled in the trend of rock and roll , died In a plane crush during The Winter Dance Party tour.It also is known as the start of the â€Å"Buddy Holly Curse,† as many musicians and people involved in Holly and his music have also met untimely deaths. For example, Ronnie Smith, the vocalist who was hired to replace Holly on the tour. Became a spectrally patient after the last performance, ND a few years later suicide. Then, David Box, a member of Holly's band, also tried to start a solo career, but like Holly he died in a plane crash at the exact same age of 22. After Holly's death, his wife miscarried their only child.From there, the curse spread to Gene Vincent and Eddie Cochran, who both were very close to Holly. Another unlucky man who reportedly went out to see the film about this rocker, The Buddy Holly Story on September 7, died exact on Holly's birthday! The â€Å"Robert Johnson† Curse Have you ever heard about Robert Johnson? He is known for his â€Å"curse† almost as 1 OFF Mississippi Delta blues style . The story of the curse is that Johnson met a large black man ( the Devil) at a crossroads on the outskirts of some unknown town, at midnight .It was at that crossroad where he exchanged his soul for the Devil to become a great blues performer. Of course , it was only a rumor until people gradually believed the curse when Robert Johnson died at his 27, also at a crossroad! Moreover, many artists like Lanyard Snyder and The Allan Brothers died after covering Roberts famous song † the Crossroad†. Some said the situation could have been a coincidence, but for entries, no one could explain why so many people who involved Robert Johnson died at the same years.The â€Å"Flowerpot Mac band † Curse There have been stories of many cursed bands,however, the most famous of the cursed bands would have to be Flowerpot Mac, whose album Rumors sold over 19 million albums in the US. Flowerpot Mac was actua lly founded by Peter Green, who took too much acid in 1970, left the band, and was committed to a mental hospital. Then, slide guitarist Jerry Spencer took too much drug in 1971 and Joined a sex cult ( gig phi) 2 years later on a tour, then-guitarist Danny had strange gestures like peeping beating his head against the wall and unconsciously making fun of the band to the audience.It was so sad that later he became a criminal and ended up dying homeless. Do you see a pattern here? More recently, the guitarist Bob Weston died of an aneurysm( etc Eng much) in 2012, and in the same year the second guitarist Bob Welsh killed himself because of clinical depression.

Thursday, October 10, 2019

Develop a stock market Essay

(a) Dependable law and regulations The existence of dependable laws and regulations, not only from the government but also from the enterprises themselves is a necessary conditions since these all the organizations to compete and cooperate with the oversea and worldwide companies. (b) Resolution of policy risk Investor confidence in reliable property right and stable, market-oriented policies are a necessary condition for financial integration and the development of emerging stock markets. Announced market-oriented policies may be reversed, however, and are initially not fully credible. We argue that sustained privatization and liberalization programmes represent a major test of political commitment to safer private property rights, successful privatization has a significant effect on emerging stock market development through the resolution of policy risk, i.e. the risk of ex post policy changes with redistributive impact on investment returns. The evidence showed the progress in privatization gradually leads to increased confidence. (c) Promoting healthy financial institutions Healthy financial institutions especially banks, is a crucial prerequisite for financial stability. The largest number of crises still arise, be it in emerging market economies or industrial countries, from financial institutions overextending themselves when times seem good and then retrenching violently afterwards. Governance would first benefit from a greater internal focus on risk-adjusted rates of return, particularly when rewarding traders and credit officers. The relentless pursuit of shareholder value, without this crucial adjustment, could prove a very dangerous strategy. (d) Developing worldwide acceptable accounting and audit standard It is recommended profession should be is self-regulated through accounting  standard board instead of regulate by government, improve the credible of accounting and auditing report up to international accounting system (IAS) standards.

Why was Shepherd Wheel successfully built here?

Shepherd Wheel is a water powered grinding workshop located on the River Porter. The site is the earliest industrial building with records going back to the sixteenth century. The grinding workshop was powered by a waterwheel could once house up to ten men grinding blades at the same time. This particular workshop produced edge tools. The key to Shepherd Wheel successfully being built here was that it was built at the right place and at the right time. The workshop relied on local factors and national factors to be run successfully. There are a few local factors in the site itself, such as the River Porter. This river provided a fast, reliable water source from the Peak District. This meant that it was a good source of power all year round. A piece of evidence to prove that this river was a particular constant and reliable one was that it was popular for water wheel powered services because they are workshops built up and down the river. Another local factor to do with the site itself was the L – shaped valley. This made the land easier to build on and was a cheaper way of building because it didn't require excess digging. The steep sides made the river flow faster and the millpond and dam fitted perfectly into the valley floor with no excess digging. A final factor about the site itself is that there is a residential area nearby; Ranmoor. This provided the workshop with workers who became skilled as it was a local job. The quiet, green scenery also encouraged the workers to come to work and increase production. The residential are also provided customers boosting the demand for products and creating a reputation for Shepherd Wheel. Another set of local factors are the resources nearby. For example, wood. There was plentiful supply on the wooded valley slopes for fuel and building. Clay was located by fast flowing rivers, such as the River Loxley and the River Rivelin. It was also located beside the River Porter and was used for lining the millpond to prevent water leaking and a waste of power. Clay also was used to build â€Å"crucible† pots in the Industrial Revolution. Gritstone from the quarries in the Peak District was used for the grinding wheels and maybe used for excess building, such as steps. Another resource was coal nearby. This was located in Eckington, east of Shepherd Wheel. This was used as a key element to make steel. For the other ingredient of steel there was a forge nearby; Forge Dam, which produced Iron for steel. Iron was also located at Eckington. These resources' being so close decreased transport costs and was a constant source of steel for the blades. A final resource was the good transport links. These helped the products to be sent around Sheffield and England to build up a reputation and also to meet growing demands. Shepherd did not only rely on local factors to be built and run successfully in Bingham Park, but also national factors as well. Shepherd Wheel was built in the right place as shown by the local factors and a description of the site, but also at the right time. It was built before the Industrial Revolution but benefited from this time of innovation and inventions immensely. The Industrial Revolution was a time of innovation and inventions. First, the population increased. This provided an increase in workers. It also provided a higher demand for cutlery as there were more people. This lead to production increases and also demands increased. Second, the population started to demand a higher amount of steel products for jobs and personal use. This meant an increase in production, which gained Shepherd Wheel and Sheffield a bigger reputation. Inventions also aided to success of Shepherd Wheel. There were 3 key pioneers of the steel industry were Abraham Darby, Benjamin Huntsman and Henry Bessemer. Abraham Darby found a way to make steel stronger and of a better quality. This lead to production increase and demand increase. This was because the steel was popular, stronger and purer. The steel was produced for personal use, weapons and the basis of other industries. In 1826, Henry Bessemer invented the â€Å"converter† which made up to 20 times more steel. Also he invented the â€Å"Puddling furnace†, which also increased the steels quality. Benjamin Huntsman also helped by inventing â€Å"Crucible Steel Pots† which produced a lot more steel. By this invention Sheffield could now make its own steel and this cut down on transport costs and exportation costs. It also meant that Sheffield could now reach higher demands for steel. Now that Sheffield could specialize in steel, it became well known over the country. Transport was improved to meet demand better and start to export steel globally. This gained Sheffield an enormous reputation and was officially named â€Å"The Steel City†. To conclude, I have proven and explained that Shepherd Wheel relied on local factors and national factors to be built successfully. I believe thanks to the contribution of all these factors Shepherd Wheel was successful. The most important factors were the River Porter and the Industrial Revolution. These two factors fulfilled the theory Shepherd Wheel being built in the right place and at the right time. Thanks to the inventions from the Industrial Revolution pioneers and the layout of the L-shaped valley and surroundings, Shepherd Wheel and in the future Sheffield became a well known and successful place where good quality steel was produced to meet high demands.