Monday, September 30, 2019

HAPA children Essay

The present paper describes the results extracted from qualitative naturalistic ethnographic observation that was conducted among the sample of college students, both multi- (â€Å"Hapa†) and monoracial, to investigate their childhood experiences in regard to racial identity. The research immersed the concepts of â€Å"race† as a new social construct and of multiracial identity against the three coping strategies: a race-conscious, a race-neutral, and a class-conscious one. To reflect the multiplicity and worthiness of individual responses, the method of in-depth interview was chosen. Results showed that there is strong correlation between racial identity in comfortable/uncomfortable self-positioning and the socio-economic status of the family, psychological climate within a family, the presence/absence of role-models, and the degree of racial awareness in the broader (school) context. More research is needed to assess the type of correlation between multiracial identity in regard to â€Å"Hapa† children and educational level of their parents, the period of naturalization in the current locality, and gender of â€Å"Hapa† subjects, as well as the effect of coping strategies on multiracial identity. Introduction The word race refers to a class of people who are perceived as physically unique on the basis of certain traits, such as skin color, hair texture, and facial features. These unique features allow people to distinguish others’ origins based on their appearance. However, when interracial marriage became more popular, the population of mixed-raced children increased dramatically, and people can no longer identify others’ race based on their appearance. Interracial relationships became a trend and part of American culture. The U.   S. earlier census established six categories for race: American Indian or Alaska Native, Asian, Black or African American, Native Hawaiian or Other Pacific Islander, White, and Hispanic or Latino. However, in the 2000 Census there were already sixty-three categories for race (there were eleven subcategories under â€Å"Hispanic ethnicity† alone). Interracial marriages include unions among these 63 groups. Regardless of what types of ethnic groups are involved in the relationships, one important outcome of these relationships is children. An identity crisis has become the most debated issue about mixed-raced children. The research will focus on the identity development of one distinct mixed-raced group, the Hapa. â€Å"Hapa† is a Hawaiian word used to describe half-Hawaiian mixed-raced children. Nowadays, the word â€Å"Hapa† has become a popular term to describe half Asian and half White children. The research will compare the differences in developing identity between Hapa children (a mixed-raced group) and children of a single race. It is argued here that Hapa children tend to have a harder time when developing their identity in comparison to children of a single race. Cross’ model of Black racial identity development (Cross, 1971; found in Tatum, 2004, p. 117+) was adopted to assess individual perceptions and experiences in regard to race and identity within a sample of college students. Modern discourse on the issues of race and multiraciality was analyzed to identify four possible sets of factors (socio-economic status, the SES, acculturation, national origin, and demographic characteristics; in Morning, 2001, p. 61+) affecting self-identification in a race-biased context. The U. S. college students were recruited to participate in the survey on the point. The present research fits into the paradigm of qualitative, naturalistic and ethnographic research (Boas, 1943; Blumer, 1969; Lincoln and Guba, 1985; Woods, 1992; LeCompte and Preissle, 1993; in Cohen et al. , 2000, p. 136). (3) It is qualitative since it operates non-numeric data, i. e. the data is derived from observations and conversations and not from statistic analysis. The aforementioned respondents shared their feelings and attitudes on the point of racial issues in political, cultural, and social spheres in regard to phenotypical and ideological conceptualizations of â€Å"race. † The research is naturalistic since the testing of hypotheses took place in natural and naturalistic environments as opposed to artificial and controlled settings such as laboratories. The research is ethnographic since it dealt with people in their variety and subjectivity of perceptions but still constituting a cultural group (â€Å"Hapas†). Thus, the key characteristics of qualitative, naturalistic and ethnographic research being the set of flexible constructions of meanings on the issue of â€Å"race† taken by the â€Å"insiders† of a community can be observed here. The present research paper is structured along the traditional model. In the Literature review section, current interpretations of race, multiraciality and identity development are analyzed to be applied further to the current research. In the Method section, the research strategies and tools of the present investigation are discussed within the framework of qualitative, naturalistic and ethnographic investigation. In the subsequent sections, the data collected through the questionnaires and interviews is discussed. The Conclusion section summarizes the facts revealed in the survey and restates the hypothesis to arrive at the implications for the further study and practice in regard to the issues of race and identity. Literature review Spencer underlined that multiracial identity is deeply rooted in the assumptions â€Å"that race exists and that the offspring of persons from two different racial groups is a multiracial individual† (1999, p. 88). There is a popular concept of phenotypes or â€Å"physical expressions of genetic inheritances† (Ifekwunigwe, 2004, p. 4) lying in the foundation of the theory about human races. Recently, however, more and more researchers have started to argue the notion of â€Å"discrete or pure biological ‘races’† (Jones 1996, Rose et al. 1984; in Ifekwunigwe, 2004, p. 3). They stressed the importance of internal differences that persisted within a group modeled as a solid biological race. The modern concept of racial formation predicts that race is a social construct to a greater extent than a biological one. Ropp drew a bottom line in the argument stating that multiracial subjects did not fit into the biological race network (2004, p. 263). Omi and Winant defined the process of racial formation as â€Å"the socio-historical process by which racial categories are created, inhabited, transformed, and destroyed† (1994, p. 55). In the first edition of the book, they argued that â€Å"racialization [is the] extension of racial meaning to a previously racially unclassified relationship, social practice of group† (Omi & Winant, 1986, p. 64). Williams stressed that â€Å"races have been socially constructed in such a way that they have remained separate, monoracially-boundaried, exclusive, and unequal† (p. 168). The reference to races being created â€Å"socially† implies that people create the network of prejudices, attitudes and perceptions masking their personal and political bias by referring to skin, hair and other physical or â€Å"phenotypical† parameters.

Sunday, September 29, 2019

Current issue in government contract Essay

The issue is focus on the financial aspect in the company operations. The law is so strict enough in the budget allocated for any accounts which are voluntary. Below is the issue accordingly; auditing the company’s accounts on a voluntarily basis: â€Å"A request from the Secretary General of the Department of Finance to audit, the annual accounts of Campus and Stadium Ireland Development Ltd. I agreed to audit the company’s accounts on a voluntary basis pending the enactment of legislation to put the company and its operations on a statutory footing. The audit, which was completed in June 2001, covered a period from the date it commenced operations on December 10, 1999 to the end of the year 2000. Almost ? 2 million was allocated from the Department of the Taoiseach’s Vote to meet the costs of the company in the initial period. The committee will see from the accounts that something around ? 560,000 of that went to fitting out the offices which were rented in Blanchard town, ? 400,000 went to pay for executive services for the last four months of the year 2000 and ? 313,000 or so went on consultants’ fees (Purcell. http://www. irlgov. ie)†. Corporate governance arrangements, tendering for executive services, fee levels for executive services, credit card expenses and the tax status of the company. I can expand on the specific issues during the course of the examination if the committee so wishes. The main activities of the company during the period of the accounts were developing an architectural and environmental scheme for the company, devising the structure of a competition for the provision of the various facilities on the site and latterly organizing a competition for the provision. In my own opinion of the issue, I could rather say, if the provision issue provides the enhancement of the development of the company’s progress then it is so much advice able to adopt the audit more profoundly. Then continuous monitoring of the results of the issue to the point of view of the rest of the people concerned to either it resulted to a positive outcomes or not. If it has positive outcomes then it would be better to enhance such auditing issue just for the good of the company and all the concern as well. Other Issues â€Å" 1.) A person’s children or other lineal descendants such as grandchildren and great-grandchildren, it does not mean all heirs, but only the direct bloodline. Occasionally, there is a problem in determining whether a writer of a will or deed meant issue to include descendants beyond his or her immediate children. While a child or children are alive, issue refers only to them, but if they are deceased then it will apply to the next generation unless there is language in the document which shows it specifically does not apply to them. This issues looks unfair to the new generation to which no how on how comes they are a part of the problem for infact they just come in existing. 2) n. any matter of dispute in a legal controversy or lawsuit, very commonly used in such phrases as â€Å"the legal issues are,† â€Å"the factual issues are,† â€Å"this is an issue which the judge must decide,† or â€Å"please, counsel, let us know what issues you have agreed upon. † In these issues, as long as it is following the legalities it has to be abided. The judge is the one to promulgate laws that was agreed upon standards. So if it is in my case I don’t need to argue at all though it hurts to accept facts but facts must prevail. 3) v. to send out, promulgate, publish or make the original distribution, such as a corporation selling and distributing shares of stock to its initial investors. I will rather agree to this statement, this is for the reason of visibility to everybody of what was going on the promulgation. There should be participation to everybody’s concern. 4) n. the shares of stock or bonds of a corporation which have been sold and distributed (â€Å"Issue†. http://legal-dictionary. thefreedictionary. com)†. A Problem in Contracts Assurance contracts are a financial technology that facilitates the private creation of public goods and Club goods in the face of the free rider problem. The free rider problem is that there may be actions that would benefit a large group of people, but once the action is taken, there is no way to exclude those who did not pay for the action from the benefits. This leads to a game theoretic problem: all members of a group might be better off if an action was taken, and the members of the group contributed to the cost of the action, but many members of the group may make the perfectly rational decision to let others pay for it, then reap the benefits for free, possibly with the result that no action is taken. The result of this rational game play is lower utility for everyone. â€Å"Assurance contracts operate as follows: In a binding way, members of a group pledge to contribute to action an at least N-1 other members also make the same pledge. If N members sign the pledge (perhaps by a certain expiration date), the action is taken. If the quorum is not reached, the parties are not bound to carry through the action (â€Å"Assurance Contract†. http://en. wikipedia. org)†. â€Å"The binding mechanism may be a contract enforced by a government, a contract enforced by a private organization (e. g. a mediator, a protection agency in an anarcho-capitalist society, etc. ), an escrow organization (in such cases, the â€Å"binding contract† is â€Å"signed† by depositing funds in advance, which are later either disbursed according to the contract, or refunded), etc. Many economists argued that the central planning and bureaucratic directions are necessary to produce public goods. There is at least some types of public good can be produced privately by profit seeking entrepreneurs. A new and more powerful form of assurance contract and discusses, without making rigorous is called a dominant assurance contract. This was contracts that exhibit on the goods or product. There are two problems involved in the production of public goods, the preference revelation problem and the contribution problem. One focus we have for sure is on the contribution problem, how to get agents voluntarily contribute to providing the public good. This will limit the analysis of good, which naturally comes in lumpy quantities, or goods for which we can deduce into an efficient size. If a bridge or road or light house is to built we can probably estimate the efficient size from the information about preferences and technology (Tabarrok, Alexander. March 6, 1996. http://mason. gmu. edu)†. Under this issue we can include the government contracts which were brought to news for publicly seen. A recent decision by the Bankruptcy Court for the Eastern District of Virginia has potentially momentous consequences for bankrupt government contractors and their creditors. â€Å"That court, with jurisdiction over the Virginia suburbs of Washington, D. C. , the primary place of business for many government contractors, has held that the debtor/contractor filing for reorganization of the Bankruptcy Code is not automatically entitled to continue performing its federal contracts. Instead, the government can obtain permission from the bankruptcy court to immediately terminate such contracts (Government Contracts. 1999. http://www. hklaw. com)†. This decision may result in contractor being forced into liquidation proceedings, with little remaining for its creditors. In my own opinion it is inhuman to say getting all proceeding of the debtor on which nothing left for her living. This means that, the same saying killing the debtor for not paying all the debts. It’s too much contract not giving any pardon to debtor itself. If I were to judge I have to see to it that I can make adjustment prior to both the company and the debtor. There must be equal distribution. Government Contract Commitment to the client and the promise of innovative solutions is the core of Government Contracts Consultants. Government Contracts Consultants is organized as a small woman-owned, SBA certified HUB Zone company organized to meet the ever-growing needs of business by providing creative information technology, administrative and acquisition management support services and training to government and commercial clients. Our areas of expertise included. â€Å"M3 Federal Contract Practice Group, LLC. (M3) works on behalf of Prime contractors, Subcontractors, and International companies doing business with the U. S. Government. M3 is a highly recognized U. S. Government contract consultant firm comprised of subject matter experts that focus on and comprehend every element of the federal procurement field from business development, writing winning proposals, contract management, contract closeout, and claim resolution. M3 Federal is the only company within the federal procurement field that provides an all encompassing teaming solution for any company willing to get into the federal procurement field or that has been in the federal field and has complex procurement issues to resolve. M3 Federal Contract Practice Group specializes in all areas of government contracting and federal procurement including (â€Å"M3 Federal Contract†. http://www. m3federal. com): †¢ Contract Claims †¢ Preparation †¢ Submittal †¢ Resolution †¢ Audits †¢ Qui Tam Actions †¢ Fraud †¢ Bid Protests †¢ Proposal Development DoD Facility Clearances †¢ DoD Personnel Clearances †¢ Intellectual Property Rights †¢ Export Regulation & Compliance †¢ Commercial Contracts †¢ Joint Ventures/Teaming Agreements †¢ Contract Administration †¢ GSA Schedules This are all gives us the background of what covers the entire contract. The overview of this contact will focus on business. Business will be better off if it follows a standard to avail. Conclusion: We have dealt with five issues that differ in many ways. Issues has an act by the Government that goes beyond the terms of a Fixed Price Contract, Cost Type, Cost Plus Award Fee, Research & Development Contract, etc. or any contract termination that has a consequential ripple effect upon the entire contract and/or Contractor, impose a substantial risk to the Contractor and require immediate action by the Contractor to ensure no financial denigration to reputation. In the sense of Government contract it is legal and purposely design to make progress not only the company but also the people at large. It is properly impose so that everybody will understand the agreement agreed upon. But in the case of problem issues it is focusing more often to the people who have not agreed to to their previous contract or might be things they fail to do and the other parties tends to claim and will sewed the debtor for example. Also problems sometimes will come out to be in the case of agreement which was not abided. If I will to make sure that agreement should complied I have see to it , that my opponents could make a written not just verbal agreement to whom I can claim even if problem arise. Reference â€Å"Assurance Contract†. http://en. wikipedia. org/wiki/Assurance_contracts â€Å"Issue†. http://legal-dictionary. thefreedictionary. com/issue Government Contracts. 1999. http://www. hklaw. com/Publications/newsletters. asp? ID=70)† â€Å"M3 Federal Contract†. http://www. m3federal. com Purcell. http://www. irlgov. ie/committees-02/c-publicaccounts/020321/Page1. htm Tabarrok, Alexander. March 6, 1996. http://mason. gmu. edu/~atabarro/PrivateProvision. pdf Sovereign acts by the Government, such as dictating to the Contractor, orally or through un-priced or unsigned modifications are a manifestation that you are working to defective specifications and/or performing added scope work. If any of the following conditions apply to your contract, you may be experiencing lost funds and may be entitled to additional mo whether or not the end item meets contract requirements. Any change in this methodology, not covered by a modification, is a delay to the contract and in many cases is considered added scope work entitling the Contractor to be monetarily Contractor must be aware that a rejection, not supported by a specific contract citation is improper, and that a Contractor is not obligated to perform the work until a citation is given or a modification is made to the contract.

Saturday, September 28, 2019

Catholic scandal

Bishop acknowledges the role of crisis Dallas (AP) - American Roman Catholic bishop started a historic gathering of civilian sexual abuse on Thursday and after their mistake triggered the crisis, Infiltration Photo AP Slide AP AP Photo Slide AP Photo Catholic Church Abuse The controversial audio / video casualties are required to further tolerance and accountability Church (WFAA, Dallas) Bishops, Discussion on Sexual Abuse by Pastor (AP) We will take action to propose a recommendation aimed at reforming the efforts of the Church's abuses. The American Catholic Children Sexual Love Scandal occurred in 2002, and it is reported that many archbishop leaders transferred to a new pastor instead of reporting or demolishing a pastor abusing a minor. The scandal involved almost all of the parishes of American Catholics, including 4,400 pastors and 110,000 children abused between 1950 and 2002. Child marriage is legal in several countries. For example, in Yemen, more than a quarter of girls ar e married before 15 years of age. Just in 2010, a 12-year-old bride from Yemen died of internal bleeding after intercourse. Furthermore, it is not uncommon for a 12-year-old girl from Saudi Arabia to marry an 80-year-old man. Child sexual abuse scandal in the Roman Catholic Church is a long-standing story that proves that it can be said to be one of the most historical scandals of the century. This is a scandal embodied in Mashiel and embodied in Macheel, effectively destroying the belief and trust that Catholics and Roman Catholics do not have, is the oldest religious institution in the Western world, to the ancient Rome I am back. Times. In addition to the New York Times article Sexual Abuse and the Catholic Church: Why It's a Story, countless other magazines, magazines, television stations continue publishing and broadcasting the media on church sexual abuse scandals . Just in 2016, New Yorker announced an article entitled Understanding Catholic Abuse by President Benedict. The C atholic Church is currently suffering from a very serious and serious scandal, Catholic priests and pedophiles sexual abuse. Last year, the Catholic Church had to distribute more than $ 100 million to the resolution of sexual abuse. But when the two Catholic priests in Boston were accused of abusing over 100 boys and young people, the crisis became mainstream. Churches around the world have influenced this scandal. - Cults can be defined as a group of people centered on human religious, social or political ideology (Martin, 2003). This is a sport that respects certain people, uses operation techniques to recruit members and collect funds. Cults require that members fully fund their work and use it to fund the members and provide sexual services for the benefit of the leaders.

Friday, September 27, 2019

WHAT MATTERS IN AMERICA Research Paper Example | Topics and Well Written Essays - 1750 words

WHAT MATTERS IN AMERICA - Research Paper Example In this chapter, Goshgarian talks about the impacts of social networking sites on people’s lifestyles. Several social networking sites such as MySpace, Facebook, Twitter and other social sites are currently available in the internet, and they provide an effective means through which people virtually interact with each other. The impact of internet on the social life has been a controversial debate in the American society. Many people have contradicting opinions on its effect on the contemporary American society and culture. A review of studies indicated that social networking sites have less impacts on the social life than many people usually believe. Internet is the latest means of interpersonal communication system following telegraphs and telephones. Other researches also indicate that social networking sites have also changed the patterns of life; however, the patterns of social life still remain the same despite of these internet-induced changes (Goshgarian 68). Social networking sites are speculated to have positive impacts on people’s everyday lives, since it improves the quality and frequency of interpersonal communications among different people. Through virtual connections, people easily access their colleagues leading to engagements and happiness in society and families (Goshgarian 27). According to Goshgarian, electronic communication result in weaker social ties, since many people lack adequate time to physically visit and interact with their friends. He writes that â€Å"More and More, people build their social network around their colleagues instead of their neighbors and families† (Goshgarian 331). The internet also allows many people to work from their homes, and this gives them less time to physically interact with other people. In addition, the internet also enables people to virtually interact more easily than through other means of communication, have romantic affairs, access their bank accounts and

Thursday, September 26, 2019

On Maximising Profits Essay Example | Topics and Well Written Essays - 1500 words

On Maximising Profits - Essay Example The desire to maximise profits does not form a clear and unique behaviour prescription. Enke (1965, p.54) adds that consequently, the economist cannot make individual-firm predictions in the short run.1 When the future outcomes of present decisions are uncertain, motivation does not constitute a criterion for each entrepreneur. To clarify motivation and criterion, Enke (1965, p.53) provides the following extreme gambling example. Suppose that one gambler might be given a hundred dollars and is told to make a single bet at a roulette table and "maximise profits" whereas another player might similarly be given one hundred dollars but then to "maximise losses." If they are obedient, both gamblers will play a number than a colour because, if they are ever to secure the maximum profits and maximum losses that they respectively seek, the longest odds provide profits or losses at the highest rate; if they both played a colour, they would be acting that is inconsistent with their instructions. Unless people have beliefs concerning the likelihood of certain future events occurring, a specific motivation cannot provide them with criterion for selecting one alternative from one another. The economist cannot predict how an entrepreneur will act if the economist does not know the entrepreneur's assessments of future pr obabilities (Enke 1965, p.55). Baumol (1961, p.193) also provides an example as to why the profit-maximising assumption does not hold for all firms. A small firm that is run by its owner may seek to maximise the proprietor's free time subject to the constraint that his earnings exceed some minimum level, and, indeed, there have been cases of overworked businessmen who, on medical advice, have turned down profitable business ventures. According to Anthony (1965, p.61), if a firm is to maximise its profits, the businessman must set a price such that the marginal revenue equals the marginal cost. This means that as a minimum he must be able top estimate the demand at all prices and the marginal cost at all volumes, and he must further estimate the extent to which demand is interdependent with cost because of advertising and other order-getting expenditures. In practice, states Anthony, is a "fantastically" [emphasis mine] difficult task, so difficult that is rarely attempted in practice. In Anthony's words: "who can accurately estimate the demand for a product at even one price" Another critic of the profit maximising firm is the "denigration" of the importance of managerial activity or to imply that it is without significant difficulties. Baumol (1993, p.3) defines the manager as the individual who oversees the ongoing efficiency of the continuing processes. In its generic and simplest form, the theoretical firm must choose among alternative values for a small number of rather well-defined variables: price, output, perhaps advertising outlay, and occasionally, a few others. The firm is then to perform a mathematical calculation which yields the optimal (profit maximising) values for all of its decision variables that the theory declares the firm's vector of decisions. Until there is such a shift in one of the relationships that define the problem, the firm is taken to replicate

Poetry books Essay Example | Topics and Well Written Essays - 1500 words

Poetry books - Essay Example The â€Å"Short Charter of Christ† employs a number of imageries which centrally focus on the development of the grand-imagery of crucified Christ. This imagery of the crucified body of Christ further conveys a holistic abstraction of Christ’s physical sufferings in exchange for the salvation of humanity. On the contrary, the image of the charter visualizes this grand metaphor through the triadic relationship among â€Å"signs†, â€Å"interpreters† and â€Å"ideas† which those signs are intended to convey to the audiences or readers. The scribe of this image has effectively employed a number of signs of physical sufferings such as five wounds, the nails, the â€Å"scourges of his attackers†, stains of blood, bones and skulls, etc. to conjure up Christ’s sufferings and to convey his pains to the readers. Through these symbols, he has attempted to visualize spatiotemporal settings of Jesus’ crucifixion in the mage, while the poem uses various imageries develop the traditional Christian concepts of humankind’s salvation and liberation through Christ’s suffering on the Holy Cross. Indeed, during the medieval period, it was a literary tradition of referring to Christ’s Last Will in Manuscripts. But some of the charters of Christ had been produced in the form of legal documents. In these charters, the scribes would make sincere effort to convey a sense of legality of the documents to the readers. Therefore, the scribes had to apply a number of techniques in this regard. These techniques include literary-visual binary techniques of presentation of the theme. While presenting the theme of the documents they would attempt to instill the spatiotemporal dimension of their subject matter. Necessarily, they had to assume the persona of Christ in their manuscripts. While Christ’s persona was worked out through linguistic strategy of using the first person perspective in the presentation of th e literary content, images were used to illustrate and visualize Christ’s figure. These pictorial presentations of Christ would more or less commonly uphold him in the posture of delivering sermon to his disciples. In this regard, it can be said that the pictorial presentation of Christ’s persona in the â€Å"Short Charter of Christ† is somewhat different from this tradition. Instead, the scribe of the â€Å"Short Charter† has adapted and elaborated the image of crucified Christ to visualize the theme of the poem. The â€Å"Short Charter of Christ†, had been written as a legal document in which Christ grants humankind the liberation and redemption from sins. This charter has a root in the medieval practice of writing religious documents in parchments. More specifically, this is the imitation of Christ’s Last Will and Testament. In order to work out the spatiotemporal dimension of Christ’s physical sufferings, the scribe has endeavored to convey the sense of Christ’s physical sufferings through the images of the cross, crucified Christ and other elements needed in the process of crucifixion. These symbols and images of crucified Christ nailed on the cross are sufficient enough to work out the realities which Christ himself faced. But in order to validate the legal dimension of the texts, those medieval script-writers would manipulate the imagery of Christ’s skin extended to serve as a parchment on which Christ’

Wednesday, September 25, 2019

The Issue of Marital Rape Research Paper Example | Topics and Well Written Essays - 2750 words

The Issue of Marital Rape - Research Paper Example Norms of the current age are based on equality and respect of each other while maintaining the status of equal partners. In legal and social parlance, it was believed that marriage was an institution in which sex between the partners is always legal irrespective of the fact that the woman is ready for it or not. The man was allowed to use her lady and she was bound by his commands. There was no concept of sexual assault and rape in a marital relationship even a century ago. It is pertinent to note here that a law is an off shot of aspirations of the society in which its citizens decide that how they would view a balanced society and on which ground they would like to judge the other and to be judged. Historically, law –just like other segments of the society- was reluctant to admit any interpretation of forced sex in a marital relationship as a rape. Marriage was considered as a license for a man to have sexual relations with his wife even against her wish. But gradually, now society and the law have evolved otherwise. Marriage is a knot between a man and woman, where both agree to live together for love and continuation of their family through their children. Marriage may be defined as â€Å"An agreement made in due course of law where a man and woman reciprocally decide to live with each other during their joint lives, in the union which ought to exist between husband and wife†1. Marriage is the relationship where cohabitation is not only for the purpose of sexual pleasure only but also for sharing love and grief, hot and cold, and to work for the comfort of life together. The institution of marriage is the oldest and the only permanent institution of any society. It was there when no other institution was there and till today, all the society posses it in one way or the other.  

Tuesday, September 24, 2019

Middle East Essay Example | Topics and Well Written Essays - 500 words

Middle East - Essay Example This perspective mostly refers to a conventional Muslim female whereby according to the creed ought to conduct themselves in a decent manner, which is having veil. Another meaning encompasses preferring hijab other than complete veiling whereby numerous current global regimes seem to prefer contending of security reasons as well as in certain settings like colleges and universities (Asser, 2006). Since, most people and especially scholars contend it reveals the face of an individual such without violating their rights. However, this argument varied religious leaders have vehemently detested contending it is a mere segregation. Different interpretations across numerous scholars and people globally regarding the issue of veiling stems from varying cultures especially in Arab world as well as certain Koranic verses that are extremely ambiguous (Asser, 2006). Hence, leading to the emerging of numerous arguments concerning where to draw line regarding veiling issue as well as accommodate certain practices that align with it (Asser, 2006). 2) Some Western states have created laws imposing limitations on veiling practices in public spaces. Choose a country discussed in the articles and explain what kinds of limitations are imposed and the justification for those limitations. In this state, the regime barred full-face veil in public places whereby the president contended the practice was basically a way of oppressing the female gender, hence France was not ready to bear it (BBC News, 2014). According to the regime of the day, the female gender ought not to leave their houses while hiding their faces behind veils whereby in contravening this rule one risks a penalty of 150-euro. Those participate in compelling one to have veil in public subjects himself or herself to a fine of 30,000-euro (BBC News, 2014). This ban extended even to barring of creed symbols in state schools with the intention of

Monday, September 23, 2019

PERSPECTIVES ON EFFECTIVE LEADERSHIP BEHAVIOUR Dissertation

PERSPECTIVES ON EFFECTIVE LEADERSHIP BEHAVIOUR - Dissertation Example But is has got few limitation which is not suitable for the evolution process of a leader. In many survey researches through questionnaire approach the issues are often unclear for many thus a proper feedback is not received from them. Sometimes the responses are unfair for personal biasness towards the person. This type of responses goes against the evaluation process and the leadership evaluation is not done correctly. In most cases in the evaluation process through questionnaire approach the response are given in general without proper individual evaluation. The answers are given in aggregation to item and no segmentation is done for the different skills and performances that an individual may possess being a leader. Comment on problems of determining causality (and determining the nature of the causality). In various survey research there are certain ‘why’ questions that cannot be answered with the cause. In several instances the causes of certain innovations are inf luenced by other factor where as certain innovations can also be an effect of certain causes (Rogers, 1995, p. 123). In the relation of events there is one dependent and one independent variable which lead to the innovation process. The independent variables in most cases are unclear which lead to the innovativeness. The leader behavior is dependent on the criterion variable and in some case the criterion variable is dependent on the leader behavior.

Sunday, September 22, 2019

Family Planning Essay Example for Free

Family Planning Essay †¢ It means the spacing of children and that parents are completely free to choose the number of children they want. †¢ People in almost all parts of the world are agreed that family planning is necessary in every country which desires to raise the living standard of its people. †¢ Family planning has also been referred to as the totality of human efforts to achieve human dignity, economic stability, health and happiness and welfare through: o Birth regulation and spacing of children by the use of accepted scientific methods Rhythm †¢ Only method that the Catholic church approves of †¢ â€Å"Periodic abstention† †¢ A plan of avoiding sexual intercourse during the fertile period just before and after an egg has been produced in her body †¢ Most women release an egg cell about once a month usually 14 days before the menstruation †¢ May vary from month to month and it is necessary to determine whether accurately as possible when an egg will be produced †¢ Can be reliable if the menstrual cycle is regular †¢ The doctor may help you determine when your fertile period is Sterilization †¢ Vasectomy(male); Tubal ligation(female) †¢ An operation whereby a tube, vas deferens, where the sperm cells pass is being removed †¢ In tubal ligation, the one removed is the tube where the egg cells pass †¢ Those who use this method are those with three to four children †¢ It is for couples whose families are complete †¢ The procedure much simpler for the male †¢ There no side effects and the cost of operation is cheaper Douching †¢ Flushing out the vagina with a medicated solution immediately after intercourse to remove or destroy sperm Abstinence †¢ Refraining from sexual intercourse †¢ 100% effective To have all this methods of family planning, one must be full of fire and enthusiasm about it yourself in persuading people to do such. If people are convinced of the possibility of family planning, the result will not only help the couples either rich or poor, to have a sound and healthy family but also make the nation a powerful and strong one. The world is not after the quantity but the quality of the people. Any couple who desires to use a family planning method should visit a family planning clinic so that they can learn the important details concerning the particular method they may choose and assure pregnancy protection. General Principles Governing the Choice of Contraceptive method 1. A contraceptive method is not for an unmarried individual but for a married couple. Although only one mate may be involved in its use, it affects the interpersonal as well as sexual relationship of husband and wife. 2. The effectiveness and the acceptability of any method are in direct proportion to the experience of the physician in suiting the method to the couple’s particular needs and the degree of motivation of the couple in using the method consistently. 3. The physician, being human, has his own preference and emotional reactions thereto. It is only in listening with respect to the patient’s reaction that the couple’s emotional need will be met. Catholic Church’s Position on Family planning On July 31, 1975, Julio R. Cardinal Rosales, pres. Of the Catholic Bishops Conference of the Philippines, made the following classifications on the stand of the Church in the Philippine Population Program: 1. The Church is in accord with the Government on the need for family planning. The church has always advocated responsible parenthood. 2. The church respects the Government responsibility in making available to the citizens such means of family planning that would not violate their conscience of those employed by the Government in its program. 3. The church advocated the family life program which upholds human dignity, healthful marital love and family relationship, and which teaches that the means for family planning is the natural method, with the exclusion of artificial contraceptives, sterilization and abortion. 4. The church maintains that the individual conscience is the ultimate arbiter in the choice of the means for family planning.

Friday, September 20, 2019

Impact of Tourism on UK Tourist Destinations

Impact of Tourism on UK Tourist Destinations Evaluate the Nature and Extent of Tourism Impacts at a Range of Tourist Destinations The tourism and travel patterns of past decades, combined with the challenging market conditions, especially given the impacts that recent terrorist activity and natural disasters have had on the tourism market, have tended to result in short-term approaches from many organisations in travel and at destination resorts, where commercial activity has thus impacted negatively on natural or cultural environments. In historic terms, leisure travel is relatively new phenomenon, starting in the UK with the ‘Grand Tour’ journeys of the eighteenth century, when wealthy individuals chose to visit neighbouring lands to learn about politics, culture and art. By the nineteenth century, leisure travel within Britain increased, with the growing popularity and royal patronage of spa and seaside towns, and the corresponding availability of transport, which became faster and easier during the industrial revolution, with improved roads and the introduction of trains and rail travel. The we althier and aspiring middle classes popularised travel destinations that developed into resorts offering entertainment and serviced accommodation. (Global Market Information Database, May 2005) However, this rapid growth of tourism has resulted in several unforeseen impacts on destinations, which have been observed to be either beneficial or detrimental to the locality. The twentieth century inventions of the motor car and coach transport accelerated the popularity of domestic holidays, leading to the seaside holiday becoming firmly established as integral to British culture, with corresponding impacts on town such as Brighton and Blackpool, which have become strongly geared towards holidaymakers Sea travel improved and developed with the leisure traveller in mind, bringing ferry routes, luxury liners and vessels for hobbyists. The two World Wars also brought about the accelerated development of air transport, which resulted in a demand for civilian passenger planes, and thus fast overseas travel by plane opened up the world to international leisure journeys. As a result of this massive explosion in tourism, over the past three hundred years, tourism has brought prosperity to many regions of the world that would otherwise exist in abject poverty, such as the island of Bali, where living standards are considerably higher than the neighbouring islands in the Indonesian peninsula. (Friedheim, 1996) However, frequently tourism grew to suit human interests, particularly those of the tourists and businesses, and by no particular long-term plan with regards to sustainability at the local destinations. As a result, today the detrimental effects of global tourism are evident in the form of pollution, the erosion of local culture, the widening of the gap between rich and poor, a threat to survival for local economies and the spoiling of natural habitats and landscape. (Cooper et al, 2004) Indeed, whilst Friedheim (1996) mentions the strong positive impact of the tourist trade in Indonesia’s Bali Island, with the island frequently being described primarily as a popular tourist destination, Friedheim also comments on tourism’s impact on the island’s economic and social conditions for those locals not actively engaged in the trade. He also comments on how traditional skills and employments are increasingly being suborned to appeal to the tourist masses and their money, and thus the island’s culture is being eroded. Similar comments are made on the developments related to the tourist trade in Eastern Europe, following on from the collapse of the Soviet Union and the ‘Iron Curtain’, when the area’s potential as a tourist destination first began to be explored. However, in this case, there was widespread cooperation amongst the Eastern European countries for the promotion of the regions tourist trade, and tourism generally had a positive impact on the areas re-building efforts (Friedheim, 1996) due to its focus on the culture of the cities, rather than beach holidays. Lori (1998) takes a similar view, but focuses on the second annual Sustainable Tourism Conference of the Caribbean Tourism Organization in Trinidad, Spain. In the Caribbean, tourism had previously followed a quite unsustainable model; however the aim of the conference was to address this, based on the tourism strategy initiatives followed by the Dominican Republic: a model ecotourism destination in the Caribbean. Although it is wise to aim for sustainable tourism wherever possible, to reduce the negative impacts on regions wherever possible, there are often factors that work against this desire. One of these is seasonality: an integral quality of the landscape which greatly affects, informs and interweaves with many tourism factors, such as the tourism-based economies of Greek island communities, currently almost entirely dependent upon summer holiday tourism for their survival. (Terkenli, 2005) The multiple facets and impacts of seasonality produced and inscribed by tourism on the landscape, and specifically on the landscape of northern Crete, can, as with many other impacts and destinations, be both problematic and beneficial. In the case of Crete, the three different stages of the tourism destination lifecycle model used by Terkenli (2005) are roughly represented by three different zones of tourism impact in the broader region of Hersonissos in northern Crete. Here, tourism-induced changes roughly attenuate with distance from the coast, acquiring distinctive geographical patterns that follow those of spatial tourist concentration, scale of development, and incorporation of tourism into Cretan society and space, thus giving the island a seasonal economy and demography, in common with many similar regions dependent on seasonal tourism. However, there can be major negative impacts on regions with economies of this type or, indeed, any economy based on tourism. For example, in the months immediately following the 11 September 2001 terrorist attacks, there was a strong trend in many regions towards staying closer to home, with tourists being deterred from long-haul travel for several reasons, including lower incomes, the fear of further terrorist attacks, and delays at airports due to higher security. This benefited domestic travel, as well as regional travel such as travel between European destinations, travel between the US and Canada, and travel within Asia, thus helping some tourist destinations in these countries. However, it had an adverse impact on destinations such as Florida, which relies heavily on tourists from Europe, and many destinations that relied heavily on tourism from the US were particularly badly affected by the fall-off in American tourists immediately after the attacks of 11 September 2001. Thes e included destinations such as the Caribbean and Latin America, and within these regions, notably Mexico, Puerto Rico and the Bahamas. (Global Market Information Database, Sep 2005) In response to this, Latin American and Caribbean governments launched marketing campaigns and other measures to encourage tourism in the region. In Mexico, for example, which depends on the US for 85% of its tourist arrivals, measures included the elimination of sales taxes on conventions, and an increase in the promotional budget of 50% through a new public-private consortium. The Caribbean Tourism Organization (CTO) also launched an emergency joint marketing, promotion and public relations campaign at the end of 2001 to try and resurrect the failing tourism market which was pushing many of the region economies towards recession (Global Market Information Database, Sep 2005) Indeed, increasingly governments and organisations across the world are realising that travel and tourism growth cannot be left to chance, as the potential impacts on regions, and also entire nations, are just too great. As a result, in 2003 over five hundred of the world’s most influential business leaders called on the World Travel and Tourism Council (WTTC) to form a new vision and strategy for travel and tourism. This project combined the forces of stakeholders from public and private organisations, resulting in the formation of â€Å"Blueprint for New Tourism† campaigns to influence behaviour and to introduce new legislation and best practice for the industry in its quest to help governments recognise travel and tourism as a top priority, to balance economics with people’s needs, culture and environments and to share the pursuit of long-term growth and prosperity, underpinned by corporate social responsibility. Global Market Information Database (May 2005) O rganisations are now required to evidence the measures they take towards social responsibility in their annual reports, and consumers too are becoming more aware of the impact that tourism and development can have on the world, through television documentaries and media coverage of issues such as global warming, endangered species and fair trade practices. To help consumers make informed choices on their travel destinations, consumer advisory services such as the Centre for Environmentally Responsible Tourism and ecotourism.org were established, offering advice on the best destinations and most sustainable tour operators. Indeed, as with many regulatory bodies around the world, for tour operators, such an endorsement provides a promotional opportunity and can further benefit nations: for example, the dreadful and much publicised effects of the Asian tsunami awoke the UK public to the need to give and support nations in peril. Popular destinations for back-packers were literally wipe d off the map, and to support the regeneration of the tourist industry in the affected countries, volunteer holidays were offered, which helped provide useful skills and manpower to local populations, as well as helping tourists get closer to the local culture. A final impact of tourism is its tendency to skew the geographic distribution of wealth in countries that have particular tourist attractions. Egypt is a good example of this, as it is now looking into the possibilities for diversifying its tourism opportunities throughout the country, with the main target for expanding the tourism sector in nature-based tourism. The coral reefs and rich marine life in South Sinai and the Red Sea coast have made these two areas among the premier scuba diving destinations in the world, with many beach resorts are now in operation and still hundreds to be constructed. However, previous tourism development in Egypt has resulted in a series of negative environmental impacts, both to the reefs and marine life, and to the other areas of the country which have suffered a lack of funding and investment due to not being in proximity to well known tourist destinations. The ambitious development plans to receive 16 million tourists across the country by 2017 wi ll thus take into consideration sustainability and demographic concepts, with the government and developers having significant roles to play in adopting and implementing environmentally sound policies and practices to avoid the degradation of the natural heritage of Egypt for the sake of the current as well as future generations. (Shaalan, 2005) In conclusion, tourism offers some of the most impoverished regions of the globe the chance to develop their infrastructure and quality of life in ways that would otherwise be impossible in the modern world. However, frequently these developments are allowed to proceed without thought to maintaining a balanced distribution of income amongst the local inhabitants, and preserving the very attractions which bring tourists to the area. As a result, tourism can often have significant, wide ranging negative impacts as well as positive ones, such as in the case of Bali. However, with the new sustainable tourism developments helping to reduce the negative impacts, and distribute the positive ones equally across the local populations, there is evidence that tourism can, and in future increasingly will, provide beneficial and sustainable long term impacts to the communities and destinations it affects. References Cooper, C. Fletcher, J. Fyall, A, Gilbert, D. and Wanhill, S. (2004). Tourism: Principles and Practice, 3rd Ed. Prentice Hall: London. Friedheim, E. (1996) Holding on to paradise. Travel Agent; Vol. 284, Issue 1, p. 22. Global Market Information Database (Sep 2005) The World Market for Travel and Tourism. Euromonitor International. Global Market Information Database (May 2005) Travel and Tourism in the United Kingdom Euromonitor International. Shaalan, I. M. (2005) Sustainable tourism development in the Red Sea of Egypt threats and opportunities. Journal of Cleaner Production; Vol. 13, Issue 2, p. 83. Tenny, L. (1998) Second CTO conservation confab explores tourisms impacts. Travel Weekly; Vol. 57, Issue 38, p. C9. Terkenli, T. (2005) Human Activity in Landscape Seasonality: The Case of Tourism in Crete. Landscape Research; Vol. 30, Issue 2, p. 221.

Thursday, September 19, 2019

Jeffersonian and Jacksonian Democracy :: American America History

Jeffersonian and Jacksonian Democracy Jeffersonian and Jacksonian Democracy are the same in just about every regard. Their views and goals as presidents are the same. Both are in favor of the common man and feel that it is the common people who should have the biggest influence on government, not the wealthy aristocrats. They also support states rights and feel that the federal government should not get involved with the states affairs. Both men's actions clearly show that the common man does not include minorities. Both Jackson's and Jefferson's actions and words are very similar and support the same beliefs. Thomas Jefferson was a strong supporter and spokesman for the common man and self-government. He strongly believed that the purpose of American government is to look after and support the common interests of the people. He was against anything that he felt would hurt the common man such as the Bank of the U.S. and big government. Jefferson believed the Bank was hurting the common man and became a damaging monopoly. "It would swallow up all the delegated powers [of the states], and reduce the whole to one power..."-Jefferson referring to the Bank. He was strongly against big government and felt it would oppress the common man. "I am not a friend of a very energetic government...it places the governors indeed more at their ease, at the expense of the people." Jefferson was also a strong supporter of the Bill of Rights, which protected the rights of the people. "A bill of rights is what the people are entitled to..." He felt the Bill of Rights would clearly state and protect people's ri ghts, "freedom of religion, freedom of the press, protection against standing armies, restriction of monopolies, the eternal and unremitting force of the habeas corpus laws, and trial by jury...." It was based on Jefferson's suggestions that Madison proposed a Bill of Rights. Jefferson did everything he could to help the common man. Andrew Jackson was undoubtedly a man of the people. He was the first president to be chosen by the people and his background was not that of a typical president. He was not born into a rich family. Jackson's favored the general public rather than the wealthy. His election shifted the balance of power from the wealthy East Coast, to farmers and small businesspeople in the west. Jackson vetoed more bills than all previous presidents did in an attempt to help the common man.

Good and Evil in Human Nature in Lord of the Flies and The Strange Case of Dr. Jekyll and Mr. Hyde :: William Golding Robert Louis Stevenson Essays

Good and Evil in Human Nature in Lord of the Flies and The Strange Case of Dr. Jekyll and Mr. Hyde The novels The strange Case of Dr. Jekyll and Mr. Hyde written by Robert Louis Stevenson and Lord of the Flies by William Golding both portray a very similar message. In both novels there are characters, which represent both good and evil showing the contrasts, which occur throughout the whole storyline. Both novels can be described as an allegory as they both show different levels and meanings e.g. in Dr. Jekyll and Mr. Hyde one represents good the other evil even though they are the same person. This gives us the indication that Stevenson's message is that evil can be found inside everyone. Also Golding uses characters to bring this message across as well. Lord of the Flies is situated on an island and when the boy's plane crashes they are provided with the ideal surrounding with great resources to survive until they're rescued. The island almost acts as a parent even though they are without parental supervision. The island can be compared to the Garden of Eden as it's described as a "natural beauty". But straight away we are warned there is a "dark side" to the island. Almost suggesting something will go wrong or this is where something horrendous will take place. The children's main aim when they are all together is to pick a leader. This is where the conflict begins mainly because Ralph gets picked and Jack becomes Jealous. Ralph shows maturity and intelligence where Jack shows power and strength. Golding almost suggests that if Jack and Ralph were combined they would be the ultimate leader. Dr. Jekyll and Mr. Hyde shows how scientific experiments can go wrong and Stevenson tells that even though we try to avoid evil it will never go away. The novel all starts with the concern of Mr. Utterson, Henry Jekyll's lawyer. He is worried and confused that Jekyll has left all his possessions in his will to a Mr. Hyde who he has never met. "All his possessions were to pass into the hands of his friend and benefactor Edward Hyde" Utterson confronts Jekyll's old friend Dr. Lanyon but he hasn't heard of a Mr. Hyde. "No. Never heard of him. Since my time" Its ironic that the name Hyde can be heard as hide so we are told that even before we begin to read that Mr. Hyde must be strange or almost none existent. Utterson tracks down Hyde and is horrified by the way he looks and doesn't understand how Jekyll could be friends with such

Wednesday, September 18, 2019

Intertextuality Essay -- essays research papers fc

What is intertextuality? How does intertextuality challenge E.D. Hirsch’s idea that a text has a single meaning created by its author? Explain with reference to examples drawn from any media format. According to American literary critic, E.D. Hirsch, in order to interpret a body of text, one must ask one’s self the only question that can be answered objectively – â€Å"what, in all probability, did the author mean to convey?† He believed that the author’s intended meaning equates the meaning of a text and it is in fact, the reader’s duty to uncover the the author’s intentions. â€Å"The meaning of a text and its author’s intentions are one and the same.† Hirsch’s concept revolves around the assumption that a body of text is original, and is purely a body of the author’s sole â€Å"intentions†. The production of text, if one were to adhere to Hirsch’s theory, is therefore exclusive to the author’s own ideas and concepts and free of external influence. However, the notions of langue and parole disputes this idea. According to Barthes in 1984, â€Å"It [la langue] is the social part of language, the individual cannot himself either create or modify it†. Furthermore, Ferdinand de Saussure’s work on structuralism and semiotics demonstrates the subjectivity of language and can be said to have sewn the seeds for modern concepts of intertextuality (such as those developed by Roland Barthes and Julia Kristeva). Intertextuality challenges the idea of a text’s ability to be truly original and therefore disagrees with Hirsch’s theory. In this essay, I will focus on how conscious intertextuality as well as the semiotics involved in unconscious intertextuality both dispute the idea that the meaning of a text belongs exclusively to its author’s intentions. Julia Kristeva, who was the first to use the term â€Å"intertextuality†, proposed the idea that a text should not be interpreted merely by its words at face value, but also studied based on other works it has adapted and was influenced by. The concept can be further expanded upon by Gunther Kress’ notion of â€Å"ceaseless semiosis† which brings to light the social aspect of a text’s creation. â€Å"From the beginning, I use materials which I have encountered before, which bear the meanings of their social contexts, to weave a new text which, because it is woven from materials of other texts, everywhere and always connects with those other te... ...mpaigns, can now be seen as the qualities Bridget desires by smoking Silk Cut. Once again, Hirsch’s idea of a text bearing only one singular meaning can be easily disputed. The interpretation of the Silk Cut advertisement, as well as the use of Silk Cut cigarettes in Bridget Jones’s Diary, is highly subjective and dependent on the reader’s cultural literacy and existing knowledge. Intertextuality in the media, both print and otherwise, has become too powerful to ignore, especially in this day and age. The internet, satirical texts, advertisements and books are only some examples that demonstrate the effects other works and a reader’s prior knowledge have on any given text. Intertextuality in its various states, conscious and unconscious, is certainly a valid contention against the theory of E.D. Hirsch. Bibliography, References & Notes 1) Cultural Consumption and Everyday Life†, Reading As Production, John Storey, Pg 63, Arnold, London, 1999 2) Intertextuality, Allen.G, Pg 9, Routledge, London 2000 3) http://web.uvic.ca 4) http://www.theonion.com 5) http://www.geocities.com/howtodressemo 6) http://www.aber.ac.uk 7) Reading Ads Socially. Goldman. R, Routledge, London, 1992

Tuesday, September 17, 2019

Nuclear Disarmament

Nuclear technology has been widely used in the past, especially among nations seeking to dominate or to at least secure their positions as a country able to defend itself against its enemies or launch a military offensive. It is no hidden fact that nuclear weapons pose a great amount of threat to the security of human and animal lives in many ways. There may be other purposes for nuclear technology other than harnessing a sizeable amount of military weaponry, such as for generating power which will be distributed to households and infrastructures.   Yet the apparent threat to the lives of humanity remains an utmost concern in the international community. More recently, many nations have already acquired nuclear facilities in creating nuclear weapons such as India, the United States of America, Russia and North Korea just to name a few. The availability of these weapons of mass destruction has prompted many concerned individuals and groups to raise their opposition and seek a nuclear disarmament internationally, regardless of national status. There are also those who barely limit their calls for nuclear disarmament to nations which they perceive as threat to the international community such as North Korea. One of the many arguments behind the call for nuclear disarmament is the idea that the very presence of nuclear weapons creates not only tension among nations which have them like USSR and America in the past. It also creates fear among nations and citizens, especially those which do not have the capability to produce nuclear weapons and make their presence felt as a nation capable of defending itself. Moreover, there is also the fear towards the health risks posed by nuclear weapons. Among the risks, perhaps the most known is that of nuclear fallout caused by the testing of nuclear weapons. Nuclear explosions during these tests create residual radiation hazards or radioactive dust which can largely affect the health of people in many ways. On the other hand, the manufacture of nuclear weapons can also pose dangers when accidents occur. For the most part, the Chernobyl nuclear reactor accident gives us a rough impression on the drastic consequences which can be brought about by nuclear accidents. In essence, there should be nuclear disarmament precisely because the availability of nuclear weapons is enough reason to believe that sooner or later these weapons will be used. The very fact that there are nations creating nuclear weapons is enough to presume that there is a purpose or motive behind the manufacture of these weapons. It would be irrational to presume that these nations will manufacture nuclear weapons—weapons that cost huge financing and environmental and health risks—without having the thought of using the weapons at some point in time. Indeed, if there is at least one essential reason why these weapons are being built, it would have to be the reason that these weapons are most likely to be used. In the first place, one can pose the question as to whether there is an apparent and high need for nuclear weapons. Given the contemporary global situation, there are parts in the world where there are unrest like Tibet and there are regions in the world where there is a tension among nations like that of Israel and its neighboring countries just to name a few. These events in the world indeed require efforts of mitigation and resolution. To say that the amassing of nuclear weapons is one key to putting a stop to these global concerns is to say that efforts to propagate weapons of destruction can curb destruction altogether. Yet there is strong reason to believe that the opposite is more likely to be true. Significant historical events from around the world teaches us quite a number of things, one of which is that nuclear disarmament should be met in order to halt further damage from being done. Tensions across the world should be basically addressed not with another move which will further cause tension but with a real solution that will limit and eventually dissolve these tensions. The past two world wars literally obliterated the lives of thousands, and the further proliferation of nuclear weapons will create a similar scenario in the years to come if more and more nations will make use of nuclear weapons to further strengthen their military capabilities and if several nations will continue to harness nuclear weapons as we speak. Another point that deserves attention is that if we have many nations manufacturing and keeping nuclear weapons, there may come a time when these nations engage themselves in a nuclear warfare. The most likely result will be that of a mutually assured destruction where even the non-participating nations will be greatly affected especially the nations which are incapable of defending themselves against nuclear weaponries. It should be noted that even when there is no actual nuclear warfare, there remains the impending threat of its actual use, causing nations to panic to a certain extent and resort to measures to thwart off these threats temporarily. Although not exactly a crisis which involves nuclear weapons, the case of the Cuban missile crisis spawned fear from the United States of America. This was during the time of the Cold War between the former USSR and America, a time when both nations were stockpiling nuclear weapons, racing against one another in the desire to outnumber the quantities of nuclear weapons of one over the other. As Samuel Walker puts it, â€Å"the first two decades of the Cold War era, most scholars, like most Americans, regarded postwar tensions as a result of Soviet expansion and aggression (Walker, 1995, p. 1653).† The Cuban missile crisis was a crisis which did not strictly involve nuclear weapons. Then again, the fear and tension it created was overwhelming, which makes us think what more if the crisis had involved nuclear weapons. Apparently, the case of North Korea in more recent times reminds us of how the world has reacted against a nation harnessing nuclear weapons and testing these weapons right at their backyard. The presence of nuclear weapons does not essentially nor significantly assure peace. Nor does it promote peace in one way or another. Rather, what it does is to heighten the political and military tension among countries, pushing these nations to increase the pressure on the nation wielding nuclear weapons or engaging such nation into military intervention some time in the future. The cases of Hiroshima and Nagasaki are perhaps the most suitable and compelling examples to illustrate the point that nuclear weapons can indeed wipe-out an entire civilization and event the entire humanity. The bombing of both Hiroshima and Nagasaki in Japan is claimed to be the last nail during the Second World War. Apart from being the last nail, the bombings were also destructive in nature, destroying two key cities in less than a minute with destructive effects lasting even up to this very day. These only show that the dangers posed by nuclear weapons are very real and can bring havoc to an entire nation. Nuclear disarmament requires nations with nuclear weapons to dismantle such weapons, such as the case of the several treaties that paved the way for the United States, the Soviet Union and many other countries to make certain prohibitions. Some of these treaties include but is not limited to: the Partial Test Ban Treaty in 1963 which sought to prohibit all forms of nuclear testing except when done underground, the Interim Agreement on Offensive Arms or SALT 1 which was agreed into by America and the Soviet Union way back in 1972 in order to freeze the actual units of intercontinental ballistic missiles as well as submarine-launched ballistic missiles that may be released or deployed by either of the two nations, and the Strategic Offensive Reductions Treaty or SORT which was signed in 2002 and enforced a year later which aimed to reduce the strategic nuclear warheads of the United States and Russia. However, even though there have already been numerous treaties designed to control the proliferation of nuclear weapons among nations, the achievement of the goal of a total nuclear disarmament remains to be seen. Ken Rigby, Jacques Metzer and Biruta Dietz (1990) point out that â€Å"the attitude of world-mindedness has emerged as†¦related to both attitudinal and action tendencies to promote nuclear disarmament (p. 328).† Thus, it can be asserted that the efforts to finally achieve a total nuclear disarmament may rest on a world-minded attitude. That it, the concerns of each individual aiming at a total nuclear disarmament should be parallel to a mental framework which is global. There should be no exclusions as to who can still be permitted to keep nuclear weapons even after treaties of nuclear disarmament have taken shape. On a larger sense, history tells us that the proliferation of nuclear weapons in the past and even more so to this very day has resulted to the further realization of the dangers largely attributed to nuclear weapons either resorting from accidents or deliberate use of these weapons. Nevertheless even if these dangers have already been realized, several nations still seem cannot find an easy way out of the complexity of the nuclear issues which beset them. It appears that while there are treaties being engaged into by nations with nuclear capabilities they, too, have remained unable to fully submit themselves to a total nuclear disarmament. One can argue that perhaps one of the reasons why there is the failure for several nations to engage in a full nuclear disarmament is the idea that there are persisting threats to the sovereignty of these nations and that one way to curb these dangers is by wielding nuclear weaponry. Despite the underlying drawbacks that go along with the possession of nuclear weapons, it appears that the United States, Russia, North Korea and many others remain oblivious to the call for full nuclear disarmament perhaps because the purposes of having nuclear weapons outweigh the odds of falling on their drawbacks. One indubitable purpose of the possession of nuclear weapons is the attribution of power and respect that goes with it. However, even if these nations can be able to project an image of power and hegemonic dominance, history teaches us that â€Å"public concern over the dangers of nuclear war has increased dramatically in both Western Europe and the United States (Boutwell, 2002, p. 12).† Ironically, these increases in public concerns come from the citizens who live in the nations who have the capabilities to launch nuclear warheads. This goes to show that, to a certain extent, nations with nuclear warheads also have a corresponding concerned body of the public sector well-aware of the dangers of nuclear weapons at the least and a nuclear war at the most. There is a strong reason to presume that the public sector raises its concern over the issue of nuclear weapons precisely because that sector is able to see and understand the harsh implications it brings with it. Further, the concerned public sector has strong basis for their claims, substantiating their claims on the experiences of the nation in terms of history. Nuclear disarmament requires more than just disarming nuclear weapons for the moment. The crucial part is that such measures of disarmament should be sustained and should be kept as a lasting solution. It is admitted that there have been previous efforts from various nations and the international community to lessen nuclear arms and eventually entirely abolish these weapons of mass destruction. But up to this day, it remains a fact that several nations are still harboring nuclear weapons and that some are even continuing production of these weapons. A contemporary example to such a situation is North Korea which has recently gained much criticism from the international community in its recent testing of nuclear weapons, one of which is the Taepodong-2 ballistic missile. It is also a fact that at some point in time certain nuclear missile tests would have to be made in testing the feasibility of the weapon. It has been the case that the United States has tested some of its nuclear weapons in its own soil while North Korea and India have tested their missiles at sea. These tests may only last for a few minutes or so, yet the impact it leaves behind to the marine life in the cases of India and North Korea are long lasting. As with the case of the Hiroshima and Nagasaki bombings years ago, physical deformities were not only felt by those who were directly exposed to the radioactive substances present after the nuclear explosions. These physical deformities caused by alterations in the body’s genes persisted down to the third generation from those who were directly affected by the nuclear bombings. Nuclear disarmament is one big step in realizing the goal of dissolving the current tensions created in the past and should not be taken as a long-term goal, for the longer it takes for nations to disarm themselves with nuclear weapons, it may be the case that more and more nations may resort to the creation of nuclear weapons for themselves. Indeed, if nations are truly serious with their desire to preempt a nuclear war and bring mutually assured destruction to these ‘nuclear’ states and the rest of the world, it should be the case that efforts of nuclear disarmament should be realized as soon as possible. The world cannot afford a third world war from happening and destroying the welfare of the nations and the development of a larger part of the world. Indeed, nuclear disarmament should be the only option and that such an option should be taken and enacted the soonest possible time, if not now. The dangers of nuclear weapons are real and that history has taught us of the insurmountable destruction it brings with more than anything else in the world. References Boutwell, J. (2002). The Many-Sided Nuclear Arms Debate. Bulletin of the American Academy of Arts and Sciences, 36(1), 12. Rigby, K., Metzer, J., & Dietz, B. (1990). Factors Predisposing Individuals to Support Nuclear Disarmament: An International Perspective Journal of Peace Research, 27(3), 328. Walker, S. (1995). The Origins of the Cold War in United States History Textbooks. The Journal of American History, 81(4), 1653.         

Monday, September 16, 2019

Nursing Shortage Essay

Abstract Compelling evidence suggests that regions of the United States face a nursing and physician shortage that our legislators, health officials, and medical professionals must address. To ensure that quality medical care is not harshly impacted, the hospitals and public health leadership, in general, will need to tackle the nursing shortage with solid long-term solutions. It is no secret that the United States faces a critical nursing shortage, a trend that potentially threatens to undermine quality medical care. One single area of concern does not affect the shortage. In fact, the hospitals, and nursing in particular, are witnessing a combination of problems that range in salary structure, medical economics/cost containment, post-graduate education, and an aging workforce (pending retirements of baby-boomers). The public health industry is not sitting idly by to address the shortage. It is critically reviewing the needs for both existing professions. Definition of Nursing Shortage Nursing shortage is defined as the inadequate number of qualified nurses to meet the projected demand for nursing care within a healthcare setting, where the demand for nurses is greater than the supply. History of Nursing Shortage Historical knowledge is important to analyze the present and prepare for the future. As we can see from the current shortage in America today, we learn that it is not a new problem. However what makes this current nursing shortage situation unique is that the causes are related to a multifaceted range of issues. The current nursing shortage is connected to supply and demand factors, demographic changes, population growth, and fewer students enrolling in nursing schools, RNs who are retiring or leaving the workforce and a growth in the baby boom population who will demand more healthcare services in the near future. These factors are occurring while many nurses are retiring and more jobs are being created. In addition, the nursing shortage is actually a worldwide phenomenon with areas like Western Europe, Australia, Canada and the Philippines facing shortages as well. Economic factors have also contributed to the nursing shortage in the United States. Mark Genovese, spokesperson for the New York State Nurses Association explains, â€Å"For many decades the shortage was cyclical but as the economy tightened and as the insurance industry moved to a managed care model, there was less money in the system and hospitals had less money to work with and tighter budgets.† Budgetary limitations affected the nursing workforce as many nurses began leaving the profession altogether. â€Å"They were forcing RNs to do more with less, handle more patients and work more hours. RNs started to leave the workforce because of the working conditions and fewer RNs entered the system,† explains Mark. Americans are also demanding more quality healthcare services while many RNs are retiring, further exacerbating the problem. The HRSA has stated: â€Å"to meet the projected growth in demand for RN services, the U.S. must graduate approximately 90% more nurses from U.S. nursing programs.† Decreased staffing means that there are fewer nurses to work with patients. This impacts job satisfaction and causes work related stress. In some cases it has led to many nurses leaving the profession altogether. A 2010 study published in Health Services Research found that over 75% of RNs feel that the nursing shortage is a huge problem that affects their quality of work as well as patient care and the amount of time that nurses can spend with individual patients. Another important factor contributing to a lack of nurses is that there is a shortage of nursing school faculty to train a new generation of nurses in colleges and universities. The AACN’s 2008-2009 Enrollment and Graduations in Baccalaureate and Graduate Programs in Nursing report found that nursing programs in the U.S. did not enroll 49,948 qualified students into their bachelor and graduate degree programs because they did not have an adequate number of faculty, clinical practice sites, teaching space, and were constrained by budgetary limitations. Two thirds of the nursing program respondents reported that a big reason for not accepting students was due to not having enough nurse faculty on hand. The Southern Regional Board of Education conducted a study which found that the nursing faculty shortage in 16 states was caused by vacant faculty positions, retirements, resignations and a shortage of new candidates applying for faculty positions. Shortages like this pose a threat to the availability of nurse education. Defining the Problem For those students interested in careers in healthcare, becoming a nurse right now could be the best decision for you. Currently, the United States is facing a severe nursing shortage. For several reasons, the number of nurses graduating and entering the workforce, and those already in the profession, is not enough to fill the growing demand. Currently, RNs are the largest group of healthcare workers in the US at roughly 2.6 million and that still isn’t enough to meet the need. According to experts, by 2012, there could be around 1.1 million unfilled nursing positions in the United States. In the most basic sense, the current global nursing shortage is simply a widespread and dangerous lack of skilled nurses who are needed to care for individual patients and the population as a whole. The work of the world’s estimated 12 million nurses is not well understood, even by educated members of society. But nursing is a distinct scientific field and autonomous profession whose skilled practitioners save lives and improve patient outcomes every day in a wide variety of settings. In the Truth’s view, the vast gap between what skilled nurses really do and what the public thinks they do is a fundamental factor underlying most of the more immediate apparent causes of the shortage. These causes include nurse short-staffing (due to inadequate pay and long work hours), poor work conditions, the aging nursing workforce, expanded career options for women, nursing’s predominantly female nature, the increasing complexity of health care and care technology, and the rapidly aging populations in developed nations, to name a few. Other causes of the nursing shortage episode include: the aging baby boomer population and lack of employee incentives. There were seventy-six million Americans born between 1946 and 1964 and are now classified the Baby Boomer Generation. As this population reaches retirement age and beyond, they are requiring more medical treatments and nursing home and long term care facilities. This country is also seeing an increase in population in general, projected to grow 18% over the next two decades. With more patients flooding the healthcare system, there simply aren’t enough nurses to meet this growing need. However, those currently employed in the nursing field should be rewarded for being encouraged and motivated to stay in such a questionable field of employment. In light of this nursing shortage, it should be relatively easy to find gainful employment after graduation should you choose to study nursing. According to the Bureau of Labor Statistics (BLS), more than 581,000 new Registered Nurse (RN) positions will be created through 2018, which will increase that workforce by an astounding 22%. The BLS also estimates that even as other sectors of our economy continue to suffer, the healthcare sector will only continue to grow. Since the recession began, more than 600,000 positions have been created in the healthcare industry. With so many Americans out of work in other fields, a career in healthcare, specifically in nursing, might be a viable career choice. Literature Review Today, the average age of nursing faculty in baccalaureate and graduate degree programs is 51.5 years and the rate of projected retirements will exceed the rate of re placements. Nurses enter the faculty role later in their careers and typically retire at an earlier age, around 62.5 years. More efforts need to be put into place to encourage those already teaching to remain in their positions even if it is in a limited capacity while future faculty are educated. What factors are present that facilitate the desire for nursing faculty to retire? Kowalski, Dalley, and Weigand (2006) conducted a cross-sectional, randomized study of 129 nurse educators teaching in 61 schools of nursing to find out what personal decisions influenced their retirement plans. With a 37.6% response rate, results reflected that the mean age of planned retirement was 64.4 years. However, the mean age respondents would like to retire was 62.4. Factors influencing retirement included workplace issues, personal and family health, attitudes about retirement, and financial security. One of the most important factors influencing retirement plans was financial security. Faculty members who were financially secure retired earlier. Job satisfaction was another important influencing factor resulting in early retirement. In lieu of the faculty shortage, the authors contend that studies such as this will offer insight into future retirement trends which may help bridge the gap between supply and the demand of nurse educators (Kowalski et al., 2006). From the results of this one study it may be important to consider the needs of the aging faculty by providing healthy, satisfying, and stimulating work environments, appropriate benefits packages, and relaxing mandatory retirement ages. One serious factor contributing to the faculty shortage is financial. Not only are academic salaries much lower than they are for clinical practice and administrative positions of advanced practice nurses, but the cost of securing advanced academic degrees is costly. In 2004, the average salary of a master’s-prepared nurse practitioner in a clinical setting was $80,697 compared to $60,831 for that of a master’s-prepared nursing faculty member (Nevada Nurses Association, 2004). By increasing academic salaries and providing tuition allowances in return for teaching will indeed make teaching a more attractive career choice (Yordy, 2006). Another important factor affecting the faculty shortage is that of job satisfaction, stress, and burnout. To maintain current faculty on the job, more research should be conducted on factors affecting job satisfaction and what works to provide a better environment. Gormley (2003) performed a meta-analysis study on nursing faculty job satisfaction and which factors had the greatest influence using a sample of six studies from 1976 and 1996. Nursing faculty are pressured not only to educate future nurses to provide safe and competent care, but also have many other professional responsibilities, such as publishing, conducting research, writing grants, performing community service, and maintaining their own competencies (Gormley, 2003). These responsibilities combined can become overwhelming and lead to job dissatisfaction especially as the faculty is aging. In Gormley’s study (2003), factors that affected job satisfaction were perception/expectation of the leader’s role in curriculum and instruction, suggesting that the dean’s role has significant effects on faculty’s job satisfaction and role conflict/ambiguity. Shirey (2006) argues that prolonged stress can lead to burn-out in many faculty who then become â€Å"deadwood,† jeopardizing the quality and spirit of the institution. These faculty members can ward off potential new faculty who are even more vulnerable to the stresses of the teaching role. It is imperative that academic institutions pay close attention to the needs of their faculty. Mentoring programs, self-renewal, and organizational engagement are key strategies to prevent burnout (Shirey, 2006). â€Å"A carefully structured and deliberate mentoring program can be an invaluable orientation as schools of nursing seek to provide an academic environment that is conducive to the professional and scholarly development of adjunct faculty members† (Peters & Boylston, 2006, p. 64). One serious factor contributing to the faculty shortage is financial. Not only are academic salaries much lower than they are for clinical practice and administrative positions of advanced practice nurses, but the cost of securing advanced academic degrees is costly. In 2004, the average salary of a master’s-prepared nurse practitioner in a clinical setting was $80,697 compared to $60,831 for that of a master’s-prepared nursing faculty member (Nevada Nurses Association, 2004). By increasing academic salaries and providing tuition allowances in return for teaching will indeed make teaching a more attractive career choice (Yordy, 2006). Program Analysis Possible Solutions For sustained change and assurance of evading the forthcoming shortage, solutions must be developed in several areas: education, health care systems, policy and regulations, and image. This shortage is not exclusively a nursing issue, but will require a collaborative effort among nursing leaders, practitioners, health care executives, government, and the media. Creating Cultures of Retention The American Nurses Association Magnet hospital program has had a proven success in raising the standards of nursing practice and improving patient outcomes. Currently there are 85 organizations that are designated Magnet hospitals. Magnet facilities are characterized by strong administrative support, adequate nurse staffing, strong communication, nurse autonomy, better control, and a vital focus on the patient and their family. A growing body of research indicates that this program is making a positive difference for nurses, patients, and the hospitals as a whole. Research is proving that through this program, nurses are having increased satisfaction as well as increased perceptions of productivity and the quality of care given. Studies also indicate that these facilities have lower incidence of needle stick injuries, lower burn out rates, and double the retention of non-Magnet facilities. By adopting the characteristics of Magnet hospitals, facilities will be able to create a culture of retention that empowers and is respectful of nursing staff. Strengthening the Infrastructure In 2002 the Nursing Reinvestment Act was signed by President Bush to address the problem of our nation’s nursing shortage. This initiative was intended to promote people to enter and remain in nursing careers, thus reducing the growing shortage. The law establishes scholarships, loan repayments, public service announcements, retention grants, career ladders, and grants for nursing faculty. Many statewide initiatives are underway to address this issue as well. In Pennsylvania, six new nursing education initiatives have been announced to address faculty shortage by encouraging current nurses to return to school, earn graduate degrees, and teach the next generation of nurses. Illinois is unveiling a plan to provide faculty scholarships and grants to nursing schools in order to expand student enrollment. California, whose nursing programs currently have wait lists over three years, is trying to expand nursing education through a $90 million initiative.

Sunday, September 15, 2019

Causes of the Dust Bowl Essay

One of the most devastating environmental crises that occurred in the United States was the Dust Bowl. The Dust Bowl began shortly after the Great Depression began in 1929 and lasted throughout the 1930’s. It affected everyone, farmers and consumers alike, in its path negatively. The Dust Bowl of the 1930’s was caused by four major factors: drought, climate misconception, poor land management, and most importantly, wind erosion. The first of the four major factors is drought. During the Dust Bowl and the 1930’s there were four major periods of drought. The first lasted from 1930 to 1931, the second occurred in 1934, the third in 1936, and the last period of drought lasted from 1939 to 1940. The Great Plains had experienced periods of drought before and no major problems had occurred, so the main problem was that the farmers did not have enough time in between the periods of drought to recover because they were so close together. Another issue was that the droughts occurred at the same time as the economic downfall known as the Great Depression. This meant the farmers did not have the money to spend to help their crops. Also, many farmers simply believed that the droughts would end and that the rains would come soon as they had many other times in the 1900’s (Drought). Climate misconception played a large role in the creation of the Dust Bowl as well. The misconceptions about the climate and the annual rainfall in the Great Plains first began in the nineteenth century when people first began to settle in the area. Many of these settlers believed that they would always get enough rain to grow healthy crops because they settled on the land during years with abnormally high amounts of rain. Another reason people believed that the land would always be good to farm is because they were fed propaganda by railroad companies and land boosters. Even though there were several periods of drought that occurred before the 1930’s and the Dust Bowl, people were encouraged by the rains that always came soon after. The farmers’ misconceptions of the climate and annual rainfall also affected the way they farmed the land (Causes). Poor land management is one of the two most important causes of the Dust Bowl. The farmers were not able to manage their land well because they were not aware of the different techniques they should have used on their farms in the Plains. One of the techniques that the farmers should have used was crop rotation. Crop rotation would have been a great help in keeping their soil in larger clumps, whereas when the farmers repeatedly planted wheat in the soil, the nutrients were used up and were not replenished. This caused the soil to break up into a dust-like consistency that made the soil easier to be swept away by the winds. Farmers also should have had a year round ground cover on the soil to prevent the wind from sweeping it away, but the farmers were not aware of the heightened risk of wind erosion because they had not had to deal with it in the past. The last technique that the farmers should have used to help manage their land is known as shelter belting. Shelter belting is the process of planting trees and bushes in order to slow and block the winds that blew across the otherwise flat ground of the Great Plains. Another issue with the way the farmers managed their land was that they switched from the lister (a type of plow commonly used by farmers in the 1900’s) to the one way disk plow. The one way disk plow was favored by the farmers because it made plowing the field easier and much faster, but the downside to the new invention was that it left the soil even more susceptible to wind erosion (The Dust Bowl). The last factor that contributed to the Dust Bowl is wind erosion. Wind erosion is considered to be the most important and the most preventable cause of the environmental crises. It has since been proven that the size of the farm is directly related to the amount of wind erosion that will occur on the land. Experts say that the smaller the farm is the more wind erosion there will be on the land because larger farms are necessary to finance and benefit from erosion control. Small farmers on the other hand need to cultivate more of their land more intensely and they usually do not earn enough money to be able to spend anything on soil conservation. Many historians and researchers blame the overabundance of small farmers who did not participate in erosion control for the extent of the wind erosion during the 1930’s and they blame the Homestead Act of 1862 for bringing these farmers to the Plains. The Homestead Act gave away hundreds of thousands of  land plots that ranged from about 160 acres to about 320 acres even though agricultural experts recommended that the farms should be about 700 acres to 1200 acres to minimize wind erosion. The farmers that moved onto the land that was given away were the kind of farmers that did not implement the soil conservation tactics that were necessary to prevent the Dust Bowl in the Great Plains (Wind Erosion). In conclusion, drought, climate misconceptions, poor land management, and wind erosion were the four main causes of the agricultural tragedy of the 1930’s. These four factors came together at the beginning of the 1930’s to create what is now known as the Dust Bowl which lasted until the end of the decade. Thankfully, an environmental crisis like this has never taken place again in the United States and thanks to the organizations founded after the Dust Bowl, such as the Soil Conservation Service, our generation and the generations that follow will not have to live through the hardships that another Dust Bowl would cause.

Saturday, September 14, 2019

Bianca & skill

Although after three months of total immersion of a language, most people should show significant progress, Bianca’s lack of progress does not necessarily mean she has a learning disability. There are a number of possible causes for her lack of progress and a learning disability is only one of them. In Bianca’s specific case, her history should be considered. She was orphaned due to a tragic event and traumatized.This life event at the age of five, the time when reading often begins, could significantly affect her rate of developing reading skills without factoring in the second language. An additional social factor that could affect Bianca’s language and reading acquisition skills could be her recent adoption and move to a new country and environment. Anyone would have some difficulty adjusting to a new family, home, culture and language at the same time.It would undoubtedly be more difficult for a traumatized eight-year-old to adapt to and thrive in a short amo unt of time. The adoptive parents have legitimate concerns about how extensive testing for a specific learning disability during her adjustment to her new life could cause additional trauma. If, however, Bianca does have a learning disability, it would be important to find this out and treat her accordingly. The teacher could do some basic observations in order to get an idea about possible learning disabilities.It would be important to observe her development in other areas such as motor, social, and cognitive. If she is delayed in other developmental areas, the problem could easily be due to her trauma and adjustment. In spite of the school total immersion policy, a few age-level books should be acquired for her in her native language. By listening to her read in her native language a teacher could determine if she struggled in the language she understood as well as she did in English.The teacher could recognize a struggling reader even if she is not familiar with the language. If Bianca reads well in her native language the problem is probably not a learning disability, and the best assistance in her development would be time and attention dedicated to her. If Bianca is discovered to have significant difficulty in her native language, it would warrant the need for additional testing to determine if the problems are due to a learning disability and if a way can be found to help her overcome it.If she does have an actual learning disability, the earlier intervention can be found, the better her chances of effectively developing new language and reading skills. Bianca is a unique child, who should not be caught up in a standard school policy of total immersion. She might require some special attention due to her traumatic past and extensive changes. Some of this special attention could involve some translation and allowing her to do some of her work in her native language in order to help her catch up to her grade level.