Thursday, October 31, 2019

Media Ecology Essay Example | Topics and Well Written Essays - 2000 words

Media Ecology - Essay Example As the physical and social environments have their effect on human society, similarly, in today's era, environments created by media also play an important role on the psyche human society. Therefore, it would not be far from truth if we call the study of relationship between environment created by media and the society as "media ecology". According to the Media Ecology Association, media ecology can be defined as "the study of media environments, the idea that technology and techniques, modes of information and codes of communication play a leading role in human affairs." Therefore, in this discourse an effort will be made to understand media ecology by addressing following three aspects:- There is a strong interconnectivity between different forms of media. Their effectiveness is along two strings. One is their indigenous and the second is an ability to complement the other form of media. Therefore, each media enables to form two types of environment. One which is formed by a particular media itself and the second one is formed by complementing the other forms of media. To elucidate the above point further, we take example of 9/11. We suppose that when the unfortunate incident of 9/11 took place there was only print media available. We can imagine that apart from the people who got affected, there would not be many who could have known the incident immediately. By the time print media would have conveyed the extent of havoc created by the terrorists, too much time would have been lost to create an atmosphere for global response. Still with graphic details and good script an atmosphere could have been created but for short duration. Too less and too late. Now we include radio (audio media) in the scenario. The explicit detail given in newspaper with live commentary of what all was going on would have created an atmosphere more focused on the event. Add TV (auditory - visual media) to the situation. Continuous pouring of live scenes on TV, descriptive account on radio and detailed news and views in print media created an atmosphere which was bound to last longer than what only one of the forms of media was in operation. The atmosphere is more fueled by the

Tuesday, October 29, 2019

A research paper on the 3 largest minority groups in the U.S Essay Example for Free

A research paper on the 3 largest minority groups in the U.S Essay The top three largest minorities in the United States are the Hispanic Americans, African Americans, and Asian Americans. The United States 2000 census indicated the total population as 281. 4 million where the 3 minorities represent approximately 30. 1 percent of the population. The purchasing power for the 3 major minority groups in very important n marketing and is provided in this study (Sfm 2008). African Americans African Americans are the second largest group of minorities and heavily contribute in the national politics, social welfares as well as economy. The population has increased in number within the various government and states welfares. This helps the group to advance financially according to the joint center for economic studies survey (Dana 2007). The total population of African American consumers is approximately 36. 4 million which relates to approximately 12. 9 percent of the total population in the country. As a result, targeting these consumers and studying their growth impacts on the multiplication of wealth and properties in the country. A landmark survey conducted in 2008 illustrates increased growth especially in the â€Å"mortgage originations, medium household income, and small businesses entrepreneurs and obtaining of degrees in higher education levels† (Sfm 2008). According to census bureau, African Americans have the second highest purchasing power in the minorities with turn over of $532 billion which translates to 73 percent growth as compared to 1990. In the education sector, the number of degrees offered in higher education is hitting three times as much as that of general market. African Americans have made use of the mortgage system to own house hold houses and around 50% of the household resides in their own homes (Sfm 2008). On entrepreneurship and ownership of small and medium businesses, the rate of expansion is five times as much as white Americans where revenues according to a business study conducted has experienced a 60 percent growth. The average age for African Americans is 30 and around 15 percent earns a household income of more than $50,000. The average house hold income in 2008 was $34,000 (Dana 2007). Availability of income influences the purchasing power of an individual. A study conducted in 2007 indicate that around 300, 000 African American house holds has a house hold income of above $100,000. This indicates that approximately 1 in every 6 households in the group earns this income (Dana 2007). For the medium households, the group is experiencing 60 percent growth in comparison to the whites’ households. This has helped in offering various opportunities for this minority group with a â€Å"mean portfolio size of $115, 000 for each house hold and approximately $57, 500,000 dollars of investment at hand† (Sfm 2008). With the use of statistics for projection, the investment dollars is expected to multiply to $83,375, 000 in duration of five years and attain a mean of $115,920,000 after a decade (MacInnis 2009). African Americans according to the United States population census represent 12. 1 percent of national citizens. This composes of the of all those who have been born in the country and have resided with their families for more than 300 years as well as those who have immigrated from Africa in the recent past. African Americans represent people from the black race (MacInnis 2009). On the regional demographics, African Americans are not clustered in limited areas with respect to other minorities. However, the group is the main driver for the markets in most of the cities in the United States. Report from the United States census Bureau indicates that â€Å"76 percent of the total population in Detroit, 65 percent in Washington and approximately 62 percent in New Orleans† are African Americans (Sfm 2008). Their population is also evident in various other states including â€Å"New York City, Chicago, Philadelphia, Los Angeles, Houston, Baltimore and Memphis. † For the universities in these states, approximately 78 percent of the students are African American (MacInnis 2009). Extensive migration for the African Americans is being experienced mostly to the south. Various states including Atlanta are experiencing massive economic expansion through the group activities. There are also increased employment opportunities mainly in â€Å"Houston, Dallas, Raleigh-Durham and other states from the south† which are attracting the African Americans into the region. The region has also cheap real estate, moderate weather and easily affordable way of live (MacInnis 2009). Successive marketing in the African American society requires clear understanding of their culture. The group according to a survey is discerning shoppers and is very careful on quality and satisfaction. They are loyal customers and remain in the brands they use thus a good relationship is required. Appearance in advertisement is very appreciative for the group in the utilization of their talents (MacInnis 2009). The internet is another media form that is widely used by the African Americans through the on line commerce. In investment, the group mainly engages in real estates business and banking sector as opposed to the bonds and stocks which is popular among the whites (Sfm 2008). Hispanic Americans The Hispanic population in the United States the largest minority group and is increasingly growing and thus affecting various sectors. This might be from political to business view. The population for the Hispanics is currently approximately 35. 3 million, approximately 13% of total population according to census department which translates to a percentage growth of 38 percent in comparison to overall population growth of 9 percent (Dana 2007). The population is projected to reach a high of 96 million by 2050 where they will take a quarter of the total population. Among the Hispanics, approximately 2 million people earn more than $75,000 in every year. The average house hold income in 2008 was $40,800 (Sfm 2008). The population has a huge transactional power of approximately $428 billion. This is expected to reach $600 billion in five years. The Hispanics household income is significant and their mean number of people in every household is 3. 6. This also gives an average age of 26. As a result, there is need to understand the group’s culture for effective marketing (Dana 2007). Majority of the Hispanics originate outside countries. The dominating countries of origin are â€Å"Mexico, Cuba, Puerto Rica, the Dominican republic and various countries in south/central America† (Sfm 2008). The group heavily embarks on their family with much priority hoping to offer the best. Respect of culture with marking of various events is also common with the group. The population like watching sports over the television with professional boxing followed by base ball being the favorite according to a study by MDI (Dana 2007). The United States census bureau indicates that majority Hispanics, approximately 80 percent reside mainly in five states. However, around 59 percent reside in ten states including â€Å"Los Angeles, New York, Miami, San Francisco, Chicago, Houston, San Antonio, McAllen, Dallas, Worth and San Diego† (Sfm 2008). For effective marketing in the group, products relevant to their culture provide a consolidated base and increased number of customers. Products that would address family matters and its importance are also marketable in the Hispanics (Dana 2007). Language is very important for the Hispanics and they prefer the use of mother language thus advertising of products should be done with Spanish speaking media rather than English speaking media (MacInnis 2009). Creation of friendship and one to one contact with the customers is required due to relationship orientation by the group (Dana 2007). This would also call for recruitment of Hispanic personnel. Considering that around 30 percent of Hispanic population is below 18 years of age customization of vehicles is advisable. In the universities, approximately 21 percent of undergraduate students are Hispanic (Sfm 2008). Asian Americans Asians represents various nationalities including â€Å"Japanese, Chinese, Koreans, and Asian Indians. † In the United States, Asian Americans total to 11. 9 million which represents 4. 2 percent of the total population. This is projected to get to 35 million by 2050. The Asian Americans have a high purchasing power of approximately $300 billion annually (Louis 2010). Asian Americans have a mean age of 33 years where more than half of population aged 25 and above are married. The population strongly values their family. The Asians have a multi generational type of house holds with mean of 3. 8 per household (Sfm 2008). Majority speaks their mother language and educate their students on language schools mainly Chinese. Majority of the Asians are entrepreneurs with long working hours with reduced leisure shopping. They are ranked as the lowest group in leisure related activities. Due to their increased hard work, they are the highest income earners in the United States. The average household income for the Asians is was $66,900 in 2008 (Louis 2010). In the education sector, Asians household have the highest education level with comparison to the various other groups. It was reported that 38 percent of the Asians Americans have a degree certificate (Sfm 2008). Effective marketing in the Asian American population require intensive knowledge as well as preparation in addition to staffing from the group. In the advertising a number of agencies have already been established that specializes in the Asian American markets. Ethnic group members play the advertising procedure thus one requires understanding of community as well as language for excellence. The strong language preference has led to the growth of Asian media in the United States with increased Asian language television, radio, newspapers, and magazine (Sfm 2008). Asians reside in a few states and this provides n easier communication program for the population. Among the key states where Asian American resides include â€Å"California, New York, and Texas† (Louis 2010). They also reside in Los Angeles and San Francisco but in reduced numbers. Filipinos are more so concentrated in Los Angeles whereas the Chinese are in New York City. For the case of San Francisco, the two are concentrated. The Asian population is also expanding in â€Å"Washington, Seattle, Houston and Dallas. This is as a result of technological expansion and other investment gains (Louis 2010). References Dana, L. P. (2007). Handbook of research on ethnic minority entrepreneurship: a co- evolutionary. Massachusetts. Edward Elgar Publishers Louis E. Boone, David L. Kurtz. (2010). Contemporary Business 2010 Update. New York. John Wiley Sons MacInnis, D. J. , Park, C. W. , Priester, J. W. (2009). Handbook of brand relationships. New York. M. E Sharpe publishers. Sfm. 2008. Article accessed from http://www. sifma. org/services/hrdiversity/pdf/African. pdf

Sunday, October 27, 2019

Performance of the Bretton Wood System

Performance of the Bretton Wood System THE PERFORMANCE OF THE BRETTON WOOD SYSTEM This essay will assess the performance of the Bretton Wood system which was first established in 1944 by 730 delegates from all 44 Allied nations who gathered at the Mount Washington Hotel in Bretton Woods, New Hampshire, United States, and began an international control of global monetary relations between nations. The essay will show that the system has been relatively successful and contributed towards the development of global free trade amongst nations and helped prevent the kind of economic disasters such as the Great Depression of the 1930s, which was felt to have been one of the causes of World War 11. However, the essay will also argue that criticism of the Bretton Woods as merely the vehicle for US hegemony over the international economy is also justified. The Bretton Woods System began in 1944 with the United Nations Monetary and Financial Conference, and established the International Monetary Fund (IMF) and the International Bank for Reconstruction and Development (IBRD). In the new agreement on the monetary system, each country member must ensure the exchange rate of its currency is remained within a fixed value,in terms of gold and for the IMF to help support countries suffering temporary imbalances of payments (Markwell, 2006). The Bretton Woods agreement came near the end of a World War that had devastated the globe and many thought that the war itself was partly a result of the economic policies of the pre-war years. In the 1930s the United States preferred policies of isolationism that led them to demand repayment of Allied war debts from World War 1 and caused countries to independently set economic conditions for global trade that cause deflationary problems that aggravated the decline of world trade, led to mass unemployment and negatively affected the majority of the economies of the developed world. The most serious outcome was the decline in the international flow of capital and the retarding of development of international investment. The War left the main economies aware that peace could only be maintained if countries cooperated and efficiently managed the value and exchange rates of currencies. As Cordell Hull (US Secretary of State) argue if there was a freer system of trading where countries treated fairly and eased on trading regulations, they could all raise their living standards, therefore, economic development would be a peaceful competition, thus eliminating the economic dissatisfaction that breeds war (Hull, 1948, p.81) Keynesian economic theory was now the dominant foundation of most countries economic policy-making and this promoted a greater role for government in trade with national politics based on governments assuming a responsibility towards all their citizens. The War also left countries feeling a clear need for economic cooperation and peace to be maintained through trade and that trade to be structured by an international monetary system based on free markets (Markwell, 2006). However, it was the plan of Harry Dexter White from the US Treasury, rather than Keyness own plan that was the main framework for the Bretton system, and this showed from the outset that the dominant nation in the system would be the USA, leading to accusations that the Bretton system is little more than an economic vehicle for American hegemony (Strange, 1996) The first goal of the new approach to global trade was post-war reconstruction of the devastated economies of Europe and Asia. The Bretton Woods system, as the ‘first example of a fully negotiated monetary order intended to govern currency relations among sovereign states† (Cohen, 2009, p.1). However, the reality was that Europe and large parts of Asia were in virtual economic collapse due to the World War and the creation of the International Monetary Fund (IMF) needed to also be supported by an International Bank for Reconstruction and Development, now known as the World Bank (WB). The system was designed to regulate â€Å"the par value exchange rates and lend reserve currencies to nations with trade deficits† thus enabling them with international assistance to re-build their economies and later to help finance the poor or developing countries with their reconstruction projects (Stephey, 2008, p.1) If we examine how nations did recover from the War and the impressive development in the 1950s and 1960s of countries like Germany and Japan, then our assessment of this period of the Bretton Woods, aligned with the Marshal Plan for reconstruction, must agree that Bretton was a positive influence and relatively of some success. The Great Depression in the 1930s was due to the lack of a leading, dominant state to play a hegemonic role in the international economy. In Bretton Woods institutions the US dollar was the dominant currency and became the extension of American hegemony to the international economy (Stephey, 2008, p.2). However, as Susan Strange noted, any multilateral institution might become merely the â€Å"instruments of the structural strategy and foreign policy of the dominant state†, and for many critics of the IMF and the World Bank, the problem is the dominance through these institutions of the majority of the globes nations by a very few powerful nations led b y the US (Strange, 1996). The IMF is seen as a multilateral institution that lends money to governments to stabilize currencies and maintain order in international financial markets. However, its lending carries stringent loan conditions that many see as contributing to worsening conditions for the majority of citizens in the countries that are least able to compete with the economic might of developed countries (Strange, 1996). The IMF is supposed to focus on creating ‘a stable climate for international trade by harmonising its members monetary policies, and maintaining exchange stability (Bretton Woods Project, 2005). It can ‘provide temporary financial assistance to countries encountering difficulties with their balance of payments and it is based on consensual decision-making with the aim of ‘helping countries whose economies are under-developed or in crisis (Bretton Woods Project, 2005). However, to assess the success of this one has to evaluate the degree of ‘fairness in IMF/World Bank strategies and many critics, like Strange (1996) and Mazzei (2007) are highly critical of the true purpose of the Bretton Woods System. For example, Mazzei (2007) finds that it is the ‘poor countries that actually finance the World Bank and not the other way around (p.2). Mazzei notes how ‘that for 20 years poor countries have financed the World Bank, while it is rich countries that co ntribute only 1/4 of total fund and yet it is them who hold 3/4 of the votes (p.2). The first major point of concern for the global economy was in 1971 when the US used its power over the global economy through the Bretton Woods system to protect its own interests against those of the rest of the world. The United States unilaterally terminated convertibility of the dollar to gold. The US could now unilaterally control the global economy by insisting that the United States dollar became the sole backing of currencies and a reserve currency for all the member states (Strange, 1996, p.20). This actually led to the virtual collapse of the Bretton Woods System in the 1970s and plunged the world into economic decline while it fought to adjust to the changes brought about by US policies (Strange, 1996; Cohen, 2009, Calleo and Rowland, 1973). The US ended the tying of the Dollar to the Gold Standard and left it and other global currencies to float free. Keynes had originally planned that the world adopt a global currency but it was adoption in 1944 of Dexter Whites own pla n to make the dominant trading currency of the world the Dollar that had structured the future policies of the IMF/World Bank and allowed the US to have the power to dominate the globes trade. By the 1970s the US was coming under strong criticism for its unilateral control of global trading. French President Charles De Gaulle ‘claimed that the international monetary system allowed the United States to live beyond its means and forced the European surplus countries to finance Americas military empire overseas (Gavin, 2002, p.4). The Bretton Woods system was designed to separate monetary economic policies from power politics, and yet, by the 1970s it had become ‘highly politicized and required constant political intervention to keep the system functioning smoothly (Gavin, 2002, p.5). The faults of the Bretton Woods System were listed by Bordo (1991, p.20) as ‘the gold exchange standard, which placed the United States under threat of a convertibility crisis secondly the problems with the ‘adjustable peg, because, in the face of growing capital mobility, the costs of discrete changes in parities were deemed so high, the system evolved into a reluctant f ixed exchange rate system without any effective adjustment mechanism and finally that ‘U.S. monetary policy was inappropriate for a key currency. Thus, the Bretton Woods System collapsed in the 1970s but its basic institution of the IMF and subsequently the World Bank remain as the guiding bodies of the international economy. The World Banks task is lending to promote the growth of world trade and to finance the post-war reconstruction of European economies. It is a ‘multilateral institution that lends money to governments and government agencies for development projects. However, the Bank also imposes harsh conditions through Structural Adjustment Programs, forcing countries to adopt reforms, deregulate capital markets, promote privatisation of state enterprises, and downsize public programs for social welfare. This results in policies such as privatisation of utility suppliers, bringing in fees and privatisation of education and health services. For its critics the World Bank and IMF have become the contributors to the persistence of world poverty rather than vanguard for preventing it and represent not the interests of the global society but rather the interests of Wall Street and the United States Treasury Department (Strange 1996, Cohen, 2009, Markwell, 2006) In contrast, the supporters of the World Bank insist that the Bank is an institution in which the rich developed countries can serve to improve the global economy and the ‘capacity of countries to trade by lending money to war-ravaged and impoverished countries for reconstruction and development projects (www.imf.org). Thus, in assessing the success of the Bretton Woods System and its subsequent trading organisations such as the IMF and the World Bank, one can see a very different analysis depending on your political affiliation. Rather than separate power politics from global trading, the System has become directly linked to the fortunes and hegemony of the US. Its record in helping a devastated globe recover from the affects of World War 11 is very good and the global economy has grown over each decade. However, its critics still see it as chiefly dominated by the US and its allies and whilst it continues to support the growth of trade its image as a vehicle mainly for the US retards how well its future role in the global economy will be judged by the growing economic powers of countries like China and India. Reference: Bloch, F.L. (1977) The Origins of International Economic Disorder, Berkeley and Los Angeles: University of California Press Bordo Michael (1991)The Bretton Woods International Monetary System: An Historical Overview, Chicago press, US Bretton Woods Project,( 2005) What are the Bretton Woods Institutions, www.brettonwoodsproject.com Calleo, D.P. and Rowland, B.M. (1973) America and the World Political Economy, Bloomington, IN: Indiana University Press Cohen, Bernard (2009) Bretton Woods System, USA, Routledge Eichengreen, B. (1996) Globalizing Capital: A History of the International Monetary System, Princeton, NJ: Princeton University Gavin Francis (2002) ‘The Gold Battles Within the Cold War Diplomatic History, US. Hull, Cordell (1948). The Memoirs of Cordell Hull: vol. 1. New York: Macmillan. Keynes, John Maynard (2007) [1936]. The General Theory of Employment, Interest and Money. Basingstoke, Hampshire: Palgrave Macmillan Markwell Donald, (2006) John Maynard Keynes and International Relations: Economic Paths to War and Peace, Oxford University Press, Mazzei, Umberto (2007) The Temple of Capital is Cracking, Ventana Global , Spain Stephey M J (2008) A Brief History of the Bretton Woods System, Time Magazine, USA Strange, S. (1976) International Economic Relations of the Western World 1959-1971, Vol. 2: International Monetary Relations, London and New York: Oxford University Press Strange Susan (1996) The retreat of the State† : The Diffusion of Power in the World Economy UK, Cambridge Press Internet sources: M.J. Stephey, Bretton Woods System[ Brief paper],Time CNN, Tuesday, Oct. 21, 2008. Availbale from http://www.time.com/time/business/article/0,8599,1852254,00.html#ixzz0gvqYryL2 [accessed 23 March 2010] The World Bank[Web Document] Available online from: http://www.globalpolicy.org/social-and-economic-policy/the-three-sisters-and-other-institutions/the-world-bank.html [accessed 23 March 2010] What are the Bretton Woods Institutions? Published: Tuesday 23rd August 2005, last edited: Thursday 25th January 2007[online] available from: http://www.brettonwoodsproject.org/item.shtml?x=320747 [accessed 23 March 2010]

Friday, October 25, 2019

Fahrenheit 451 by Ray Bradbury :: Ray Bradburys Fahrenheit 451

In the 1950 novel Fahrenheit 451, Ray Bradbury presents the now familiar images of mind controlled worlds. People now live in a world where they are blinded from the truth of the present and the past. The novel is set in the, perhaps near, future where the world is in war, and firemen set fires instead of putting them out. Books and written knowledge is banned from the people, and it is the firemen’s job to burn books. Firemen are now the policemen of this time. Some people have rebelled by hiding books, but have not been very successful. Most people have conformed to this world. Guy Montag, a fireman, is a part of the majority who have conformed. Throughout the novel Montag goes through a transformation, where he changes from a Conformist to a Revolutionary. Guy Montag has never questioned his job before the day he met Clarisse McClellan. This is the first time where Montag is confronted with the idea that, he doesn’t understand the whole truth about books. Monta g meets Clarisse as he is one day walking home from work, and they strike up a conversation. During their conversation Montag is questioned why books are illegal and why firemen burn the books. She also asks him if he had ever read any of the books that he burned. His reply was that it is against the law. Clarisse even asks, "… long ago [did] firemen put fires out instead of going to start them?"(Fahrenheit 451, page 38) Montag replies by telling her that that is nonsense, and that "Houses have always been fireproof,…"(Fahrenheit 451, page 38) Here you can see how brainwashed and blinded the truth is for the people. Clarisse says good night to Montag, and right before she leaves she asks him, "Are you happy?"(Fahrenheit 451, page39) Before Montag can reply Clarisse is gone, and she leaves Montag pondering her question. As he tells himself that her question was nonsense, he starts to realize that he is not happy with his life. Someone else who changed Montag’s thinking, changed it by their actions not by tell him anything. One day the firemen got a call with an address of someone who was hiding books. The firemen, doing their job like always, went to the house to find the books and burn them. When they got there they had found the books, but when they went to burn them the person who owned the books would not leave them.

Thursday, October 24, 2019

Literature Review Train Travel Essay

In order to conduct a thorough review of train travel it is important to first place my own work within the wider context of the existing knowledge in relation to this topic. By looking at studies which have already been conducted it is possible to observe questions which remain unanswered in this field and to look critically at existing literature in order to give my personal study a greater sense of purpose and to ensure that it makes significant contribution to the field. Social Construct of Train Travel A particular area of study relating to train travel which seems interesting to me is that which is pointed out by Watts (2008). In her paper she examines the social, imaginary and material work involved in making a journey by rail. Following ethnographic research consisting of quotations and photographs the author argues that rail passengers are spatially distributed when they make a journey by train. In her analysis she points out that a great deal of research has been conducted into the way in which time and space are constructed in society, however few researchers have conducted a specific analysis of the items and people involved in this creation. As a result this is an area I am keen to investigate as the way in which time and space is created is an area which invites more specific investigation and simultaneously this topic in relation to train travel has had little academic attention. Therefore by investigating this topic I feel I would be able to fill a gap in existing research. A further article which builds on this notion of the social construct of travelling by rail is that of Bissell (2008). In his study he looks at â€Å"some of the fluid relationships between everyday visuality, materiality and mobility through practices of contemporary railway travel in Britain† (1) The article looks primarily at the visual issues in train travel including the interior of the carriage and the landscape viewed through the window in relation to how these affect the perceptions of time, space and location throughout the journey. Such a take on train travel is something which I am very interested in and by using the conclusions made in this paper I would be able to add to the cannon of debate on this topic to contrast the findings of this study with those from an American perspective, to broaden this debate into a multi cultural arena where it may be the case that a vastly different social construct is created through train travel. This notion is extremely interesting to me and is one which, as it is yet to be developed from a transnational context, would therefore allow me to add to the academic body of knowledge on this topic. Train Travel for Business Along with the social construct of train travel another area which much literature has been conducted into is train travel in relation to alleviating problems for businesses. As train travel is often undertaken by business professionals who may need to get from two areas which are relatively far apart and are both subject to high levels of street congestion the degree to which train travel is an effective way for businesses to get to different locations for meetings or negotiations I feel therefore is an important one. One paper which has done this in relation to the relative effectiveness of train travel versus air or road travel for businesses is that of Bhat (1995). In his paper Bhat deploys an extremely qualitative and thorough evaluation of what he terms the ‘independence of irrelevant alternatives’ (IIA) in order for him to be able to come to the conclusion that different approaches to this topic elicited a different set of results. As this paper had a heavy weighting on the effectiveness of specific models in investigating this topic I feel that one way in which it can be improved is to select an approach or a model from the outset, and then stick with this throughout in order for the conclusion to be more orientated around the travel mode as opposed to the model itself. Nonetheless this paper does point out to me that the heteroscedastic model is superior to both the multinomial logit and nested logic models in the quality of results it is able to generate and therefore it will be worth me bearing this in mind when I come to conduct my own research. Another paper on a similar topic to this explores the relationship between the timing of your journey and the choice of which transportation mode you take. Conducted by Nurul Habib et al. (2009) this paper conducts a correlational analysis of these two decisions and comes to the conclusion that unobserved factors contributed to both the decision of which time to undertake your journey and which transport mode to take. Something I found particularly helpful about this paper was that it pointed out the tendency for congested peak travel periods to expand which is a phenomenon known as ‘peak spreading’. As this paper provides empirical evidence for this notion is therefore justifies further investigation owing to the importance of travel between cities in today’s society. Similarly, as this paper utilises a multinomial logit model, a discrete-continuous econometric model and a continuous time hazard model the issues relating to the effectiveness of these models has been highlighted to me as an area I will need to conduct a further amount of research in to in order to ensure that the method I ultimately select is effective in generating reliable results. Along with this issue of which model to apply to my research a study by Kroes and Sheldon (1988) point out another issue I should be aware of when conducting research into train travel. In their article they conduct a review of the stated preference method in the transport sector by another of other academics and assess the value of using this method in comparison to other similar methods to assessing why people have selected the particular mode of transport. As this article covers a range of other train transport related studies it therefore is useful in assessing the literature in this field as a whole as it has a rather broad scope. By looking at the individual studies and the successful and unsuccessful elements of them I am therefore able to select a method which suits my particular study most aptly and as a result conduct a thorough and exhaustive investigation into my chosen area of train travel. Travel Time Key names in the field of rail travel include Laura Watts and David Bissell. Something which they have both written about is the notion of travel time in relation to passenger experience. In a study by Watts and Urry (2008) the authors attempt to provide evidence to dispel the myth that time spent travelling is wasted and dead. In order to encourage funding into travel projects the authors propose that rather that attempting to minimise travel time, by linking the notion of travelling with activities and fantasies they therefore suggest that the perception that travel time is wasted is therefore incorrect. Through looking at activities such as engaging with other passengers, accessing wireless networks, views out the window and using items you have packed in your bag they therefore provide evidence which ultimately represent travel time as a useful being of time where practical and fantasy activities can be indulged, thus encouraging investment into travel projects and infrastructures. I find this research particularly useful as it has called for a revaluation of previously taken for granted attitudes towards travelling by train. By looking at the topic more broadly and dispelling common misconceptions the authors are able to create an article which both covers brand new ground and gives attention to an under investigated issue. The theoretical approach they establish therefore is something I wish to build upon in my own study as the issue is so recent it therefore is yet to have any support or criticism surrounding it. A further study by Bissell also investigates this topic however from a different perspective. Bissell (2010) looks at the notion of community and atmosphere within a train carriage. He notes something which I find interesting, that there is a certain atmosphere within a train carriage which has a powerful effect on the traveller in terms of a reticent passivity which contradicts a set of forces which work when travelling by train which prime an individual to act. As far as I am aware this societal approach to the atmosphere on a train carriage has only been conducted in relation to psychology and obedience before and therefore it is very interesting that Bissell has looked at it within the field of transport. Whilst I feel that this study is extremely relevant and is something a great number of people may be able to relate to some criticism I have is that the notion he is describing is extremely intangible and whilst he does provide extensive primary research as evidence the atmosphere is difficult to pin and down and evaluate scientifically. Another study on this topic is that of Ole (2009). This study looks at the idea of mobility in urban areas. The author describes the tendency for modern cities to be represented not just by their static venues but also by their transit spaces and argues that there should be a re configuration of the way in which identities of place are conceptualised and that transit spaces ought to become a location for meaningful interaction and pleasure. As with the Watt and Urry article this paper calls for a revaluation of the attitudes towards train travel and therefore provides a useful framework which forms a base upon which it would be possible to build upon and expand in my own study. Conclusion Throughout my literature study I have been able to identify the key theorists in the field of train travel and highlight some potent and relevant issues in this area of study. By looking critically at research which has already been conducted I am now able to ensure that my own study brings new ideas into academic discourse and that my investigation does not cover ground already subject to analysis. The gaps I have noted and other observations made throughout the body of my text therefore now place me in an ideal position to be able to come to a conclusion based on relevant research which will be will informed and critical in its scope. Works Cited Bissell, David. â€Å"Visualising everyday geographies: practices of vision through travel-time† Transactions of the Institute of British Geographers 34 (2008) 42- 60 Bissell  David. â€Å"Passenger mobilities: affective atmospheres and the sociality of public transport.† Environment and Planning D: Society and Space 28 (2010) 270- 89 Bhat, Chandra. â€Å"A heteroscedastic extreme value model of intercity travel mode choice.† Transportation Research Part B: Methodological 29 (1995) 471- 83 Kroes, Eric P. and Sheldon, Robert J., â€Å"Stated Preference Methods: An Introduction.† Journal of Transport Economics and Policy 22 (1988), 11- 25 Nurul Habib, Khandker, Day, Nicholas, and Miller, Eric. â€Å"An investigation of commuting trip timing and mode choice in the Greater Toronto Area: Application of a joint discrete-continuous model.† Transportation Research Part A: Policy and Practice 43 (2009) 639- 53 Ole, Jensen B. â€Å"Flows of Meaning, Cultures of Movements – Urban Mobility as Meaningful Everyday Life Practice.† Mobilities 4 (2009) 139-58 Watts, Laura. â€Å"The art and craft of train travel.† Social and Cultural Geography 9 (2008): 711- 26 Watts  Laura and Urry  John. â€Å"Moving methods, travelling times.† Environment and Planning

Wednesday, October 23, 2019

Because I could not stop for death

â€Å"Because I could not stop for death† Emily Dickinson reveals about accepting death as a next chapter of her life. In Verse 1 and 2 she describes herself as a bride and death as her spouse. Welcome death as her partner in the eternal life. She embraces it with open arms that death is no more frightening into her. It also indicated in the 1st verse about her burial march. Dickinson created the poem showing three stages in her life time. In her 3rd verse, the school represents her childhood.The fields of gazing grain represent her maturity towards life. And the Setting Sun represent her old age preparing for her death. Another explanation to this verse is describing her burial march passing to â€Å"the school†, â€Å"the fields† and her last sentence â€Å"Setting Sun† can be the time of her burial. In her 4th verse, she talks about her burial dress. The definition of her garments are more appropriate for a wedding that a funeral dress. Her dress is for mal that the author knows her death. She prepared her dress like she is marrying death.It’s like a beginning but an end of life. In her Final moment she talk in her 5th verse of a house the represents her grave were her body lay in the solid ground. The author feels comfortable to pass away that in her heart, it’s a peaceful death. The author also talks about a â€Å"house† that represents her grave that she describes a grave as a home for eternity. The last verse, Dickinson talks about the â€Å"Centuries† which means that even century bypass she is happy in her death no worries and no more loneliness to feel.This describe that her dead body will be in earth for eternity. Emily Dickinson’s poem at first you will ask is this person is death? How did she write her own death? It is an amazing poem that she predicted her death. She embraces death with no fear and tears. She defines her death as another stage of cycle of life. In another point of view she was confident about her fate. She also defines death as her partner to the next stage of her life.In our days, this poem gives us a lesson that we have to appreciate death what ever happen because death will not wait for us. Most of us don’t expect our death or thinking our own death but this amazing poem gives an idea to accept what ever faith we may have. We don’t need to be scared but gives opportunity to be grateful for life and death. We maybe living for today but death will be the next chapter of our life. So take time to think for yourself and appreciate everything in your life so like Emily Dickinson we can accept our death.

Tuesday, October 22, 2019

Nuclear Testing Areas and Cancer essays

Nuclear Testing Areas and Cancer essays American conservationist Terry Williams of Corona, California is a descendant from a Mormon clan and argues that the fallout of the nuclear testing in Nevada around the 1950's and 1960's was the cause for the growth in cancer in Utah. Breast cancer has taken the lives of many of her loved ones, one major person being her mother. Altogether seven died from cancer. Only two have survived all rounds of chemotherapy and she had problems with her biopsies, including having a small tumor in her. She had a borderline malignancy. Ms. Williams had to deal with their battles and all their shortcomings. Sadly for her, cancer was something she started getting used to being around every day. She describes some lawsuits that were filed against the United States regarding the potential cause of cancer because of these nuclear testing in Nevada. Ms. Williams tells the readers that the Mormons are taught to sit back and let the leaders do their job. She starts to feel that maybe she does not want to be a follower anymore. She implies that the fear and the inability to question authority, that ultimately killed rural communities in Utah during atmospheric testing of atomic weapons is the same fear I saw in my mother's body. Williams goes on saying that she can't prove that these plants are what gave her loved one's cancer, but she also can't prove that they didn't. As a factor, in Ms. Williams' findings that Breast Cancer is hereditary and genetic. Cancer was a big part of her families' life. Williams goes on to provide the reader with a brief summary of the nuclear situation at the time. She writes about how the government told the public nuclear testing was not dangerous and was needed to beat the enemy, and writes about the important lawsuit "Irene Allen vs the United States of America" which started educating the people and even the government about the harmful effects of nuclear testing near and around the public. On May 10, 1984, the United St...

Sunday, October 20, 2019

The Hindenburg Disaster

The Hindenburg Disaster The Hindenburg marked the beginning and the end of transatlantic airships. This 804-foot dirigible filled with over 7 million cubic feet of hydrogen was a crowning achievement of its age. Never before or since has a larger aircraft taken flight. However, the explosion of the Hindenburg changed the landscape for lighter-than-air crafts forever. The Hindenburg is Engulfed in Flames   On May 6, 1937, the Hindenburg carrying 61 crew and 36 passengers arrived hours behind schedule at Lakehurst Naval Air Station in New Jersey. Inclement weather forced this delay. Buffeted by winds and rain, the craft hovered in the area by most accounts for about an hour. The presence of lightning storms were recorded. The landing of the Hindenburg with these types of conditions was against regulations. However, by the time the Hindenburg began its landing, the weather was clearing up. The Hindenburg seems to have been traveling at a fairly fast speed for its landing and for some reason, the Captain attempted a high landing, being winched to the ground from a height of about 200 feet. Soon after the mooring lines were set, some eyewitnesses reported a blue glow on top of the Hindenburg followed by a flame towards the tail section of the craft. The flame was almost simultaneously succeeded by an explosion that quickly engulfed the craft causing it to crash into the ground killing 36 p eople. Spectators watched in horror as passengers and crew were burned alive or jumped to their deaths. As Herb Morrison announced for the radio, Its burst into flames.... Get out of the way, please, oh my, this is terrible...Oh, the humanity and all the passengers. The day after this horrible tragedy occurred, the papers started speculating about the cause of the disaster. Up until this incident, the German Zeppelins had been safe and highly successful. Many theories were talked about and investigated: sabotage, mechanical failure, hydrogen explosions, lightning or even the possibility that it was shot from the sky. On the next page, discover the major theories of what happened on this fateful day in May.   The Commerce Department and the Navy led the investigations into the Hindenburg disaster. However, the Federal Bureau of Investigation also looked into the matter even though it technically had no jurisdiction. President FDR had asked all governmental agencies to cooperate in the investigation. The FBI files released about the incident through the Freedom of Information Act are available online. You must download Adobe Acrobat to read the files. Theories of Sabotage The theories of sabotage began to surface immediately. People believed that maybe the Hindenburg had been sabotaged to harm Hitlers Nazi regime. The sabotage theories centered on a bomb of some sort being placed aboard the Hindenburg and later detonated or some other sort of sabotage performed by someone on board. Commander Rosendahl of the Department of Commerce believed that sabotage was the culprit. (See p. 98 of Part I of the FBI documents.) According to a Memorandum to the Director of the FBI dated May 11, 1937, when Captain Anton Wittemann, the third in command of the Hindenburg, was questioned after the tragedy he said that Captain Max Pruss, Captain Ernst Lehmann and he had been warned of a possible incident. He was told by the FBI Special Agents not to speak of the warning to anyone. (See p. 80 of Part I of the FBI documents.) There is no indication that his claims were ever looked into, and no other evidence arose to support the idea of sabotage. Possible Mechanical Failure Some people pointed to a possible mechanical failure. Many of the ground crew later interviewed in the investigation indicated that the Hindenburg was coming in too fast. They believed that the airship was thrown into a full reverse to slow the craft. (See p. 43 of Part I of the FBI documents.) The speculation arose that this may have caused a mechanical failure which sparked a fire causing the hydrogen to explode. This theory is supported by the fire at the tail section of the craft but not much else. The Zeppelins had a great track record, and there is little other evidence to support this speculation. Was It Shot From the Sky?   The next theory, and probably the most outlandish, involves the dirigible being shot from the sky. The investigation focused on reports of a pair of tracks found near the back of the airfield in a restricted area. However, there were numerous people on hand to watch the amazing event of the Hindenburg landing so these footprints could have been made by anyone. In fact, the Navy had caught a couple of boys who had sneaked into the airfield from that direction. There were also reports of farmers shooting at other dirigibles because they passed over their farms. Some people even claimed that joy seekers shot down the Hindenburg. (See p. 80 of Part I of the FBI documents.) Most people dismissed these accusations as nonsense, and the formal investigation never substantiated the theory that the Hindenburg was shot from the sky. Hydrogen and the Hindenburg Explosion The theory that gained the most popularity and became the most widely accepted involved the hydrogen on the Hindenburg. Hydrogen is a highly flammable gas, and most people believed that something caused the hydrogen to spark, thus causing the explosion and fire. At the beginning of the investigation, the idea arose that the drop lines carried static electricity back up to the airship which caused the explosion. However, the chief of the ground crew denied this claim by the fact that the mooring lines were not conductors of static electricity. (See p. 39 of Part I of the FBI documents.) More credible was the idea that the blue arc seen at the tail of the airship just before it burst into flames was lightning and caused the detonation of the hydrogen. This theory was substantiated by the presence of the lightning storms reported in the area. The hydrogen explosion theory became accepted as the reason for the explosion and led to the end of commercial lighter-than-air flight and the stalling of hydrogen as a reliable fuel. Many people pointed to the flammability of the hydrogen and questioned why helium was not used in the craft. It is interesting to note that a similar event happened to a helium dirigible the year before. So what really caused the end of the Hindenburg? Addison Bain, a retired NASA engineer and hydrogen expert, believes he has the correct answer. He states that while hydrogen might have contributed to the fire, it was not the culprit. To prove this, he points to several pieces of evidence: The Hindenburg did not explode but burned in numerous directions.The airship remained afloat for several seconds after the fire began. Some people report it did not crash for 32 seconds.Fabric pieces fell to the ground on fire.The fire was not characteristic of a hydrogen fire. In fact, hydrogen makes no visible flames.There were no reported leaks; the hydrogen was laced with garlic to give off an odor for easy detection. After years of exhaustive traveling and research, Bain uncovered what he believes is the answer to the Hindenburg mystery. His research shows that the Hindenburgs skin was covered with the extremely flammable cellulose nitrate or cellulose acetate, added to help with rigidity and aerodynamics. The skin was also coated with flecks of aluminum, a component of rocket fuel, to reflect sunlight and keep the hydrogen from heating and expanding. It had the further benefit of combating wear and tear from the elements. Bain claims these substances, although necessary at the time of construction, directly led to the disaster of the Hindenburg. The substances caught fire from an electric spark that caused the skin to burn. At this point, the hydrogen became the fuel to the already existing fire. Therefore, the real culprit was the skin of the dirigible. The ironic point to this story is that the German Zeppelin makers knew this back in 1937. A handwritten letter in the Zeppelin Archive states, The actual cause of the fire was the extreme easy flammability of the covering material brought about by discharges of an electrostatic nature.

Saturday, October 19, 2019

Australian Immigration Laws

I am a registered migration agent in Australia who is writing you this application to waiver the condition 8503 attached on my client’s visitor’s visa. The name of the client is Sukhon Chaiprasit who is a 25 years old female Thailand citizen and holds a visitor visa Class FA, subclass 600 (tourist stream) with condition 8503 attached to it. Her visitor visa is about to expire in a couple of days, thus, my client Sukhon Chaiprasit wishes to get the condition 8503 waived on her visitor’s visa for applying for a fresh substantive visa in Australia. Condition 8503 is imposed on various temporary Australia visa and is referred as a â€Å"No further stay† condition. If condition 8503 is attached to an one’s visa, it will means that the said visa holder except for a few exceptions, is not allowed to apply for any other visa in order to extend his stay in any manner till he is present in Australia. The only visa in such cases which is legally permitted to be applied for is the protection visa. Any visa holder with condition 8503 is allowed to apply for a protection visa. The primary reason for introducing the said condition was to ensure the Department of Immigration and Citizenship (DIAC)  that visa holders with the said condition will leave the Australian territory before the expiry of their visa. The said assurance also allowed the Department of Immigration and Citizenship (DIAC)  to sanction more visas as the fear of individuals present in Australia without visa permit was minimized. Thus, condition 8503 on any visa restricts the visa holding on whose visa the condition is applies to apply for any other substantive visa except protection visa while his stay in Australia. The visa holder whose visa has the said condition attached has to leave the Australian land before the expiry of his visa and staying for even a single day extra after expiry of the visa date is illegal and can cause detention of the visa holder to depart him from Australia. In case, the visa holder whose visa has condition 8503 attached to it has to leave the Australian land and go back to his country to apply for a fresh temporary or permanent visa to return to Australia again for a longer period. Thus, condition 8503 restricts a visa holder from applying for any substantive visa while his stay in Australia, however under subsection 41 (2) (a) of the Migration Act 1958 and Regulation 2.05 (4) of the Migration Regulation 1994 he said condition can be waived by the Ministry of Immigration in Australia. To be eligible for the said waiver, the visa holder has to comply with certain requirements mentioned under the above mentioned legislations. The Regulation 2.05 (4) of the Migration Regulation 1994 states the first requirement for waiver of condition 8503 attached to Australian visa. It states that for waiving condition 8503, the visa holder is required to satisfy the Ministry of Immigration in Australia that some circumstances has changed since the visa was applied for and granted which are beyond the control of the visa holder. Moreover, the visa holder having condition 8503 attached to his visa also has to show that the Ministry has not denied any prior application of waiver. The sub section 41 (2) (a) of the Migration Act 1958 gives the circumstances in which Ministry will accept the waiver application and grant the waiver. Thus, the said section states that the visa holder in order to waiver condition 8503 attached to his visa has to prove that from the time the visa was granted to him, circumstances have drastically changed with compelling reasons which are beyond the control of the visa holder which have resulted i n changed present situation of the visa holder. My client Sukhon Chaiprasit has eligibly complied with subsection 41 (2) (a) of the Migration Act 1958 and Regulation 2.05 (4) of the Migration Regulation 1994 and meets the conditions which are required to grant her waiver of condition 8503 attached to her visitor’s visa. The lists of compelling reasons in the said case are as follows:- The above reasons are beyond the control and were not anticipated by my client while applying for the visitor’s visa. My client was totally unaware that such mishap would occur while her stay in Melbourne which will prevent her from travelling back to Thailand. Therefore, as a migration agent, I believe my client has met all the requirements necessary to be granted a waiver of condition 8503 on her visitor’s visa which can make her apply for a fresh Class UB Medical Treatment visa under subclass 602 without leaving the Australian land. I request you to consider the health of my client subsequent to the attack she faced in Melbourne and grant her waiver of condition 8503 as she has legally complied with ll the conditioned required by the statutory laws stated in 41 (2) (a) of the Migration Act 1958 and Regulation 2.05 (4) of the Migration Regulation 1994. The compelling reason in the said case being the attacked she faced which was totally unexpected which made it impossible for her to travel back, thus, the compelling reason also stands beyond the control of my client. Making my client travel back just to comply with condition 8503 and going against the doctor’s report which suggests her to avoid travelling for 6 months can be injurious to the physical and mental health of my client. Thus, in order to apply for the Class UB Medical Treatment visa under subclass 602 on grounds of her ill health which is backed by doctor’s report, it is important to waiver condition 8503 attached on his client’s visitor’s visa. Therefore, I request the Ministry to use its discretion granted to it by the Statute under section 41 of the Migration Act 1958 to accept the said written application of waiver of condition 8503 on Sukhon Chaiprasit’s visitor’s visa and grant her the said waiver in order to make her apply for Class UB Medical Treatment visa under subclass 602. The said letter stated that all the requirements to qualify for a waiver of condition 8503 are met by my client. My client has not sent any other waiver application which was previously rejected. Thus, a grant of waiver of condition 8503 will be appreciated. The doctor’s report and recommendations are attached to the application letter. Registered Migration Officer in Australia In the said case, Sukhon Chaiprasit visited another migration agent who applied for a fresh visitor’s visa, the said application was invalid. Sukhon’s visitor visa had condition 8503 attached to it. Therefore, according to Regulation 2.05 of the Migration Regulation 1994, the first step to apply for any fresh substantive visa would be to write an application to the Ministry request o waive condition 8503 attached to visitor’s visa. Section 46 of the Migration Act 1958 states that every visa application stands invalid if the same is made when the applicant is present in the migration zone and after he arrived in Australia; his visa has a condition attached to it which waiver is requested or refused by the Ministry after requesting or the same. Thus, the fresh visitor’s visa application of Sukhon Chaiprasit was invalid as she failed to get condition 8503 attached on her previous visitor’s visa waived. When a visa holder in Australia holds bridging visa, enforcement visa or criminal justice visa, section 48 of the Migration Act 1958 prohibits the said visa holders to apply for any other visa. Thus, Sukhon Chaiprasit as a migrant in Australia was subject to 48 of the Migration Act 1958 because she was capable of presenting in front of the Immigration Ministry a valid case which shows compelling and compassionate reasons which make her eligible for grant of waiver on the condition 8503 attached on her visitor’s visa in order to make her apply for another fresh substantive visa base on the changed circumstances which are beyond her control[9]. Every professional service providers have a Code of Conduct which is to be followed by every individual in the said profession. Thus, the registered migration agents in Australia also have a Code of Conduct which is present in Schedule 2 of the Migration Act 1958. The major breach of code of conduct committed by the former migration officer of Sukhon Chaiprasit was his failure to apply in writing for a waiver of condition 8503 attached on her visitor’s visa before making a fresh application of any substantive visa[10]. This action shows that the former migration agent of Sukhon Chaiprasit had poor knowledge of immigrations laws in Australia and violated section 2.1 of the Code of Conduct for registered migration agent which states that every migration agent should act following the immigration law and with diligence to serve the best interest of his clients. The migration agent also breached section 2.5 of the Code of Conduct which stated that a migration agent in Australia is required to be updated and keep his knowledge clear about the various migration laws in Australia including its amendments. Thus, the former migration officer of Sukhon breached the said section by apply for visitor’s visa where Medical Treatment visa under subclass 602 would be more appropriate after grant of waiver of condition 8503. Moreover, a migration officer is always required to be honest with his client about the possibility of success of their application according to section 2.6 of the Code of Conduct, thus, the former migration agent failed to state Sukhon that her fresh visitor’s visa could be rejected or stands invalid. Thus, failure of the former migration agent of Sukhon Chaiprasit to advice her clearly on the options she has for extending her stay in Australia prior to her attack and injuries, makes the agent violated the said sections of Code of Conduct for migration agents in Australia. Aas, Katja Franko.  The borders of punishment: migration, citizenship, and social exclusion. Oxford University Press, 2013. Code Of Conduct (Regulation 8) Second Schedule Of The Migration Act  (at 1) https://www.austlii.edu.au/au/legis/cth/consol_reg/mar1998287/sch2.html Code Of Conduct For Migration Agent In Australia  (at 1) https://www.mara.gov.au/becoming-an-agent/professional-standards-and-obligations/code-of-conduct/ Devetak, Richard. "In fear of refugees: The politics of border protection in Australia."  The International Journal of Human Rights  8.1 (2014): 101-109. Goot, Murray, and Ian Watson. "Population, immigration and asylum seekers: patterns in Australian public opinion."  Population  2010 (2011): 11. Hollifield, James, Philip Martin, and Pia Orrenius.  Controlling immigration: A global perspective. Stanford University Press, 2014. Joppke, Christian.  Citizenship and immigration. Vol. 2. Polity, 2010. Migration Act 1958 In Australia  (at 1) https://www.austlii.edu.au/au/legis/cth/consol_act/ma1958118/ Migration Regulations 1994 In Australia  (at 1) Phillips, Janet, and Harriet Spinks. "Immigration detention in Australia."Parliamentary Library  20 (2013). Waiver Of Condition 8503  (at 1) https://www.border.gov.au/about/corporate/information/fact-sheets/52b-nfc

Friday, October 18, 2019

Oral Communtications Essay Example | Topics and Well Written Essays - 250 words

Oral Communtications - Essay Example 24). The law that put a limit to the terms that a president can serve in the U.S. was ratified by at least 41 states and rejected by a meagre two states. Many historians note that the 22nd Amendment was instituted in reaction to what the founding fathers of the United States wished for the country. The founding fathers thought that without setting a term limit for presidents, the nation would effectively become a monarchy (Moore p. 7). George Washington, Thomas Jefferson, James Madison and James Monroe, are some of the presidents who opted not to vie for presidency for a third term. Their moves in this direction were widely taken positively and impacted the choice of Americans to institute a term limit for presidents. The 22nd Amendment has been subject to a lot of debate. While others argue that the Amendment when related to the Twelfth Amendment bars people who have served two terms as president cannot qualify to become vice presidents, others note that a former president who served two terms can serve as vice president legally (Moore p. 7). The latter group argues that the Twenty-second and the Twelfth Amendments talk about eligibility to serve as president and election respectively to the extent that a former president can serve as vice president even if he/she had worked as president for two terms. In conclusion, the 22nd Amendment clearly bars a person who has served as president for two terms from serving additional terms in the same capacity. The Amendment was enacted with the sole purpose of avoiding the possibility of the nation becoming a

Bronfenbrenner Analysis Research Paper Example | Topics and Well Written Essays - 1500 words

Bronfenbrenner Analysis - Research Paper Example The theory largely illustrates how the environmental factors affect early education of a child towards full maturity. Though many theories put more emphasis on the nurture vs. nature relation (Paquette and Ryan, 2), Bronfenbreenner’s ecological system theory goes deeper into the perspective of the child’s environment in terms of the quality and context of the child’s environment. Therefore, in order to understand human development in a better perspective of the entire ecological system has to be considered and its relation to the growth and development of the child. This involves considering the micro systems that refer to the relationship between the developing person, the environment and the macros system, which refers to institutional patterns that include customs, economy and bodies of knowledge. The theory is much detailed and goes beyond the facts considered by other developmental theories in child development. Bronfebrenner (38) explains that the first proposition of the general ecological model state that especially in the early stages and largely to the entire life, the human development takes process though complex, reciprocal and progressive process that interacts between an active evolving bio-psychological human organism and the persons, objects, symbols that are in the immediate environment. The forms of interaction in the immediate environment are referred to as proximal process and may include, mother –child and child-child relationship. The theory implicates that a child has to be considered in the context of a wider scope to the social spheres of influence. The child cannot develop outside a unique historical, ideological and sociopolicatical set of circumstances. The advantage of this theory is that while others concentrate on the impacts of thinking, perception, motivation and learning that is perceived at an isolated level of

Female Genital Mutilation Essay Example | Topics and Well Written Essays - 5000 words

Female Genital Mutilation - Essay Example This study outlines that reconsideration has occurred: the domestic has turned out to be an international issue, ‘female circumcision’ has been renamed to ‘female genital mutilation’ (FGM), whereas a ‘traditional practice’ has turned out to be a human rights violation. Under the scrutiny of the international community, the subject of female circumcision became a capsule of several affective debates regarding international human rights, sexuality, oppression of women, racism, Western prejudice, medicalization and cultural relativism, leading into a burgeoning of discourses and literature on the subject matter. However, misapprehension, uncertainty, and disagreement over the intricate aspects of this concern have not been resolved. Certainly, the set of literature on female circumcision is to a certain extent dispersed and contrasting, falling into different disciplines such as anthropology, psychology, history, demography, social work, political science, epidemiology, public health policy, and women’s studies. This paper discusses that one of my objectives in discussing this human phenomenon is to bridge some of these theoretical limitations through integrating contributions from different fields, ideological and geographic settings and hence emphasizing arising perspectives and associated aspects of the present debates. The tradition of female circumcision compels researchers and commonplace observers alike, inside and outside the intellectual community, to face more expansive philosophical and moral concerns. As stated by an anthropologist, â€Å"the very decision to write (or not) about the topic has become a political statement, and so is one’s choice on tone and terminology†.

Thursday, October 17, 2019

Managers Are Increasingly Recognised As Powerful And Privileged Essay

Managers Are Increasingly Recognised As Powerful And Privileged Individuals Who Are Not Always Held Accountable For Their Actions. Should This Power Be Regulated - Essay Example One such living example is the case of MG Rover, a Britain based car company that has suffered the consequences. It is time, we learn our lessons, and along with the wings of power, render the reins of responsibility. MG Rover, apparently the last British owned mass-producer of cars in the British motor industry was established in the year 2000 by the merger of MG and Rover from BMW. At that point of time, BMW sold, rather abandoned Rover at throwaway prices. They offered an interest free loan of 427 million, repayable by 2049 to those who were willing to take it. Along with this, the buyer would be left with 350 million worth of unsold cars along with the alluring cash dowry of 112 million. This made Phoenix interested in the deal and enter the arena. The Phoenix consortium comprised of British businessmen and was headed by John Towers, former Rovers executive. They bought the company for 10, and emerged as saviors for Rover at that point of time. The organization showed a downfall as it exchanged hands, but deals like the purchase of the Qvale of Italy in 2001 went on. It collaborated with Tata, India in 2002 and also launched MG SV and SV-R in 2003, followed by launch of Rover CityRover. During its peak, the company employed approximately 170,000 workers. In the year 2004, the organization entered into talks with the Shanghai Automotive Industry Corporation (SAIC). A collaborative deal that was negotiated between the two companies fell through in the year 2005, forcing MG Rover into insolvency. The company entered into administration in April 2005. Because of the company's failure, 6000 workers lost their jobs and thousands of jobs in related sectors of the supply chain were threatened. Not just this, the entire economy of West Midlands suffered a blow because of the mistakes made by a handful of people. Where what went wrong The reasons why MG Rover failed were many. The car company, as it exchanged hands was almost always in troubled waters. One reason why Rover lost its brand value goes to over 25 years ago, where the cars were not as high quality. Even though efforts to improve quality were made, the brand image of a lower quality had already been built. The management was myopic in its approach and overlooked the real opportunities. Also the British public did not support the car much, as they preferred to buy foreign brands over the Britain based MG Rover. Many experts also feel that had the government rendered a timely response, much could have been saved. In May 2000, the Blair government had praised the Phoenix for its efforts for taking big risks. They had also promised everything that could be possibly done to save the company. But the response was not as timely as it could have been. The government has now however come up with the 150 million package, where workers are being paid the amount, to stay at home. However had action been taken four years ago, and the firm been nationalized, probably workers could have been paid much more in compensation. It is also an important lesson for the present government on choosing the right leaders/ managers for an organization. However actual disaster was with the management and its operations. For four years, the

Suze Orman..leadership Assignment Example | Topics and Well Written Essays - 1250 words

Suze Orman..leadership - Assignment Example Career Suze Orman faced a lot of physical and mental challenges in her youth period, which she overcame through strong determination. Her indomitable effort bore fruit when she completed her graduation from public school and got chance at the Illinois University. At the University of Illinois she was a student of Social Work in which she desired to obtain a degree despite significant hardships. Suze Orman could not get achieve the University degree in first chance. However, instead of staying back moved over to California during 1973 where she started working as a waitress in a bakery to finance her studies. During 1976, Suze Orman was conferred diploma in Social Work by the University of Illinois. The initial period of Suze Orman’s career was as rough as the initial stages of her life. Suze Orman after being a graduate decided to stay back at the bakery to learn the style of the trade. She decided to open a restaurant by herself. To this end, she was also awarded with a loan of $50,000 dollars (by a benevolent customer) that she deposited in Merrill Lynch. However, with the crash of the financial market the entire amount was lost. This changed the course of Suze Orman’s life as she in a great need of meeting the loan ventured into the financial market to be employed as a broker. ... Four years down the line in 1987 Suze Orman resigned from the post of Vice President in Prudential Bache to become a financial entrepreneur. As a financial entrepreneur, Suze Orman ventured to open up her own financial firm, Suze Orman Financial Group where she stayed till 1997. Suze Orman decided again to change her career course from being a financial advisor to become a writer and a speaker. She quit the post of director of her firm and started on her career as a writer and an orator on financial matters (â€Å"Suze Orman Biography†). Achievement Suze Orman’s career as a writer and speaker won her many accolades. The books written by her consists of popular titles like ‘ The 9 Steps to Financial Freedom’, ‘The Courage to Be Rich’ and ‘The Road to Wealth’. All these books authored by Suze Orman happened to become the best sellers in New York. Suze Orman’s writing career also wears some national bestsellers like ‘Youà ¢â‚¬â„¢ve Earned It’ and ‘Don’t lose it’. Her writing career gains further recognition through her continued literary contribution to America’s contemporary magazines like ‘Oprah Winfrey’s Magazine’, ‘Philadelphia Inquirer’ among others. Apart from shining in her writing career, Suze Orman made a mark of an orator while hosting a show in the CNBC Channel. A separate segment was created in CNBC named ‘The Suze Orman Show’ which gained huge popularity. Her list of accolades includes Emmy awards for hosting shows aimed at public service. Suze Orman also received the Gracy Allen award for her significant contribution in financial talk shows in the audio and visual media. The Smart Money Magazine had listed Suze Orman among thirty ‘’Power Brokers’’ in the country. The Feminist Press for her

Wednesday, October 16, 2019

Female Genital Mutilation Essay Example | Topics and Well Written Essays - 5000 words

Female Genital Mutilation - Essay Example This study outlines that reconsideration has occurred: the domestic has turned out to be an international issue, ‘female circumcision’ has been renamed to ‘female genital mutilation’ (FGM), whereas a ‘traditional practice’ has turned out to be a human rights violation. Under the scrutiny of the international community, the subject of female circumcision became a capsule of several affective debates regarding international human rights, sexuality, oppression of women, racism, Western prejudice, medicalization and cultural relativism, leading into a burgeoning of discourses and literature on the subject matter. However, misapprehension, uncertainty, and disagreement over the intricate aspects of this concern have not been resolved. Certainly, the set of literature on female circumcision is to a certain extent dispersed and contrasting, falling into different disciplines such as anthropology, psychology, history, demography, social work, political science, epidemiology, public health policy, and women’s studies. This paper discusses that one of my objectives in discussing this human phenomenon is to bridge some of these theoretical limitations through integrating contributions from different fields, ideological and geographic settings and hence emphasizing arising perspectives and associated aspects of the present debates. The tradition of female circumcision compels researchers and commonplace observers alike, inside and outside the intellectual community, to face more expansive philosophical and moral concerns. As stated by an anthropologist, â€Å"the very decision to write (or not) about the topic has become a political statement, and so is one’s choice on tone and terminology†.

Suze Orman..leadership Assignment Example | Topics and Well Written Essays - 1250 words

Suze Orman..leadership - Assignment Example Career Suze Orman faced a lot of physical and mental challenges in her youth period, which she overcame through strong determination. Her indomitable effort bore fruit when she completed her graduation from public school and got chance at the Illinois University. At the University of Illinois she was a student of Social Work in which she desired to obtain a degree despite significant hardships. Suze Orman could not get achieve the University degree in first chance. However, instead of staying back moved over to California during 1973 where she started working as a waitress in a bakery to finance her studies. During 1976, Suze Orman was conferred diploma in Social Work by the University of Illinois. The initial period of Suze Orman’s career was as rough as the initial stages of her life. Suze Orman after being a graduate decided to stay back at the bakery to learn the style of the trade. She decided to open a restaurant by herself. To this end, she was also awarded with a loan of $50,000 dollars (by a benevolent customer) that she deposited in Merrill Lynch. However, with the crash of the financial market the entire amount was lost. This changed the course of Suze Orman’s life as she in a great need of meeting the loan ventured into the financial market to be employed as a broker. ... Four years down the line in 1987 Suze Orman resigned from the post of Vice President in Prudential Bache to become a financial entrepreneur. As a financial entrepreneur, Suze Orman ventured to open up her own financial firm, Suze Orman Financial Group where she stayed till 1997. Suze Orman decided again to change her career course from being a financial advisor to become a writer and a speaker. She quit the post of director of her firm and started on her career as a writer and an orator on financial matters (â€Å"Suze Orman Biography†). Achievement Suze Orman’s career as a writer and speaker won her many accolades. The books written by her consists of popular titles like ‘ The 9 Steps to Financial Freedom’, ‘The Courage to Be Rich’ and ‘The Road to Wealth’. All these books authored by Suze Orman happened to become the best sellers in New York. Suze Orman’s writing career also wears some national bestsellers like ‘Youà ¢â‚¬â„¢ve Earned It’ and ‘Don’t lose it’. Her writing career gains further recognition through her continued literary contribution to America’s contemporary magazines like ‘Oprah Winfrey’s Magazine’, ‘Philadelphia Inquirer’ among others. Apart from shining in her writing career, Suze Orman made a mark of an orator while hosting a show in the CNBC Channel. A separate segment was created in CNBC named ‘The Suze Orman Show’ which gained huge popularity. Her list of accolades includes Emmy awards for hosting shows aimed at public service. Suze Orman also received the Gracy Allen award for her significant contribution in financial talk shows in the audio and visual media. The Smart Money Magazine had listed Suze Orman among thirty ‘’Power Brokers’’ in the country. The Feminist Press for her

Tuesday, October 15, 2019

The Central Limit Theorem Essay Example for Free

The Central Limit Theorem Essay The Central Limit Theorem for a Mean state that for a random sample of size n from a population with mean  µ and standard deviation ? , as the sample size increases the distribution of the sample mean approaches a normal distribution with mean  µ and standard deviation . On the other hand, if the population is normal, the distribution of the sample mean is normal regardless of sample size (Doane Seward, 2007). Now, suppose a random sample of size n is taken from a population with mean 100 and standard deviation 10. The sampling error or standard error of mean for samples of n = 1, n = 4, n = 9, n = 16, n = 25, n =100 will be For n = 1, For n = 1, For n = 1, For n = 1, For n = 1, For n = 1, From above it can be seen that as the sample size increases, the sampling error reduces. Further, the histogram (if plotted) of samples means approaches a normal distribution. Therefore, while on cannot get rid of sampling error the results from one’s statistical work can be still useful as the sampling error will be less for larger sample size. References: Doane D. P. Seward L. E. (2007). Applied Statistics in Business and Economics. McGraw-Hill/Irwin: New York DQ2-WK3 What is the difference between a sample and a population? When can the same information (e. g. the age of each of the ten students in our class) be considered both sample data and population data? A sample involves looking only at some items from the population. For example, if a survey is to be taken from student of XYZ College for their choices, than the population will be consist of taking survey of all the students in XYZ College and a sample will be taking survey for only some of the students selected based on sampling method. For small population, there is little (or no) reason to sample. Similarly, if the data are on disk, than 100% of the cases can be examined easily (Doane Seward, 2007). Therefore, the same information can be considered both sample data and population data if the population is small or can be taken easily with no additional cost for analysis purpose. For example, in a class of 30 students, if the average age is to be determined, than the population is entire class that is all 30 students. In this case, the population is small; therefore, there is no need to sample and therefore, the age of all 30 students can be considered both sample data and population data. References: Doane D. P. Seward L. E. (2007). Applied Statistics in Business and Economics. McGraw-Hill/Irwin: New York DQ3-WK3 When would you use ANOVA at your place of employment, in your education, or in politics? Please share the WORDS that would lead you to the null hypothesis for a specific and simple example and, then, show the null and alternative hypothesis in symbols. Analysis of variance (commonly referred to as ANOVA) is used for comparison of more than two means simultaneously and to trace sources of variation to potential explanatory factors (Doane Seward, 2007). For example, if sample data for 15 days of manufacturing defect rates for automotive parts manufactured at four plant locations is collected (or available). Than, ANOVA can be used to answer questions such as are the observed differences in the plants’ sample mean defect rates merely due to random variation? Alternatively, are the observed differences between the plants’ defect rates too great to be attributed to chance? This can be written as null and alternate hypothesis as , i. e. at all four plants mean defect rate are the same. , i. e. at least one mean differs from the other. Now, if the null hypothesis is not rejected than it can be concluded that the observations within each treatment or group actually have a common mean ? (ibid). References: Doane D. P. Seward L. E. (2007). Applied Statistics in Business and Economics. McGraw-Hill/Irwin: New York

Monday, October 14, 2019

Importance Of Faith And Prayer In Islam Religion Essay

Importance Of Faith And Prayer In Islam Religion Essay The quotation from the course textbook (page 225) gives tremendous significance to faith and rituals of the Islamic culture, both of which are greatly highlighted in the holy book of Quran. The main source where Muslims gain an enormous amount of faith is from reading the holy book of Quran. One must fully believe and understand the messages written in the Quran to have complete faith in it as a Muslim individual because without faith, performing those rituals are useless. For centuries, the Quran has been preserved in its original form as it was first revealed to Prophet Mohammad (P.B.U.H). Any slight change in it can be easily detected, since over the years, the Quran has been memorized by millions of Muslims all over the world. The originality of the holy book for over a decade is a huge fascination on its own. Since its original script is from God, the Quran is able to hold a great extent of value in the hearts of its followers. The term religious rituals, as explained in our text are basically repeated actions or words that connect an individual to God. The religious rituals in Islam are a few in numbers, but each hold great importance to Muslims. The quote from the text reminds Muslims to keep up with prayers. The ritual of prayer, known as Salat, is the second of the five Pillars of Islam. These five pillars are the five practices that every Muslim is encouraged to perform throughout their life by the holy book of Quran. The ritual of Salat is a distinctive mark of a true believer. This ritual, performed five times during the day, provides a Muslim individual with direct communication with the Creator, the Almighty. The religious ritual of prayer is essential to all Muslims. An individual performs a ritual ablution (wadu), before each prayer, to be in a state of purity. Praying five times provides Muslims with a sense of punctuality in their everyday lives. An individual carries out a prayer in order to praise and admire God for his benevolence. Prayer gives one an opportunity to ask for forgiveness for all the misdeeds committed and also to ask the Almighty to guide him/her in the straight/ right path. As described in the Hadith, one of the sayings of Prophet Mohammad (P.B.U.H) relates prayer to the convenience of having a stream flowing outside ones door. If an individual could easily bathe in this flowing stream of water five times during the day, he/she will have no filth left on him/her. Likewise, praying five times daily washes away ones sins. This repeated performance of the ritual keeps everyone remembering and fearing God throughout the day. The quote from the text refers to highly important claims and one cannot help but agree with them. Reciting the Quran and keeping up with prayers are the key factors that keep a Muslim connected to Allah, the greatest. Remembering the power of Almighty several times during the day is beneficial in endless number of ways such as keeping an individual away from evil or committing misdeeds and reserving a place in the afterlife (Jannah). These benefits clearly link the ritual of prayer with morality. The term morality, as defined in the text, is a set of norms designed to regulate and govern the conduct of humans. Religious rituals, on the other hand, help keep an individual connected to God and following in the path of guidance of the divine being. Prayer requires complete submission of an individuals mind and soul to the Ultimate. It reminds everyone that the Creator, the Almighty owns everything, including the Day of Judgment. Praying is not done by choice, but is rather obligatory s tarting at the age of seven. The religious ritual of praying can be seen as a true sign of having faith and the quote from the text greatly helps to signify its importance as mentioned in the Quran.

Sunday, October 13, 2019

Stereotyping of Arab Muslims in the New York Times for the Past Forty Y

Stereotyping of Arab Muslims in the New York Times for the Past Forty Years This study examines stereotyping of Arab Muslims in the New York Times for the past forty years. Theorists suggest that stereotyping of a minority group effects the public's opinion of that group. Other communication media theorists say that only under extreme conditions will the negative stereotypes reflect the publics' opinions of the portrayed minority group. The parallel theory between propaganda and stereotyping by the mass media is examined. Theorists including Thomson, (1977) & Myers, (1992), related to mass media effects strongly agree claiming that repetitive and non-contradictive images in the media are an effective form of propaganda. The research samples are random article reviews of the New York Times for the past forty years. Using every fifth year and 2 random numbers ranging from 1 to 12 is used to select an article search date. Islam was the search term. The Gudykunst & Kim( ? ) method of analyzing a stereotype is used to evaluate the 8 New York Times articles. The r esults indicate 95% of the articles were "vague," labeling entire group rather than individual. Out of the total 100%, 70% of the article used unfavorable trait characteristic labeling. Has the New York Times negatively stereotyped Arab Muslims for the past forty years? The goal of this research project is to reveal the negative stereotypes directed towards Arab Muslims in the New York Times. The critical focus of the research is the consistency of the negative stereotypes. The underlying focus is what theoretical and historical effects result from the negative stereotypes. WHAT IS STEREOTYPING? The operational definition is "an idea, expression, lacking in originality or inventiveness. A simplified and standardized conception or image of a person or group held in common by members of a group." (Dictionary). Theorist's Gudykunst & Kim claims the word stereotype originated from an author named Walter Lippman. In this study, the independent variable is the New York Times and the dependent variable is the Islamic religious group. WHO IS A MUSLIM? "And seek assistance through patience and prayer, and most surely it is a hard thing except for the humble ones" (Holy Qur'an 2:45). To announce you are a Muslim, you have to follow the five pillars of Islam that are: 1. Pray five times a... ...994, p.9 Fisher, Glen (1989) Mass media Effects on Sex Role Attitudes of Incarcerated Men. Sex Roles, v20, pp. 191-202. Gerbner, G. (1993). Defense and the Media in Time of Limited War. Armed Forces and Society, v20, pp.147-9. Jowett, G. & O'Donnell, V.(1986). Propaganda and Persuasion. Beverly Hills: Sage Publications. Kahn, K. (1992). Does being male help? The Journal of Politics, v.54, pp.498-512. Lamb, D. (1989). The Arabs: Journey Beyond Mirage. The Middle East Journal, v.43, pp.522. Myers, Philip (1992) The Elastic Body Image. The effect of Television advertising. Journal of Communications, v.42, pp.109-33. Ogawa, D. (1993) The Japanese of Los Angeles. Journal of Asian and African Studies, v19, pp.142-3. Rodwell, J. (1909) Translation of the Koran. New York: Dutton. Shaheen, J. (1985). Media Coverage of the Middle East: Perception of Foreign Policy. The Annals of the American Academy of Political and Social Science, v482, pp. 160-75. Thomson, O. (1977). Mass Persuasion in History. Edinburgh: Paul Harris Publishing. Zillman, Bryant (1982) The Impact of Heavy Viewing of Pornography on Jurors Decision. Journal of Communication, v40, pp.165-7.

Saturday, October 12, 2019

Women in Literature :: Essays Papers

Women in Literature The Arizona Territory was a beautiful and impressive area that deserved to have exquisite writings to represent the land. It was particularly the men who were allowed to publish their thoughts. Women’s writings were not looked upon as scholarly and not published for public enjoyment. In the late 1800's and early 1900's women's literature was underrepresented. The ideas of women and their creativity was discouraged. In Southern Arizona, this discouragement existed for a variety of reasons. Some of these reasons attributed to this was that there were more limiting resources, an overabundance of women who were illiterate, and geography. Despite these and other stumbling blocks, two women overcame the odds and are seen as great women authors and literary achievers. Sharlot Hall and Frances Gillmor proved that women had a great deal to convey and exhibited the talent of literary expertise to accomplish their goals. Not only do they write about beauty and harmony, they write ab out the conflicts with the Indians and the hardships that other cultures had to endure in Arizona. One reason that few women published literature was because they came to Arizona primarily with their husbands who were in the Army and needed to relocate. These women, who came from populated and larger cities, were exposed to a different way of life in Arizona. There were few educational facilities in the west to teach young ladies about literary traditions. A lot of these women had to take care of themselves, their children, growing food and teaching. They were rooted to the same spot, sometimes for months at a time. This deprived them of a lot of mental stimuli that may have gotten in more populated areas.(1 pg. 48) Therefore sheltered women in Arizona were not encouraged to write stories or poems. Not that they didn’t know how, they told stories all the time. Children loved to hear the stories of their mothers lives and backgrounds. Women just never knew there was a medium to get their work out, so that more than just their children were partial to stories and poems o f landscapes and journeys across many different lands. There is a wealth of information about Ms. Sharlot Hall. Her life was very complex and together it all ties together to tell the story of her fame.

Friday, October 11, 2019

AHIMA Code of Ethics Critique

The AHIMA Code of Ethics is extremely necessary because of the following reasons: First of all, it sorts out the ethical characteristics on which the â€Å"Health Information Management† is based upon (American.., 2004).Second, it focused on the major points of the wide-ranging ethical standards that reflects the profession’s core ideals, as well as, establish an assortment of well-mannered values to be employed as a guiding light in coming up with decisions and actions called for by the occurrence of critical situations (American.., 2004).  Third, it lends a hand to â€Å"Health Information Management† professional identify indispensable discussions or reflections in instances where tasks conflict or when hesitations based on ethics exhibits itself (American.., 2004).Fourth, it serves as a code of behavior for the â€Å"Health Information Management† professional to be held liable and accountable if it’s called for by the people or the public (Am erican.., 2004).Fifth, it plays the role of getting together practitioners who are not familiar to the â€Å"mission, values, as well as, ethical principles† of the â€Å"Health Information Management† (American.., 2004).Last but not least, it is for the purpose of the â€Å"Health Information Management† professional to personally weigh up himself or herself in a condition wherein, he or she feels that he may have engaged in an immoral or shameful or dishonorable act (American.., 2004).Strengths of the Code of EthicsThere are several strengths of the Code of Ethics, however, the best strength is that it motivates members to act in a manner that is moral, right, and extremely honorable (American.., 2004).   Members will not dare violate any of the rules simply because they know there will be terrible consequences they have to face (American.., 2004).The censure, probation, suspension, and especially termination from the profession which are the consequences me ntioned in the Code of Ethics play a large role in the individual’s or member’s behavior (American.., 2004).How the Individual’s Professional Conduct is GuidedAn individual is guided by the code of ethics by clearly defining his or her responsibilities (American.., 2004).   Through this they will be motivated to uphold the principles which were stated in the Code of Ethics (American.., 2004).Furthermore, through the Code of Ethics, an individual will be inspired to exhibit proper conduct (American.., 2004). Moreover, an individual will also compete with others in the organization but will do so in a manner that is fair and healthy simply because he or she will be guided by the Code of Ethics (American.., 2004).In addition to that, the Code of Ethics will guide the individual to avoid the incidence of exploitation of professional relationships (American.., 2004). Also, the Code of Ethics will play a large role in respecting and trusting their colleagues (Americ an.., 2004).How I Can Use the Code of Ethics in My Professional Life (Health Information Management)There are several ways on how I can utilize the Code of Ethics in my professional life and some of these applications entail the following situations: by not discriminating a person based on race/ethnicity;By not assigning codes without consulting or requesting for the physician’s documentation; by not prohibiting the patient to look into his/her own complete medical record in spite of a written request provided by the individual (American Health.., 1999).ReferencesAmerican Health Information Management Association. (2004). American HealthInformation Management Association Code of Ethics.Retrieved November 26, 2007 fromhttp://library.ahima.org/xpedio/groups/public/documents/ahima/bok1_024277.hcsp?dDocName=bok1_024277American Health Information Management Association. (1999). Code of Ethics and By-Laws. Journal of AHIMA, 70 (1), 11 – 17.