Introduction and Description Conducting an efficient energy costs policy and maintaining careful balance between the sufficient services for the customers and the reasonable use of the electricity sources is one of the strongholds of the efficient hotel businesses, which is a commonly known fact. With the help of the reasonable use of electricity and the avoidance of wasting the natural resources, any hotel is bound to thrive and at the same time adhere to the environmentally friendly style of regulating business affairs, as Chon
SAP/R3 ERP Essay college application essay help: college application essay help
Table of Contents Introduction
Merits of Data warehousing
SAP R/3 Overview
Companies using SAP R/3 solutions
Introduction This report gives a brief definition of data warehousing and further explains the benefits that organization gain by using this technology towards strengthening and shaping their businesses’ competitive edge.
Additionally, the report gives a detailed overview of SAP/R3 ERP solution and points out some of the companies which are using this solution.
Data warehousing Data warehousing is a term which is refer to a massive database acting as a centralized depository of data emanating or originating from different departments in an organization (Ponniah, 2001, p.19).
Merits of Data warehousing Many organizations have used colossal sums of money in implementing data warehouse solutions. These huge sums of money are not spent in vein; there are many benefits that accrue from adopting data warehousing solutions.
The first fundamental benefit that this solution offers to an organization is that it facilitates business executives to formulate incisive decisions (Ponniah, 2001, p.4).
Data warehousing comes with the creation of a central depository data base. Easy access to centralized organizational information is important because it allows decision makers to view an organization as a whole rather than from the angle of departments.
The second benefit of data warehousing is that data in the warehouse can be modeled in the form that speeds up the generation of reports (Ponniah, 2001, p. 91). Data warehousing creates an environment where companies can exercise the use of data models.
Get your 100% original paper on any topic done in as little as 3 hours Learn More Data modeling is important as the models can be used towards easy analysis of situations even when the task to be done is demanding and difficult for processing.
Thirdly, data warehousing helps simplify data management operations in an organization. Data warehousing offers an opportunity for the organization to store and retrieve data in a relatively simple manner instead of employing complex and challenging methods.
Data can be accessed simply by typing simple commands on a panel then the system communicates back with the desired information (Ponniah 2001, p.49). Users can therefore comfortably use queries to look for kind of information they want at any time.
SAP R/3 Overview SAP is an example of Enterprise Resource Planning (ERP). SAP R/3 is a business solution which has transformed the manner in which modern organization carry out their businesses.
SAP R/3 is a solution which facilitates the integration of an organization’s departmental functions to a single computer unit which can in turn serve all available computers in different departments within an organization (Leon 2007, p. 90).
SAP solutions can help integrate operations in the Human resources, Finance, Manufacturing, warehousing and all the other departments in an organization (Leon 2007, p. 91). The SAP solution involves the use of a packaged program or software which has been tailored for an organization and its modules facilitate interfacing with the organizations own program with less complexity.
Depending on an organization’s needs, SAP program modules can be altered by the use of vendors programming language or correct proprietary tools.
We will write a custom Essay on SAP/R3 ERP specifically for you! Get your first paper with 15% OFF Learn More Because of its integration ability with other programs, The SAP provides a centralized database to cover all the organizations departments facilitating easier sharing of information and communication within the departments in an organization.
The benefits of using an ERP solution in a corporate entity are numerous. An ERP solution like SAP helps in facilitating faster processing of information thereby reducing paperwork operations; SAP functions in a simple way (DWAA, 2006). It has some internal embedded controls in its operations.
With internal checks and controls, SAP solution makes the preparation of accounts and other financial documents easier and fast. It is very simple to generate account statements at the end of every accounting period. A SAP solution has features that enable it to support various languages and currencies (Williams 2008, p. 3).
Further, SAP systems or solutions are tailored in a way that it supports international accounting and reporting standards e.g. flexibility to accommodate currency conversions, broad accounting standards and languages (Williams, 2008, p. 23).
Financial SAP has various features and functions that enable organization achieve its financial management goals (Sap: Australia and New Zealand, 2010).
Conclusively, SAP helps organizations to have an upper hand over their competitors by enabling fast adaptation to changes in the market and business environment. In the human resource department, SAP ensures that there is a continuous flow of Information related to an organization’s personnel.
When such information is received by the HR department, it facilitates employee evaluations and manpower planning (Portougal, 2006, p. 132). Human resource related evaluations help organizations in establishing skill and knowledge needs as well as attitude related gaps or issues that have to be addressed.
The collection of such information is important for employees as it is instrumentally applied to encourage improvement of working conditions within the organization (Portougal, 2006, p. 167). However the disadvantage of the SAP R/3 solution is that it requires large volumes and high investments in terms of money and time.
Not sure if you can write a paper on SAP/R3 ERP by yourself? We can help you for only $16.05 $11/page Learn More Companies using SAP R/3 solutions TransAlta is a wholesale marketing and power generating company. It has 49 facilities based in Australia, Canada, USA and Mexico (Transalta, 2010). Prior to introduction of SAP solution, the TransAlta Company was using Reliability Centered Maintenance this solution was localized at different locations by the use of point solution.
TransAlta wanted an Enterprise-wide system which would offer strategy development and provide understanding of vital assets, monitor overall risk in the organization and give optimized operations concerning maintenance costs.
The implementation of the SAP solution involved integrating the existing Reliability Centered Maintenance (RCM) to facilitate wide accessibility (Transalta, 2010). The RCM enabled creation of a central database for all RCM that can be standardized across a uniformed platform hence providing optimized maintenance.
The implementation of the solution has enhanced success in fleet management because information is dispersed a centralized depository allowing easier communication and accessibility. The RCM solution has motivated staff to work everyday in SAP and thus the company can push the RCM methodology and cultivate it deeper within the organization.
Cole Meyers is a private sector company which is located In Australia. It has over 160,000 employees in its distributed branches (Turner, 2002). Cole Myer has invested heavily in IT services and has been known to purchase large IT services and Software solutions in order to remain relevant in current competitive business world.
Coles Myers worked closely with PricewaterhouseCoopers to deploy SAP solution in its Business operations. Cole Myer business was already automated with industry based bar-coding technology for inventory management and stock control. Cole Meyer needed a solution which would help them handle and manage their financial flow.
The Company felt confident in fully integrating SAP solution into their financial management. The implementation of SAP took two years and it was broken down into manageable phases to facilitate concise performance (Turner, 2002).
The Supply Chain Visibility was followed and this enabled members to monitor what other members did in a real time. The Supply Chain Visibility also provided a mechanism in real time notifying a problem elsewhere within supply chain that would have effect on them.
Although the management and the board were apprehensive about the solution, they later came to analyze its effectiveness noticing how it lowered down costs and time thus enabling timely production of reports in real time.
The Australian post is a postal company located in Australia. Through their products, people and services they provide, the Australian post has remarkably facilitated life and business growth across Australia and the world.
The Implementation of the SAP solution in the company involved a number of things. It involved ERP system upgrades to meet the standard required for the new technology, there was hardware upgrade to have a new operational environment; IBM P- series hardware’s were purchased (The Australian, 2010).
SAP Financial management application was implemented and supported 35,000 employees and additional 860 personnel in the IT department. The company felt confident in relying on the software giant because of the reputation and efficiency.
Conclusion Integration of business processes is the central aim or goal that guides towards adoption of data warehousing. Organizations benefit a lot from adopting data warehousing. By keeping or storing information in a central data base, information access and retrieval about any aspect of the organization is made easy.
The access to one central pool of information leads towards informed decision making. Therefore, Data warehousing facilitates towards better decision making in organizations.
The SAP solution, which is an ERP solution, has been applied in many organizations around the world and the results have been rewarding. This solution simplifies an organization’s data warehousing efforts.
References DWAA, 2006, Improving Data Quality for Enhanced Business Performance. Web.
Leon, A., 2007, Enterprise Resource Planning, McGraw-Hill, New York.
Ponniah, P., 2001, Data Warehousing Fundamentals: a Comprehensive Guide for IT Professionals, John Wiley and Sons, New York.
Portougal, V., Sundaram, D., 2006, Business Processes: Operational Solutions for SAP Implementation, Idea Group Inc (IGI), Pennsylvania.
Sap: Australia and New Zealand, 2010. Web.
The Australian, 2010, Australian IT. Web.
Transalta, 2010, TransAlta Case Study. Web.
Turner, A., 2002, Coles Myer- the Sharing, Caring Approach. Web.
Williams, G., C., 2008, Implementing SAP ERP Sales
Crazy Egg: The Value of CLV college essay help online
Based on the attached article, please answer the following questions:
1. How often would you recommend calculating CLV scores? Monthly, yearly, etc.? Please explain your decision; it could vary by type of industry such as package goods or hospitality.
2. In addition to the variables listed in the article in the “Formula” section, suggest three additional variables for each of the following industries you might consider for CLV calculations; please explain your choices.
c. Restaurant chain
3. The article lists “9 Ways to Increase Your Customer Lifetime Value”. Which of the recommendations would CLV have the biggest impact on? Please explain your selection.
Project time horizon and budget Essay college application essay help: college application essay help
As stated earlier, the project will require approximately $50 million for completion. The following is a breakdown of the requirements; Legal requirements will cost 2.5 million. The project will involve a number of insurers, hospitals, physicians, government representatives and IT professionals; therefore, the project budget should meet all their legal interests. Additionally, instatement of the project will require legal checks and confirmations. Payments to staff will cost $12.5 million.
The remaining $35 million will finance EHR implementation. Software licences will account for $1.05 million of the budget. The system build will depend on the vendors, but it may costs approximately $13.3 million. The implementation process will require interfaces for converting previous systems to new systems.
The interfaces will cost $2.1 million. Data conversion, which involves abstracting and inputting the EHR to include patient visits and other details, will cost $2.45 million. The EHR project will require a series of equipment such as furniture, printers, workstations, network and communications equipment, server hardware, and PC equipment.
All these materials will cost approximately $ 2.1 million. For the system to work physicians will require support through income support (as they will not be earning money when implementing the EHR) as well through technical support such as additional staff; this will account for $ 1.05 million. Once the system goes live, project managers ought to prepare physicians through end user training.
Trainers, facilities and materials for this aspect will cost $ 3.85 million. After the system has gone live, participating hospitals will record dwindling income in the first few months. They will need compensation through a revenue protection provision in the budget that will amount to $ 6.3 million. Lastly, the system should be protected from possible disasters or unexpected delays through a contingency amount of 2.8 Million (Tonnesen et al., 1999).
Shown is a summary of this budget in tabular form
Expenditure Amount in dollars Legal fees 2.5 million Staff and overhead 12.5 million System build 13.3 million Interfaces 2.1 million Data conversion 2.45 million Workstation, PCs, printers, furniture, network infrastructure 2.1 million Physician advisory resources 1.05 million Revenue protection 6.23 million End user training and support in the go-live phase 3.85 million Contingency 2.8 million Software licences 1.05 million Total 50 Million Time horizon
This project will last for a period of 4 years. The needs analysis phase will last for 8 months. Choosing the right project goals and participants should take up ample time (Newell
British Colonialism in Malaysia and its Effects on Modern Malaysia Essay scholarship essay help
Table of Contents Introduction
The History of the British Rule in Malaysia
How the British Rule has affected Malaysia
Introduction Malaysia is among the countries that were under the colonial rule for long period of time and the effects of this are still felt to this day. Before the Second World War came to an end and the coming up of nationalism, the superpower countries engaged in liberating the African and Asian nations, “imposing their law, transporting immigrants and suppressing local demand for control of the economy” (“What colonialism has done to us, Malaysia” para1).
Therefore, for a large number of years’ doings, the adverse effects of the colonial rule are still being felt. In the Malaysian situation, what is now a clear effect of the British colonial rule is the existence of a racial population. In this paper, a brief history of the colonial rule Malaysia is going to be given and the effects of this rule on the modern Malaysia are also going to be discussed.
The History of the British Rule in Malaysia Towards the end of the 18th century, the British India Company traded with India and also partly controlled it. During that period, they started searching for a base in Malaya. The British occupied Penang in the year 1786 and at the same time founded Georgetown. The British were under Francis Light.
A short time thereafter, in the year 1800, the British took the Province Wellesley. Later in the year 1819, a British trading post was founded at Singapore by Sir Stamford Raffles. The British and the Dutch divided between themselves this region and this was on the basis of the “treaty of London, 1824”. The Dutch gave up Melaka to the British and they were offered control of Sumatra in return together with the entire area that was below the “Malaya Peninsula” (Lambert, para 19).
The Straits Settlements, “Penang, Province Wellesley, Melaka, and Singapore” (Lambert, para 21), expanded quickly and this was partly because of the influx of the Indian as well as Chinese laborers. By the year 1860, the number of people in Singapore had increased to more than eighty thousand.
But even if the “British East India Company” took control of the islands and some parts of the coast, they did not have control over the “interior of the Malaya peninsula” (Lambert, para 21). Moreover, up until the year 1867, the British East India Company” was in charge of controlling the Straits Settlements but did not control the British government. However, in the year 1867, “they were made a crown colony”( Lambert, para 21).
Sarawak came under British control in 1841. Earlier on, in the year 1840, James Brooke assisted the ‘Sultan of Brunel’ in the crushing of a rebellion. In return, he was offered a territory to control and was also given the title of “Raja of Sarawak” (Lambert, para 23). In the year 1853, the territory of James Brooke was made bigger. In the meantime, there was invasion of Kedah by Siam, currently referred to as Thailand, in 1841.
Get your 100% original paper on any topic done in as little as 3 hours Learn More The Sultan was deposed. Rebellions against the Siamese rule came up during the period between the years 1830 and 1831 and also in 1838 and 184. There was restoring of the Sultan in 1841 but nothing happened on Kedah and it remained to be a “vassal state of Siam” (Lambert, para 24).
A new move was taken by the British government in the year 1863 in which they put a stop on imposing duty on tin imports. Consequently, the tin exports that came from Malaya to Britain increased tremendously. The Chinese people came in large numbers to find jobs in the plantations and in the tin mines of Malaya.
In the year 1871, however, the death of the Sultan of Perak occurred and a quarrel came up over the issue of which person to succeed him. In addition, the secret societies of China engaged in a fight over who should take control of the tin mines. The chaos interfered with the tin exports to Britain. Therefore, “one man who claimed he was the rightful heir to the Sultan, Raja Abdulla, made an agreement with the British”( Lambert, para 27).
The agreement was referred to as the “Pangkor Agreement” (Lambert, para 27). Raja Abdulla was recognized by the British people as being the Sultan of Perak. As a reward he accepted to have a British advisor at his court “who would advice him on all matters except those concerning Malayan religion and customs” (Lambert, para 28).
The British restricted themselves to trade and did not got involved in the politics of Malaya up to the year 1874. “The treaty of Pangkor marked the beginning of British political control of Malaya” (Lambert, para 29). The British influence over Malaya grew gradually. More states which included “Selangor, Pahang, Ujong, Rembau, Negr Sembilan and Jeleb were forced to accept British protection”(Lambert, para 29). These states were urged to make a federation in the year 1895.
In the meantime, in 1888, “Brunei, Sarawak, and North Borneo became the British protectorates” (Lambert, para 30). In the course of the initial years of the 20th century, there was extending of the British influence over the Malaya states in the north. These states included Trengganu, Kedah and Kalantan. These states were officially included in the British Malaya. Later in 1914, Johor also was absorbed in the British rule.
At the beginning of the 20th century, a new industry emerged in Malaya-rubber. This industry really boomed. The tin industry also went on booming. At that time, the oil industry emerged in Singapore. In the course of the 1920s, the economy of Malaya was successful but this trend changed in the course of the 1930s following the economic depression leading to the falling of the exports.
We will write a custom Essay on British Colonialism in Malaysia and its Effects on Modern Malaysia specifically for you! Get your first paper with 15% OFF Learn More During the initial years of the 20th century while there was economic growth in Malaya, the Chinese flocked in Malaya to look for jobs and also to live there. However, there was restricting of immigration after 1930 and this restriction was aimed at trying and helping unemployment.
On the eighth day of December in the year 1941, there was invasion of Malay Peninsula by the Japanese who swiftly overran it. “The last British troops withdrew across the straits in to Singapore Island on 31 January 1942”( Lambert, para 32). There was invasion of Singapore by the Japanese on the eighth day of February in the year 1942. The last “British troops surrendered on 15 February 1942” (Lambert, para 32).
This was actually a “military calamity” for the British. In the meantime, there was also invasion of Borneo by the Japanese troops. These troops were able to capture Kuching on December 25th, 1941 and they also captured Jesselton on January 8th in 1942. In the course of the Japanese occupation, “the Chinese were treated the most harshly and the Indians were treated less harshly” (Lambert, para 33).
In the year 1944, the Japanese encountered defeat and the British government made a decision to bring all the Malayan states together apart from Singapore to form one unified state referred to as the Malayan Union. Following this move, there was intense opposition and the plan was eventually scrapped. In its place, there was formation of the “federation of Malaya” on the 1st day of February 1948.
In the meantime, there was emerging of Malayan nationalism. The first Malayan organization to be formed was the “Kesatuan Melayu Singapuru, or Singapore Malayan Union, which was formed in 1926” (Lambert, para 34). Thereafter, there was formation of more organizations at a faster rate. In the year 1946, the Malayan organizations came together to make up the “Pertuuhan Kebangsaan Melayu Bersatu, the United Malays National organization” (Lambert, para 34).
There was formation of the “Malayan Communist Party” in 1930. The attacks on the European estate managers started in 1948. Consequently, there was introducing of the state of emergency by the government. However, communist activity declined after 1949 when the British parliament promised independence”( Lambert, para 35). The insurgence went on for several years but it was not more of a threat. The “communist activity” rose once more in the course of the mid-1970s but went down again.
There was formation of the “Reid Commission” in 1955 with an intention of making a constitution for Malaya. Independence was attained by Malaya on the 31st day of August, 1957. Tunku Abdul Rahan became the first prime minister of Malaya and he was in office from 1957 up to the year 1970. In the year 1963, “Singapore, Sarawak and Sabah joined to form the Federation of Malaysia” (Lambert, para 35) but two year later, in 1965, Singapore turned out to be a separate state.
In the course of the 1960s, tension arose between the Malays and those who were not Malays and this resulted in to violence and election being held in 1969. However, calm was slowly restored and there was reconvening of parliament in the year 1971. The government of Malaysia came up with a new economic policy which turned out to be considerably successful. In the course of the 1970s, 80s and 90s, Malaysia transformed from being an agricultural nation that is poor to an industrial rich nation.
Not sure if you can write a paper on British Colonialism in Malaysia and its Effects on Modern Malaysia by yourself? We can help you for only $16.05 $11/page Learn More was dramatic rising of the living standards of the people of Malaysia. In 1991, “the new economic policy was replaced by a new development policy” (Lambert, para 37). The 2009 recession had an effect on the economy of Malaysia but it did not take long before this nation recovered from this. In the current day, Malaysia is a very successful nation and has a population of about 28 million people.
How the British Rule has affected Malaysia According to Jamil, “ethnic composition is the key to understanding the whole picture of Malaysian economic, political and social patterns” (Jamil 1). It is also pointed out that in fact everything economic, social and political in Malaysia is “dominated by the considerations of ethnic arithmetic” (Milne, 19). This concept gives a designation of the economic, social and political arrangements and has assisted in shaping the constitution and has also had an influence on the democratic process as well as the party system (Ratnam, 1).
The current different ethnic identities in the society of Malaysia have as well had an effect on the state formation and policy agendas and particularly, the education system. This condition has “drawn the state in to the role of mediating and managing enter-ethnic issues arising from contestation among major ethnic groups for sharing economic, political power and cultural space” (Jamil 1).
Before the start of the 20th century, Malaysia was homogeneous. This society was a singular one formed by the Malays who are the indigenous people. In the year 1880, the Malays formed about 90 percent of the total population in Peninsular Malaysia (Gullick 197). In the course of the British rule, there was substantial change of the population of Malaysia.
“The British through their policy of encouraging migration, especially from China to India, changed the nature of this relatively ethnical homogenous society to a more pluralistic society” (Jamil 2). Therefore, this changed the society of Malaysia from being a greatly “mono-ethnic” society to a “multi-ethnic” society.
Basing on the 2000 Census, the total number of people in Malaysia was about 23 million and out of this population, the Malaysian citizens form 95 percent. Among these citizens, the indigenous people formed by the Malays and other indigenous groups form more than 66 percent of the total population, the Chinese form about 27 percent and the Indian form over 7 percent (Malaysia 1).
Ratnam points out that “there is no cultural homogeneity in Malaysian society with each ethnic group having their own religion, language, culture and customs” (Ratnam 2). For instance, the language of the Malays is the Malay language which is another strong factor in holding the Malays together. There is no doubt that language is a significant rallying point for the Malays, and “it has been one of the most sensitive issues in Malaysian politics” (Jamil 3).
The second largest group is the Chinese people who are held together by a common heritage and culture. This community makes use of several dialects and they include Mandarin, Hokkien, Cantonese and Hakka. Although these Chinese groups belong to separate linguistic groups, for the purpose of writing and education, they use Mandarin.
The third largest group is the Indians. This people are “largely South Indian Tamils, constituting 85 percent of the total Indian population in Malaysia” (Santhiram, 77). Indian community in Malaysia speak the Tamil language. These varied ethnic identities have constituted a multi-ethnic or pluralistic nature in Malaysian society” (Jamil 3).
The British colonialists as well produced an “artificial occupational segregation” basing on the ethnic lines. The Malays were put in Agriculture, the Indians worked on plantations and the Chinese were put in commerce. This move reinforced “a sense of enter-ethnic divisions, economic imbalance, and therefore prohibited any kind of solidarity between these major ethnic groups” (Stockwell 60).
According to Boon, the actual reason for the “racist ideology” was “of course a British strategy to divide and rule”. There was tolerating of the Chinese merchants by the British and they were used as middlemen. But “British capital wanted to keep them away from direct political power” (Boon para 19).
For the reason that the Malay Sultans seemed to engage in spending well beyond their incomes, it did not take long before they were in debt to Chinese bankers and following this, they turned out to be dependent.
In order to counteract “Chinese capitalist political aspirations, the British leaned on the Malay feudal lords and allowed them virtual monopoly of positions in the police and local military units, as well as majority of those administrative position open to non-Europeans” (Boon para 20). Even if these positions did not just have minimum power, they as well offered them the vital prestige.
The educational policies that were put in place by the British colonialists also segregated the various ethnic groups, offering very minimal public education to the Malays. As on one hand the Chinese people set up their own schools and imported the teachers from their country, on the other hand, the colonial government engaged in fostering education for the Malays.
The Malay peasants lived in misery. “The agricultural rights of the indigenous Malays were protected by law to soothe them against colonial dominion” (Boon para 22). However, in the actual sense, Malay peasants were given encouragement to plant rice for the local consumption, as they had been doing before, but they were not allowed to grow rubber which was a most profitable crop set aside for the Chinese commercial famers.
Under the British colonial rule, with the influx of big immigrant communities, a description is given by Furnival of the existing society as ‘a unit of disparate parts that mix but do not combine which each group holds its own religion, its own culture and language, its own ideas and ways” (Furnival 313). Following this, there is relative lack of “consensus values” with relative “autonomy for the separate parts of the social system, resulting in tension and ethnic conflict” (Chan 20).
Because the Malaysian social-economic structure before independence and also after independence is divided basing on the ethnic lines, it is not a big surprise to realize that “politics, responding to this realty, is also organized on this basis” (Jamil 3). In this regard, the practice of the “ethnic-based political parties” serves to reinforce the difference of the many ethnic communities of Malaysia.
In essence, a larger number of the political parties in the Malaysian society were just pressure groups looking for privileges as well as advantages for thie members who are ethnically oriented (Saad 59). Most of the time, they serve as a mediator of the ethnic interests as well as ethnic symbols. To this day, the ethnic differences “have been given a political dimension; thus education issues are also being structured and debated around ethnicity dimensions” (Jamil 4).
Conclusion The effects of British colonialism are still felt in Malaysia up to this day. Originally, the Malaysian society was a homogenous one, consisting mostly of the Malays. However, with the coming of the British; the Chinese and Indians came in to look for work. The Chinese, Indians and Malays were divided and were not allowed to come together. They worked in different section basing on the race to which they belonged. This ethnical divide is still there to this day. Politics and other issues in this country are also organized on the ethnic lines.
Works Cited Boon, Bruce. Malaysia: 50 years of independence – colonialism at the root of national question. International Marxist tendency, 31 august 2007. Web. .
Chan, Chai. Planning education for plural society. Paris: Unesco, IIEP, 1971.
Furnival, John Sydenham. Colonial policy and practice: A comparative study of Burma and Netherlands India. Cambridge: Cambridge University press, 1948.
Gullick, John. Malaysia. London: Ernest Benn Ltd, 1969.
Lambert, Tim. A short history of Malaysia. Localhistories.org, 2011. Web. .
“Malaysia”. Press statement, population distribution and basic demographic characteristic report. Kuala Lumpur: Department of Statistics.
Milne, Robert. Government and politics in Malaysia. Boston: Oughton Mifflin Co., 1967.
Ratnam, Kanagaratnam Jeya. Communalism and political process in Malaya. Singapore: The University of Malaya Press, 1965.
Saad, Ibrahim. The impact of national language medium schools on attitudes related to national integration in Peninsula Malaysia. PhD Thesis (Unpublished). University of Wisconsin-Madison, U.S.A, 1979.
Santhiram, Robert. Education of minorities: The case of Indians in Malaysia. New York: Child information and Development Center, 1999.
Stockwell, Jacob. “The White man’s burden and brown humanity: Colonialism and ethnicity in British Malays”. Southeast Asian Journal of Social Science 10.1 (1982): 59 -62.
“What colonialism has done to us, Malaysia”. WordPress.com. wordpress, 13 October 2008. Web.
assignment one does not have to be long Think of a job that you have done in your life that you really enjoyed. Now also think of a job that you did that you hated going to work. Now with both the job best college essay help
Now also think of a job that you did that you hated going to work. Now with both the job you loved and the one you hated, what were the levels of competence, self-determination, impact, and meaningfulness that you felt in each job?
1. Compare the two lists. What do you see?
2. Do certain types of jobs automatically lead to lower motivation over time? Why, or why not?
(the job i really enjoyed was being a direct support staff and the job i hated was Mcdonalds )
2- Discuss way in which team cohesion cab contribute to the overall team effectiveness. What questions would you as to determine whether a team was suffering from too much cohesion?
Arthur Anderson LLP Essay (Critical Writing) college essay help near me: college essay help near me
Table of Contents Business Model
The Pros and Cons of the Entire Debacle
Business Model Many conscientious and assiduous business professionals presuppose that success is determined principally by their capacity to offer products and services, meet customer demands and requirements, and run their operations using effective and efficient techniques.
However, in today’s dynamic, networked, and ever changing business environment, the business model has become a central tool of trade since it is inseparable from the product, process and operational approaches of a business enterprise in shaping how success is realized (Chesbrough, 2006, p. 18).
More often than not, the difference between success and failure is thinly veiled in the type of business model adopted by an organization.
Before its uneventful entry into questionable deals and fraud charges, Arthur Anderson LLP’s business model revolved around the concept of ‘thinking straight and talking straight,’ as proposed by its founder, Arthur Andersen (Smith
Neolithic pottery and art Culture Term Paper college essay help
Introduction The Neolithic period is one of the most fascinating periods in the Chinese history; a period believed to have started in 10,000 B.C. and came to an end eight thousand years later. This period was characterized by a population, which solely depended on crop and domestic animal farming as opposed to gathering and hunting as considered as common ancient economic activities.
Like in other parts of the world, Chinese Neolithic inhabitants preferred occupying regions along rivers and lakes for easy access of water, which was a major family need. Of great significance is the Chinese artistic tradition that has its core traces in the middle of the Neolithic group (The Metropolitan Museum of Art 1).
There are groups of artifacts which prove the existence of the tradition. This paper analyses, pottery culture during the Neolithic culture with special emphasis on some of the social reasons which prompted the development of the culture. Additionally, several images have been compared with a thorough discussion of the social importance of certain artifacts within the historical environment.
Categories of artifacts As mentioned above, Chinese artistic tradition was divided into two categories. The first group was the painted pottery which was common along the Yellow River Basin that stretched to the northwestern part of China from Gansu province. Yangshao emerged in the central region while Machang, Banshan and Majiayao were witnessed in the northwest region (The Metropolitan Museum of Art 1).
Yangshao pottery was done using coils of clay, which were stuck together and smoothened into customized shapes and sizes. Pottery containers from graves were principally painted with red and black color to signify pain and mourning. It is believed that this practice depicts ancient use of brushes for several linear compositions among others.
The second category of Neolithic artifacts encompassed jade carvings and pottery originating from the eastern seaboard and the lower side of the Yangzi River towards the southern direction (Jiang and Liu 356). This representation included Hemedu, Liangzh, Dawenkou and Longshan. It is important to mention that Eastern China pottery was distinctively known for its unique shapes as compared to those from the central region, which mainly included the tripod that later remained significant during the Bronze Age.
Even though some paintings from the eastern region were painted as part of decorations, those from the coast mainly utilized burnings and technical incising. Notably, the craftsmen of the Neolithic period in China have been recognized throughout history for their invention of the Wheel (The Metropolitan Museum of Art 1).
Get your 100% original paper on any topic done in as little as 3 hours Learn More Another important aspect of Chinese culture during this period was the use of jade among potters. This made lifetime contributions into what was later known as Chinese civilization (Pryor 1). Stone was also commonly used in making designs among the Neolithic settlements. The best stones were always chosen depending on their strength and quality before being fashioned into desired items of value.
Nephrite, also known as “true jade”, was considered tough and strong by most craftsmen and was therefore frequently used than other stones in the region at that time. This was a common phenomenon in Zhejiang and Jiangsu especially towards the end of the Neolithic period (Pryor 1). An important feature of jade was its hardness, and proved tough during carving as it required a strong knife and always turned out to be laborious.
Incised decorations and glossy polished surfaces required high skills and extraordinary patience from craftsmen in order to realize outstanding good results. Archeological findings have always revealed the presence of jade in and commonly placed alongside privileged dead bodies before burial could take place.
Like other artifacts during the period, jade axes1 were symbolic and carried unique message for the public. Besides being used during burial, they also symbolized harsh punishment especially in cases where one was found guilty of a serious criminal offense. After carving of the axe, it was always fixed into a stick which served as the handle. It also denoted gaining of power by one person to lead others (Thorp and Vinograd 35). The significance of Jade axes tremendously evolved, making them to become symbols of social importance.
Regional pottery and art
As mentioned above, the Neolithic period saw the emergence of artifacts and designs which later became the foundation of the Bronze Age. These carvings and other forms of art were unique depending on the geographical location since different people valued art uniquely.
As a result, provinces and even villages identified themselves with certain designs with a few similarities being noted. Additionally, artifacts carried meaning that was easily communicated within the area of origin as different groups of people had customized interpretation and understanding of art as described below.
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Yangshao Village2 had a wide range of potteries during the Neolithic period with special focus on 4500 B.C. Most of its artifacts carried complicated designs even though one could easily consider them to be simple, with three distinctive categories being recognized. These included owl3, animal and lady figures (Thorp and Vinograd 47). Based on these groups, it suffices to mention that each artifact within a given class symbolized a certain aspect of people’s life.
Therefore, their presence always had unique interpretation by the people of that time. Although its meaning was not quite clear to many, owl images were common in the village and they took different shapes and designs as chosen by the artist. The design and most features of most owl images indicated the strength of the animal. Other people also believed that owl represented the messenger of some supernatural being that was beyond their knowledge and understanding.
On other occasions, they were used to imply the need for people to stay awake during the night for their own safety (Thorp and Vinograd 48). On the other hand, fish figures depicted the lifestyle of people at the moment as fishing was one of the economic activities of the time and a major source of food. The first owl image above denotes the strength of the animal from its strong wings and legs.
Being a core aspect of any community, fertility was also represented through art. Frog images were commonly used to denote this as they were designed with a human shape and artistic decorations. Common features included legs and the use of three to four colors as part of the final touches to make the figure more attractive. They were generally made by hand although they always had asymmetric shape (Thorp and Vinograd 50).
Another village which valued artistic images and figures was Dahe in Henan Province. People from this village expressed their ideas through figures also witnessed in other regions during this period. Axe, bird and fish figures were quite common and signified their daily lives in terms of economical aspect of living. Farming was a common practice together with fishing. The figures emphasized how their daily lives were shaped.
Not sure if you can write a paper on Neolithic pottery and art Culture by yourself? We can help you for only $16.05 $11/page Learn More Similarly, Xia Dynasty4 and Shang Dynasty valued pottery and their cultures. There were three subjects that were common and significant in these dynasties (Thorp and Vinograd 256). These were sky, earth and people. People from these dynasties believed that the earth produced rulers of the earth and the universe.
Their tombs were however characterized by several layers which implied the existence of numerous layers of the universe. Several figures were also recognized including the axe and Vassal among others, with each pottery denoting a specific meaning or aspect of their lives. Some of the images like gold seals were a symbol of wealth and material ability for the community and were common in tombs.
Conclusion From the above analysis of pottery and art culture during the Neolithic period, it is evident that most people of this age highly valued their culture pricelessly. Through expert skills and knowledge, they expressed their feelings, lifestyle and other aspects of life through artistic figures and decorations.
Of significance is the image of animals among their potteries (Kuijt 297). Common animals included owls and fish whose symbolic meaning revolved around the nature of their daily life and the existence of a supernatural being respectively. Social status was also represented by several artistic images like tombs with solid gold which always symbolized a sense of wealth and high social status.
Other elements of high standards of living included but not limited to golden horse, mirror, cosmetic containers and elegant dining ware. In general, Neolithic period significantly prepared people for the Bronze Age that was experienced later on. There were several artifacts which found way in this age, implying the importance of Neolithic period in Chinese history and Cultural Revolution.
Works Cited Jiang, Leping, and Liu Li. “New evidence for the origins of sedentism and rice domestication in the Lower Yangzi River, China.” Sedentism and rice domestication in South China 80 (2006): 355-361.
Kuijt, Ian. Life in Neolithic farming communities: social organization, identity, and differentiation. London: Springer, 2000. Print.
Pryor, Francis. “Overview: From Neolithic to Bronze Age, 8000 – 800 BC.” BBC News 2011. .
The Metropolitan Museum of Art. Neolithic Period in China, 2011. Web. .
Thorp, Robert, and Vinograd Richard. Chinese art
Effect of Global financial crisis on the Gulf Countries Essay custom essay help: custom essay help
Like the saying goes “when the US catches a cold, the rest of the world coughs.” The financial crisis which hit the US in the late months of the year 2007 have over time spread to almost all other countries in the world. The crisis started in the US housing markets which had over the years unsustainably overvalued.
When the high values could not be sustained, the bubble burst resulting in drastic reductions in the prices a factor which led to a surge in default rates resulting to massive losses to investors as well as loan applicants.
The effects spread into the real economy causing a shrink in the level of GDP for the year 2008 a phenomenon which had not been experienced in the US for decades.
After initially being reported in the US, the financial crisis first spread to the rest of the western countries such as the UK and other European countries with very close trade and nontrade ties with the US.
It later spread to other Eastern nations including the Gulf region. This paper looks at the spread of the financial crisis to the Gulf countries with greater emphasis to Dubai and Bahrain.
The spread of the financial crisis to the gulf region occurred due to several reasons. The first and most visible channel was through trade in oil. The Gulf region is known to rely heavily on oil exports to support their economies. The region is heavily endowed with oil reserves which are a significant source of oil for the western countries such as the US and the UK.
As the financial crisis hit the real economy in the west, demand for oil drastically fell. This was due to the fact that demand for oil is significantly determined by the amount of economic activity taking place. Oil is a source of energy which drives production.
Get your 100% original paper on any topic done in as little as 3 hours Learn More As the US experienced a shrink in economic growth, the amount of oil demanded drastically fell. Economic laws of demand and supply dictate that in cases where demand is lower than supply levels, prices have to be significantly reduced.
A fall in the prices of oil spelt a huge blow the revenues received by the gulf countries. Bearing in mind the importance of oil revenues to the region, the economic prospects were suddenly changed (Khelifi, 2009, par4-6).
Secondly, Bahrain and Dubai have over the past few decades been determined to stop overreliance on oil. Finance and tourism have been identified as feasible alternative sources of revenues which are more stable and able to outlive the relevance of oil in the international market as well as possibilities of depletion of oil reserves in the future.
Focus on finance meant that the government had prior to the financial crisis put in place favorable policies to encourage both local and international investors and financial services providers to consider the region as a suitable financial hub. Te response had been impressive as financial services sector had been growing at high rates.
Again and more importantly, a significant proportion of investors and service providers either originated or had very close ties with the west.
This being the case, as the crisis took toll in the western nations ravaging the financial service sector and causing huge losses to investors, the inflows of capital to places such as Dubai which had been phenomenon was drastically curtailed.
This in effect slowed down the expansion of the sector as well as other closely related sectors. In the year 2009, it was evident that banks and other financial institutions in Dubai significantly cut their lending a situation occasioned by speculation over the future of property markets
We will write a custom Essay on Effect of Global financial crisis on the Gulf Countries specifically for you! Get your first paper with 15% OFF Learn More The tourism sector got a beating from the reduction in tourist arrivals from the west who accounted for the largest percentage of tourists in the region.
As incomes for westerners fell due to the spread of the financial crisis into the real economy, less people were willing to travel for fun. The implication of this was a drop in the revenues earned from the sector and a blow to the region’s economic prospects.
During the start of the crisis in the west, most analysts predicted that the Gulf region would be immune due to the strong fundamental advantages created by the sale of oil. Despite the fact that current statistics show that these assertions were largely flawed, it is clear that the effect of the crisis to the Gulf region were much less severe as compared to the west.
The lower oil prices, reduced liquidity in the financial markets and subsequent reduction in share prices to a vast majority of companies in Bahrain and Dubai as a result of the crisis cannot be compared to the collapse or near collapse of numerous financial institutions as well as other major industries such as the automotive industry witnessed in the west.
There were significant disruptions in the property markets especially in Dubai where the properties reduced in the wake of reduced demand. Indeed, construction of new properties had stalled late in the year 2009 and early 2010 and a significant number of people rendered jobless.
In the early months of 2010 a large number of foreign employees had to leave for their home countries after being laid off especially from the construction industry. Nevertheless, this is not comparable to the mass layoffs witnessed across a wide range of industries driving up the unemployment rate to levels above 10% in the US.
In Dubai, the crisis is more entrenched than Bahrain. Out of the 410 licensed financial institutions comprised of banks as well as non banking financial institutions in Bahrain, not one failed.
A few of them made some losses mainly due to their heightened exposure to toxic assets requiring the authorities to inject just over 150 million dollars as a way of stabilizing the sector.
Not sure if you can write a paper on Effect of Global financial crisis on the Gulf Countries by yourself? We can help you for only $16.05 $11/page Learn More Notably, the regulatory framework in place in Bahrain which ensures that the Central bank is always vigil in supervising the financial institutions proactively enabled the financial sector refrain from the extensive effects experienced elsewhere in the region.
The fact that only a maximum of 30% of the banking portfolio can be directed to the real estate developments means that there was significant limitation to the exposure of the financial institutions to the property market instabilities.
In Dubai, the economy was already highly in debts obtained with the intention of building infrastructure in the country. These debts put the country in a much worse situation than Bahrain (Ali, 2010, par3).
In addition, the growing application of Islamic model of banking which is unanimously agreed to be less risky than the conventional banking models made the financial sector in Bahrain and Dubai more resilient to the financial crisis (Hamzan, 2008, par5).
As can be seen, the financial sector in both Dubai and Bahrain was affected marginally. This coupled with the surpluses accumulated from the sale o oil in the boom years preceding the crisis ensured that there was adequate funding for projects even in the face of the turmoil. The two countries managed to stay afloat and still record economic growth rates of above 3%.
Due to the great advantages presented by the accumulation of oil and gas revenues over the past decades, the gulf countries are less worried of the downturn per se but rather the ensuring that the downturn is orderly.
This is in consideration of the fact that prior to the recession; the economies were experiencing what economists call ‘overheating’ due to the boom. Inflation rates were high as people engaged in extreme and often flawed speculations which drove prices up especially in the property markets.
As such there was a growing need to slowdown the economy and build more on the fundamentals before stimulating the economies again.
The recession thus presented a great opportunity to reverse some of the effects of overheating. This is because it is evident that indices such as inflation and interest rates have largely stabilized throughout the region.
Notably, the global recession leaves the economies of Bahrain and Dubai stronger as it has offered a great opportunity for the countries to develop strong economic fundamentals.
This has been achieved with he slowed but not stalled economic growth in the region (Ravichandran, 2009, par4). Again as the world economy returns to the growth path, Dubai and Bahrain are now better placed to handle future crisis
Reference List Ali, M., 2010. Bahrain ’safe from global jobs crisis’. Web.
Hamzan, M., 2008. Islamic Banks Unaffected by Global Financial Crisis. Web.
Khelifi, S., 2009. The Contagious Effect Of The US Subprime Crisis On Gulf Countries. Web.
Ravichandran, K., 2009. Effect of Financial Crisis over Mergers and Acquisitions in GCC Countries. Web.
Is wind power “green”? Research Paper custom essay help: custom essay help
Table of Contents What is “green” power?
The benefits of wind power
The effects of wind power
What is “green” power? “Green’ power refers to the power that is formed from renewable, pollutant free, and harmless sources like breeze, biomass, spoilt materials, lunar, and geothermal (the high temperature of the earth)(Gipe 6). As the growth in manufacturing and utilization continues to go up, the dilapidation of the natural surroundings of the earth persists, since the challenge to extend maintainable employment of the natural resources has not so far been met.
Due to this reason, technological modification of extensive degree is essential to reduce the reliance on substance resources, in order to maintain the surroundings, and protect the earth’s flora and fauna (Wilson 103). Wind power is one of the options that have been considered to be endorsed, to make sure a strong planet earth for age groups to come is established. The aim of this paper is to determine whether wind turbine is a feasible power source option in terms of “green”, economic friendliness, and its aptitude to produce considerable quantity of power.
“Green” power, as any other power, has its advantages and disadvantages. The debate over whether to go “green” has been there for a long time, as others argue that it is more harmful than considered. The question then arises; will constructing the huge turbines generate a cleaner and safer energy base as contrasted to normal gases, petroleum, and energy plants?
The benefits of wind power The advantage of using “green” energy is that natural possessions that are renewable are employed to generate more power without contaminating or harming the earth. This reduces the capacity of global warming as the rate of carbon dioxide release to the atmosphere, as well as the monetary impact that comes with energy utilization is reduced (Wilson 103). In wind energy, in contrast to nuclear and relic energy power plants, water is not required for cooling or producing electrical energy.
The effects of wind power Wind power is considered as one way the environment will be harmed if it opts to “green”. One, it is considered as a way that will end many animals’ lives hence affecting the food chain for instance, rotating wind turbines kill drifting birds, bats, and human beings as well. Studies show that, every megawatt of fitted wind-power leads to the murdering of one to six birds, annually (Slattery 97).
In addition, since many wind turbines are constructed in the coastlines, old turbines may leak oils in the water systems hence polluting the water, and killing the fish in them. More over, thick groups of wind turbines could influence close temperatures and moisture intensity, and generally, perhaps, affect climate in local circumstances (Gipe 7).
Wind turbines are also considered expensive, undependable, and incompetent because they do not reduce the discharge of carbon dioxide in the air. The reason behind this is wind energy blows only inconsistently, and hence support conservative generators are required at packed capital expenditures, for irregular use.
Get your 100% original paper on any topic done in as little as 3 hours Learn More Wind energy is considered incompetent since it cannot cope with demands during peak-power, which makes electricity storage investment to be considered (Slattery 121). This is through flywheels, batteries, among others. Furthermore, it is very noisy hence causing noise pollution, a factor that makes it to be built away from residential areas.
In the above research, it is clear that wind energy is not as “green” as it is thought to be. Despite it being cost effective, pollutant free and of benefit especially to those people from remote areas, it comes with its own disadvantages.
Among the disadvantages are, it is expensive during installation, it affects the ecosystems, it is noisy, it accumulates a large space during construction, and it is insufficient during peak-power. The research shows that, the advantages and the disadvantages should be compared so that a solution that will benefit the planet at large can be found.
Works Cited Gipe, Paul. Wind Energy Basics: A Guide to Small and Micro Wind Systems. White River Junction, VT: Chelsea Green Pub. Co, 1999. Print.
Slattery, Michael C. Contemporary Environmental Issues. Dubuque, Iowa: Kendall/Hunt Pub, 2008. Print.
Wilson, Alex. Your Green Home: A Guide to Planning a Healthy, Environmentally Friendly New Home. Gabriola, B.C: New Society Publishers, 2006. Print.
Is wind power considered green? Research Paper writing essay help
Apparently, power has always been considered to be benign to environment irrespective of few reservations (Kammen 85). In this regard, there is a huge and growing controversy over how certain power generation modes have resulted to global warming, green house effects and other forms of environmental pollution.
Currently, there emerged green technologies that are perceived to feasible in terms of environmental sustainability (Kammen 85). In this case, Wind power energy has emerged as one of the best options in which clean energy can be derived. It is imperative that most of the developed countries such as USA and European countries have adopted and established wind energy with the perception that it is clean and cost effective.
Therefore, wind energy has increasingly being adopted by large communities to cater for their varying interests. However, there is a huge controversy over whether wind power is green or not (Kammen 86). This paper aims to analyze whether wind energy is green and the impacts of contemporary issues of environment to the sustainable world.
There is a predictable expansion of demand on wind energy both at the marketing and consumer level (Elliott 46). For several decades now, wind energy has been used to run machines and mills in rural areas in places such as United States of America and Denmark (Elliott 47).
Currently, wind technology has been advanced making it more effective to reinforce electric power. Additionally, problems associated with wind energy have been minimized thus increasing the efficiency of wind machines that have been made larger and stronger (Elliott 52). Earlier on, wind energy was perceived to be environmentally unfriendly.
However, there are some limitations that have intensified complaints that wind energy is not green at all. According to research study conducted by environmentalists and energy regulators on wind energy, it has been asserted that wind turbines are likely to threaten birds and other animals (Elliott 52).
A recent case study conducted on wind revealed that wind turbines have increased mortality rate of birds and as well as individuals who inhabit such sites. Consequently, the whirling of wind turbines and tower blades often kills birds that fly around them. Notably, larger percentage of avian deaths is usually associated with increased installation of wind turbines. Such include bats and other migratory birds as it was discovered in some parts of California in 1994 (Foley 53).
Get your 100% original paper on any topic done in as little as 3 hours Learn More Collisions of migratory birds with turbines have direct impact on their breeding success rate. Moreover, visual and noise disturbance interferes with the breeding of foraging and staging birds. However, several measures have been established to decimate cases of avian deaths. Additionally, great concern has been shown on the impact of wind energy on wildlife that inhabits near wind firms. In this case, the rotor blades on wind turbines produce a lot of noise that disturbs the animal species around wind power sites.
Another challenge associated with wind power is that it occupies large space for the infrastructure than the energy produced. Study reveals that one turbine can occupies about 1.8 hectares of land in order to generate maximum energy (Elliott 42). From this figure, one can deduce that wind firms use about 235 hectares of land to produce maximum energy required (Elliott 43).
In this case, agricultural lands have been reclaimed for power generation and this can lead to food shortage. According to further investigation on the impacts of wind energy on environment other hazards have been identified. It is apparent that insects’ species that strike turbine blades are likely to develop adverse effects. In this case, insect population inhabiting near wind mills become endangered and to some extent they become extinct.
In recent studies conducted on wind power generating sites, noise generated from turbines reduces the anesthetic nature of the environment around the firms (Elliott 45). Moreover, wind power generation poses danger to fragile ecosystem since noise and vibrations generated form the turbines has adverse effect on health.
Empirical evidence obtained from surveys indicates that people residing near wind firms have symptoms of sleep disturbances, dizziness, and head aches (Elliott 46). Such a case is also experienced by both terrestrial and aquatic animals. It is evident that vibrations that occur from turbines causes soil erosion on near ground.
Preferably, bare grounds are exposed to higher risks that those that are forested. Beside this, excavations done during installation of the mills and turbines normally trigger disturbances on the ground.
Moreover, according to majority view it is evident that wind power has negative economic impacts on investors who construct rental houses in sites near the wind firms (Elliott 48). An empirical research conducted along such sites revealed that people who rent houses tend to avoid those that are near the wind mills and turbines. This is triggered by the notion that they will be disturbed by noise.
We will write a custom Research Paper on Is wind power considered green? specifically for you! Get your first paper with 15% OFF Learn More Due to the identified reasons, wind energy can not be considered to be green. Furthermore, the energy is unreliable and thus it can not fulfill the needs of users in a harmonious manner (Kammen 89). According to environmentalist view, green sources of energy should be reliable even in future and should cater fully for the need of users.
Evidently in the past decades, wind energy has been reinforced by other sources of power that are harmful to the environment. At some times, wind has limited strength to turn the turbines thus requires use of alternative sources of power such as fossil fuel, bioethanol and geothermal energy (Kammen 89).
Nevertheless, a large number of people have consistently shown interest in using wind energy in homes. Considerably, this form of energy growth has increased by 30% in the previous decade. Rapid expansion and use of wind power have been noted in developed countries such as Texas and USA (Elliott 45). Substantial growth and expansion of wind power energy have been fostered by several environmental factors.
Such factors include the need to decimate carbon emissions and reduce global warming. In this case, wind energy can be considered to be green as compared to other sources of energy such as fossil fuels. According to opinion surveys, a large population supports the establishment of wind power plant in their immediate neighborhood.
Approximately, 70-8-% of residents in Denmark and UK highly regards use of wind power energy (Elliott 46). Recent surveys have shown that there is an increased large scale acceptance in using the energy in India and china.
The fact that wind power energy is green lies on the basis that its environmental merits are experienced both at the national and global level. A typical example can be drawn from the use of photovoltaic cells in the form of solar energy. Although the latter is increasingly being used, it is import ant to bearing in mind that the development of photovoltaic is still under revolution and that there are some societal resources which have been redistributed.
This technology, however, requires intense labor. In some cases, the use of automatic machines to construct this device has resulted into higher production costs to the manufacturers as well as expensive purchase and installation of the component to consumers.
Another impediment in the development of photovoltaic is the high demand for basic raw substances used in the manufacturing process. This has inevitably led to escalation o prices of some items which are commonly used in its manufacture. Besides, specific quantities of materials required are not constant. They keep on changing with time making the process of production even more hectic. For example, photovoltaic cells may consume up to one hundred thousand tones of steel in a given production year.
Not sure if you can write a paper on Is wind power considered green? by yourself? We can help you for only $16.05 $11/page Learn More Another likely constraint in the development of this technology is the significant quantity of energy required. Studies reveal that the production of photovoltaic cells requires an extra energy input compared to other traditional forms o f energy. This implies that photovoltaic technology is rather expensive. Nevertheless, the payback energy is presumably higher than input energy.
It is apparent that wind is a renewable source of energy and thus can be conventionally be generated without depleting the environment in any way (Elliott 43). Wind energy is a clean source of power thus it does not result to air pollution. Governments from developed states have high preference on wind power due to the increased cost of fossil fuels. Wind power is naturally available and can be regenerated without being influenced by market forces in the international market.
According to international surveys conducted on countries using wind power, it is apparent that the energy incurs low external costs as opposed to other means such as electricity and fossil fuel (Elliott 53). As a natural resource, wind is abundant and largely distributed in local areas though there exist challenges resulting from the forces of nature.
In line with this, there is no perceived evidence that wind energy results to global warming thus offering it an added advantage over other sources such as fossil fuels. Despite the fact that the demerits are experienced at the local level, overall impacts of wind power are worth of apprehension. Therefore, we can not deny the fact that wind energy is green (Kammen 90).
On the same note, environmental issues have affected the sustainability of the world in various ways. Examples of contemporary issues in the environment include global warming, green house emissions, climate change and demographic issues (www.bp.com). To begin with, climate disasters have emerged as a heavy toll on human beings when it comes to management (Kammen 92).
Unprecedentedly, large number of people has suffered from damages afflicted by climate change such as flooding, storms and drought. There is lot of tenfold in terms of cost used to rescue people from disasters. Predictably, unless effective measures are taken to decimate climate change, there is expected that irreversible damage might occur on the earth surface thus reducing sustainability of life in the world.
In line with this, global warming has increasingly impacted negatively on environment and world sustainability (www.bp.com). As a global catastrophe, it has posed danger to the fragile ecosystem. For instance, global warming has highly contributed to the extinction certain bio-species.
Irrespective of the conservation measures conducted, successes has not been fully registered at the global level. Currently, there exist scientific evidences that indicate that global temperatures have risen by 0.8% in the beginning of 20th century (Elliott 63).
For this reason, the effects are very adverse particularly in agriculture industry. Rise of global temperatures has resulted to El Nino, severe bushfires and drought. In some places, native forests, rangelands and wetlands have shrunk posing danger to the marine and alpine ecosystems. In addition to this, sea levels have risen posing danger to the coastal inhabitants (Elliott 62).
The rate of emission of green house gasses is above the potential threshold of the earth (www.bp.com). Potentially, this has caused significance imbalances and changes in the world climate. According to scientific studies conducted, it is evident that excessive emission of carbon from fossils has sharply risen since the year 2000. In fact, there was registered a 3.5% increase of carbon emissions in the same year (Kammen 85).
Considerably the world is at risk as such gases are likely to adversely model climate in future. Besides this, it is vivid that the global population rate is growing at an alarming rate posing danger to the available resources. Natural resources such as forests, rangelands and wet lands are at risk of extinction since human beings have reclaimed them for settlement purposes (www.bp.com). Nevertheless, effective measures have been taken to control the rate of population expansion in both developed and developing nations.
Globally, efforts are being put in place to decimate the impacts of such issues in the environment (www.bp.com). Recently an earth summit was established to focus on achieving sustainable world prospect. Nations have worked in partnership in order to facilitate sustainable use of natural resources and preferably the non-renewable one. On the same note, nations have made significant use of renewable resources such as wind, hydro and geothermal power.
Such sources of power are emission free and naturally available (Kammen 86). The fact that they does not get exhausted is an added advantage of eliminating factors that trigger the emergence of contemporary issues in the environment. Emergence of scientific disciplines such as environmental sciences have facilitated in creating awareness over issues surfacing on the global environment (www.bp.com). By so doing, appropriate measures have been taken to decimate environmental degradation thus creating a sustainable world.
In a broader perspective, almost every state has established regulations that will sustainably address environmental issues through agencies, corporations and use of policies (www.bp.com). To ensure a sustainable world in present and future, there are numerous sources of regulations.
Such include use of common laws, international treaties and legislations in industries to ensure that they meet the expected code of ethics. An example of international treaties includes the Kyoto Protocol that covers a wider global movement on protecting the environment (Kammen 92). It is imperative to note that the treaty targets the developed countries in order to pressure them to decimate the rate in which they emit green house gases.
To recap it all, irrespective of the demerits associated with wind power, it can be considered to be one of the benign sources of energy for use. In an attempt to minimize damages caused on both human and animal life, such states like USA and Canada have adopted rules and regulations in order to protect the remaining natural resources by use of sustainable sources of power.
In the process, this has made it possible to monitor the routine emission of gases into the atmosphere. Besides, significant efforts put in place have ensured that energy sustainability is not affected by the emerging issues of the environment.
Works Cited BP. Statistical review of world energy, 12 May 2011. Web.
Elliott, David. “Public Reactions to Wind farms: the Dynamics of Opinion Formation”. Energy
Capital Asset Pricing Model Report (Assessment) essay help online free: essay help online free
Role of Capital Asset Pricing Model (CAPM) in modern portfolio management In modern industrial economies, business owners aim to maximize on their returns while the managers want to minimize risk on their hands. This provides a typically very different opinion between the management and ownership about risk and returns.
With this issue, most of the large companies in the world especially in the United States have established their capital budgeting process in the Capital Asset Pricing Model. This theoretical model was formulated thirty years ago by Sharpe (1994) and Linter (1965).
CAPM assist businesses managers by providing a practical method to learn about how investors value the risk of potential investment opportunities, that is, value of decisions to be taken (Mehrling, 2005).
CAPM helps to show how to ascertain the risk of the cash flow from an investment venture, ascertain the venture’s cost of capital and the expected rate of return which an investor expects if they invest in a certain project. In addition, it shows the opportunity cost of not investing in a certain project.
One of the most outstanding characteristics of Capital Asset Pricing Model is that it does not assume any particular form of the trader’s utility functions apart from some extent of risk aversion which, nevertheless can be defined without resorting to a utility function.
Despite the drawbacks, the capital asset pricing model still offers a more comprehensive view of long-term swap in return and risk in the pricing of financial securities and assets. The CAPM can provide an adequate steer for the average long-term security owner.
It has certain principles that prove useful: CAPM assumes diversity of assets since there is no tradeoff in unsystematic risk portfolio. Also, an investor should hold onto his or her securities for a long term regardless of the time factor in order gain the expected returns.
Get your 100% original paper on any topic done in as little as 3 hours Learn More In addition, an investor should take on more systematic risk so as to achieve a higher return on investment, the larger the portfolio an investor has that are receptive to the changes in market environment, the more average return the portfolio will achieve.
CAPM suggests that in the short term, or more complex investing, other models have been established. However, unless the model is established on market inefficiencies, no flow of information, or other assumptions of CAPM, the model is assumed to hold the principles of CAPM.
CAPM as a theoretical perspective has been put to test in several occasions. Earlier CAPM empirical tests done by Fama and French in 1992, show that the model was empirically applicable except that the Security Market Line intercept was approximated to be about 4 to 5 percent more than the risk-free rate, although such an event is concurrent with the CAPM model in cases where money cannot actually be borrowed at the risk-free rate.
More current tests of the CAPM display that there are many noticeable drawbacks of the stern analysis of the model. For example cyclical fluctuations, such as unexpected high returns for some companies during the month of February and varying returns on Mondays and Fridays from that of Tuesdays to Thursdays.
However, critics have said that security returns are highly closely correlated to the realizable value and the total inconsistency of the security, rather than a beta coefficient found by using a market index (Fama
Co-teaching Expository Essay essay help online free
One of the most novel ideas in education instruction is collaborative teaching. Learners with special needs learn alongside ordinary students in an ordinary class setting. A special needs teacher is supposed to assist the regular teacher in preparing materials for special learners, delivering assisted learning during and after the regular classes.
The purpose of collaborative learning is to give learners with special needs an opportunity to acquire education and an environment that does not have any restrictions, thus maximizing their chances to learn. Collaborative learning employs multiple teaching and learning skills.
It should not be confused with other teaching practices such as one teacher preparing material and another delivering instruction.
It is an opportunity to distribute teaching activities amongst a group of individuals with different teaching skills. This paper endeavors to give a an assessment of collaborative teaching
Where collaborative learning is used efficiently, students with learning difficulties reap maximums benefits, while ordinary learners acquire the skills to socialize and live harmoniously with special need students. It is therefore an idea worth implementing (Logsdon, 2011).
Cushman (n.d.) also argues that this type of teaching model propagates a sense of productive interdependence amongst teacher. It is more effective when co-teachers realize that each of them is not sufficiently equipped to respond to the diversely unique needs of a class.
It is also an effective way of ensuring each individual teachers account for individual responsibilities. However, collaborative teaching is not without hitches. It is time consuming and creates too much interference in terms of unnecessary movements and uncontrolled noise in a class.
Get your 100% original paper on any topic done in as little as 3 hours Learn More It may also be disorderly when collaborative teachers have extremely diverse teaching skills (Deluca, Borman, Jump, Ratzlaff and Nystrom, 2010). Many people have suggested an alternative where there is one teacher in a class assisted by several assistants.
While this may be good in having many professional with diverse skills in the same class, its implementation may be cumbersome. It is therefore more preferable to have two teachers who take their time to plan for the class. This will reduce the amount of confusion and interference in the teaching process (Haynes, 2010).
Evaluation of student’s progress is usually a challenging task in a mixed abilities class. Various issues complicate the type of grading system to use. Co-teachers usually have a problem grading, given that students have different abilities and learning styles.
It is also difficult to determine how to evaluate daily assignments, who evaluates them and how they reflect on the final grade (University of Kansas, 2005). There should also be mutual respect for each other personal space and opinion between the co-teachers.
For ordinary education teachers who are doing it for the first time, one of the major learning points is sharing teaching space with a fellow professional (Creighton Education, n.d.). Several qualities identify an ideal co teacher.
To begin with, a co-teacher must be able to share professional knowledge as well as be open to communication and criticism. They must also be inclined towards learner centred teaching. Most importantly, they must be willing team players. Absence of these basic characteristic in a co-teacher make hinder the whole process (EFL classrooms, 2010).
Co-teaching is an idea that is yet to gain much support. However, the benefits of co-teaching are worthwhile.
We will write a custom Essay on Co-teaching specifically for you! Get your first paper with 15% OFF Learn More Learners with learning difficulties are motivated by learning in a less restricted ordinary class and get to enjoy the benefits that the ordinary learner gets. Despite the complexity in its implementation, the many professions and learning institutions should try it.
Reference List Creighton Education. Co-teaching in today’s classrooms. Web.
Cushman, S. What is co-teaching? Word Press. Web.
Deluca D., Borman J., jump T., Ratzlaff R. and Nystrom C. (2010). Co teaching. Class Chatter. Web.
EFL classrooms, (2010). Co-teaching: general guidelines and procedures. Edublogs. Web.
Haynes, J. (2010). Collaborative teaching for ells: Are two teachers better than one? EverythingESL. Web.
Logsdon, A. (2011). Collaborative teaching – Special education in collaborative classrooms. About.com Guide. Web.
University of Kansas, (2005). Grading considerations. Special Connections. Web.
Not sure if you can write a paper on Co-teaching by yourself? We can help you for only $16.05 $11/page Learn More
Identity and Diaspora Essay scholarship essay help
Table of Contents Introduction
Identity and Diaspora
Connection between language, identity and cultural difference
Introduction Identity is marked out by differences in the surrounding or context within which an individual or thing is found. Differences are what make an individual or a group of people identifiable or definable. The identity of a person and what he uses, his culture and language are closely connected.
Language and culture act as symbols which mark or delineate an individual’s identity characteristics. Difference in identity makes an individual or a group of people see themselves as belonging.
The differences outline the demarcations of in-groups to which individuals belong. The basic differences between in-groups are enshrined in the language and symbolic systems that they use.
Identity definitions make individuals or a group of people to see themselves as being better than others. Hall (1997, p. 8) provides a case of a Serb militia man who claims that Serbs are totally different from Croats even in the cigarettes they smoke. Due to the kind of identity definition they hold, the Croats think themselves to be better than Serbs (Hall, 1997, 8).
The language one speaks is a powerful symbol of identity and through it, others can tell one’s nationality or culture. A person can encourage positive identity practice when he accepts and learns the identity of a particular community.
Inversely, if one rejects or vilifies the cultural identity of others, he or she encourages negative identity practices, which if unchecked are likely to result in full blown conflicts. Through language we are able to present to people who we really are and it’s also a way for others to make their own assumptions of who we are.
We have different languages and this is what marks an individual’s or a group of people’s identity. For example, the common English language the Australians speak is different from the ones Americans speak.
Get your 100% original paper on any topic done in as little as 3 hours Learn More The differences in the English spoken in America and the English spoken in Australia results or is a consequence of difference in accents. Therefore, the difference in accents distinguishes these two groups although they speak the same language; English.
Cultural characteristics are also important symbols, which distinguish an individual or a group of people as belonging to a particular group or culture. Through the differences in cultures we are able to mark one’s identity and know or make assumptions of who they are and from which background they hail.
Identity is relational in the sense that it is distinguished by something it is not or does not have. If a particular culture does not have or do something which another culture has or does, then that is what distinguishes that particular culture, and thus gives it an identity.
Language, identity and cultural differences all have this character. An individual or a group of people may not have something in their language or culture which another individual or group of people have. What one culture lacks that another culture has gives the respective cultures a sense of identity; it distinguishes them from the others.
Language, identity and cultural differences are all marked through symbols. Things an individual or a group of people use are closely related to their identity, these are symbols which identify or define them.
They may be using something which another one doesn’t use or which they think is better than theirs, like in the case of Serbs and Croats it’s the cigarettes which define them. The cigarettes act as the symbols and differentiated or distinguish identities (Hall, 1969, p.10).
Language, identity and culture are connected because it is the differences inherent in language that map a given identity. Language and culture are connected because language often carries symbolic meanings that can only be understood in the context of the given culture.
We will write a custom Essay on Identity and Diaspora specifically for you! Get your first paper with 15% OFF Learn More Both languages and cultures have symbols which also act as identifiers or distinction between individuals or groups of people. Language and Culture like identity are also relational in that they are all distinguished by something they are not.
Different languages, identities and cultures have different things which the other does not have and this is what distinguishes and makes them different.
The differences in culture and language gives respective cultures and languages a sense of identity and this is important because it defines an individual or a group of people. Our identities reflect the common historical experiences and shared cultural values which make us to be a united people with stable reference of meaning.
Identity is important in that it defines who we really are and in the post colonial struggles it played a big role in reshaping our world.
The rediscovery of identity in post colonial societies has been the object of hope which has been helping former colonial subjects and colonizers rehabilitate themselves with regard to self definition and appropriation of how others define themselves (Hall, 1997).
Identity has also played an important role in the development of many important social movements. These include feminist, anti-colonial and anti-racist, environmental activists, lobby groups, human rights activists, among others movements. What brings this people together is a common identity.
They identify themselves because of the different causes they hold dear in society. The difference in cause or concern gives them an identity. Further, these social movements are identifiable with distinctive language use or jargon and their developing of symbols that frame a kind of subculture.
Identity and Diaspora Language being a powerful symbol of identity is a major difference between different cultural groups in Australia. Even among people who speak English, differences in accent and use of cliché words creates further distinctions, subcultures and thus identities.
Not sure if you can write a paper on Identity and Diaspora by yourself? We can help you for only $16.05 $11/page Learn More I have some experience of having lived in a multicultural setting. The setting composed of people of African origin, African Americans and indigenous locals. From observations, I noticed many differences that distinguished each set of individuals or groups.
The Chinese believe that in order to achieve unity they must take pride in their history and culture; they believe that intellectual unity and consolidated power is what brings them social harmony. This is different from Australians who still deconstruct their culture, consolidate power and through government work to implement their agendas.
People of Chinese origin focus more on self development and personal growth than transforming or challenging traditional structures and set ups. This is unlike the attitude of black Americans or English Australians.
Considering countries, china is very distinctive or different from Australia. Australia is identified from Chinese because they don’t take pride in their history and cultures like the Chinese do.
Another way of distinguishing between Australians and Chinese is by language. The Chinese have their languages and even those who have immigrated to Australia still speak and teach their children to speak Chinese.
National identity in Australia was brought about by earlier Australians identifying selves with being able to withstand hardship. This kind of identity has produced a sporting spirit that has continued to grow.
Other historical factors like the gold rush days, Federation, World Wars and others have been significant symbols which have greatly influenced the development of Australia’s national identity.
The Gold Rush had a great impact on the economy of Australia and development of the nation. Diggers in the goldfields developed a strong relationship which has been important to them on how they and others perceive being Australian.
Since then, the diggers’ rebelliousness and disregard for the authority at that time has remained an important topic of discussion in Australia history and identity.
Diverse cultures, people and images in Australia have been a strong symbol of identity. Many important events and people who were involved in these events have helped the Australians shape the view they have of their nations and how others view them as a nation.
Indigenous communities have kept their cultural heritage strong and alive by passing it to every generation. These include their knowledge, art and performances.
By speaking and teaching their language to their children, protecting their culture, sacred and important places and objects, the Australians have been able to maintain and be proud of their identity.
The Aboriginal people in Australia value their land so much. They believe their land is what sustains people. Reciprocally, people and culture in turn are supposed to sustain the land. National parks are of great significance for the Aboriginal people because of the stories associated to them; stories that have been told from one generation to the other.
The diverse cultures and people unite the Australians and this has made them committed to their country. They have a right to express their diverse cultures and beliefs and to participate freely in Australia’s national development.
Everyone in Australia is expected to respect an individual’s worth, dignity and freedom. Every individual has freedom of speech, religion, association and is expected to support and maintain peace. The pride each individual group takes in its cultural heritage has helped keep Australian cultures live.
The cultural identification helps distinguish people and offers them an identity. National initiatives and mechanisms have been put in place to help Australians towards becoming more tolerant towards difference.
Art in Australia has contributed to the shaping and reflecting of the nation’s image. Art scenes have reflected the diverse indigenous cultural traditions and this as a symbol of identity has helped to define the nation. Modern art in Australia is totally different to that of Chinese.
Because of government funding, Australia’s art is more political compared to that of Chinese. This has caused a great divide between the private and the government funded art’s market. This is a mark of identity because identity is relational as it is distinguished by something it is not.
Art in China is distinguished from that of Australia because it’s less political. The difference in art scenes of these two countries also marks identity because identity is marked by differences, and through these differences Australia is able to define itself.
Education in Australia is different from that of China in that in Australia they are more focused on students while in China they are more focused on teachers.
A teacher in Australia will help students find answers to a question by themselves by providing them with the basic knowledge while in China a teacher will easily give answers to students without letting them do something on their own first.
In Australia students interact a lot and more easily than in China. Students in Australia learn by doing things on their own and interacting with their fellow students and they plan their own learning. These differences in education between China and Australia mark identity because identity is all about differences.
Identity is marked through symbols. As a matter of fact, symbols are very important for marking cultural identity and regeneration.
For example, national flag, food recipe and uniform are such symbols that identify individuals or groups. Australia has a national flag in which they take pride and which has become an expression of identity. It is the nation’s chief symbol and Australians respect it and use it with dignity.
Through symbols, individuals define their culture and are able to feel connected with their past. Moreover, symbols also connect the present with the future as they help to store or safeguard a people’s heritage. This is because the symbols have been there from the past and have been passed from one generation to the other.
For example in Australia, the ruling authority wanted to make the Union Jack as the uniting symbol. Many Australians were against this and they tried to create their own symbols in order to challenge the authorities and express their culture.
Many of these were rejected by the government which has in turn has made Australia remain seeking for symbols. Up to now, symbols still define much of political life in Australia and Australians are still trying to find new symbols. This shows how symbols are important in marking an identity of an individual or a nation.
Chinese boast when it comes to hospitality and this is clearly expressed by their way of life. In China they can easily invite a stranger in their homes and share with him their food and make sure he/she is full before leaving. It’s different in Australia because they are kind of wary of strangers than the Chinese people.
Identity is marked through social and material conditions. When it comes to drinking, alcohol is important for both Australians and Chinese. What makes the difference is the way of consumption. The Chinese get drunk very fast and it is acceptable for them to act in an uncontrolled manner while drunk.
For the Chinese drinking is a way of showing respect. On the other hand Australians drink more slowly while having a conversation and they don’t seem to like it when one starts to act in an uncontrolled manner due to drunkenness.
Sex is considered a taboo topic for discussion in China and in order for a woman to be respected and valued in marriage; she has to be a virgin. In Australia sex topics are not considered taboo and they are openly discussed and for a man to marry he doesn’t have to get a virgin woman.
This has caused many women and men to be sexually experienced before getting married. This for most of older Chinese is very immoral. It doesn’t mean that the Chinese are upright in behavior; they also have a number of practices that Australians find immoral.
Men in China find themselves in sexual unfulfilling marriages, this makes it acceptable for them to visit prostitutes or have mistresses. In Australia this is totally unacceptable. Chinese maintain their morality before getting married but after marriage it gets different while Australians maintain their morality in marriage.
Australia is a multicultural nation in which they have many different races, ethnic groups and cultures. In Australia there are the indigenous and non-indigenous people. The indigenous people are claimed to have been marginalized through colonization.
One of the major debates on the significance of belonging and culture is identity. Multiculturalism in Australia is about cultural diversity and has influenced greatly the identity of the nation. It values its racial and ethnic diversity by giving its people freedom to express their cultural values.
Multiculturalism in Australia has worked well because different cultures have been accepted by the people and the peaceful relationship between diverse cultures and individuals has been maintained.
Diversity in Australia has acted as a positive force in bringing the people of together by accepting each others different culture and this has been a very significant identity which the people of Australia take pride in.
Sports, music and art have provided Australia with an identity. It has been recognized worldwide through its achievements in sports.
They have been able to achieve this through a successful multicultural society and their sporting heroes are recognized and valued worldwide giving Australia an identity.
Connection between language, identity and cultural difference Hall’s explanation of the connection between language, identity and cultural difference has helped in explaining how these three connect. As Hall put it, identity is marked out by differences.
Different people speak different languages and this difference is what makes an individual identify with a particular group of people. There are different cultures and identity which exists between people and they are all marked by differences.
Identity representation has signifying symbols and processes which produce meanings through which we can know who we are and understand our experiences. This symbolic system makes us understand who we are and what we might be in future.
Representations of identity helps an individual see and know themselves. Culture shapes identity by giving meaning to our experiences in that we are able to define ourselves by relating to our cultural experiences.
Diaspora identities are those which are continuing to develop themselves a new through transformation and difference. Thus cultural identities go through constant transformation as it is about what you become and what you are. Cultural identities are the points of identification which are made throughout history of a culture.
In Australia multiculturalism has made it difficult for the government to approve a national cultural symbol because all cultures are equal and the people enjoy freedom of being individuals.
Social and symbolic markings are both important for the defining and maintaining of identities. Symbolic marking is how we look at and understand our social relations and practices while social differentiation is the way people live with these types of differences in their everyday relations.
Identities are formed and maintained because they mater so much and this is why people would always claim their positions and identify with them. Different people, cultures, ethnic groups and even religious groups claim a common culture as their foundation. Identity depends on difference and in social relations symbolic and social differences develop.
Foods people eat tell a lot about who they are and what culture we are in. Foods indicate religious as well as ethnic background and culture of a people, there are foods which are considered as unclean by other cultures or religious groups but are eaten by others.
Through such foods we are able to make an assumption or know which culture or religion one comes from, for example Muslims are identified for their avoidance of pork and this defines their religion.
This marks the identity of such groups who avoid certain foods and the identities of those who are part of a particular belief system and those who are not. The types of food people eat are materialistic because people eat what they are able to afford and what is available in their society.
Identities are made in relation to other identities, what they are not is what defines them and this brings the difference. Chinese art scenes are not as political as those of Australia and this is what marks the difference.
Cultural identities are histories which people share and thus make them one people or one culture. A Diaspora must discover this identity in order for them to express their cultural experiences.
Conclusion Around the world people define their cultural identity by stereotyping themselves. The stereotypes model the behavior that people want to copy and make people feel that they are part of a community and that they belong to a particular culture.
In Australia, individuals have appreciated the importance of identity and in order to confirm their identity, they have created stereotypes. The Australians take pride in their national unity and people from different cultures are all one and care for one another.
In conclusion, Hall’s argument that Identity is marked by differences is a valid one. Further, the interconnection he relates about language, culture and identity as illustrated in the foregoing paragraphs is a valid one.
Some differences are taken to be more important than others by different ethnic groups or cultures. One group might see themselves superior to the other and what they use as more important and great than the others.
Identity is also marked through social and material conditions. A group may be separated socially and disadvantaged materially if it is it is symbolically marked as an enemy or taboo.
Symbols mark distinctions which are present in social relations. In social relations people use different things and because an individual or group of people may think of theirs as better than others, it brings the distinction.
If a group is socially separated because it is marked as an enemy they will be materially disadvantaged because no one would want to associate with such group which is claimed to be a taboo or enemy.
Social relations may be organized and divided into opposing groups; one group may see themselves as better than the other and consider the other as nothing because of the different social backgrounds and cultures.
Reference List Hall, S. (1997). Cultural Identity and Diaspora. London: SAGE Publication
Hall, S. (1969). Commonwealth of Australia. London: Sage Publications
The Effect of Famine in North Korea Cause and Effect Essay online essay help: online essay help
The Asian continent is the world’s largest and most populous located mainly in the eastern and northern hemispheres. The population in Asia is estimated at about 4 billion people representing a whooping 60% of the world’s total human population as it currently stands (Lee 500).
The Pacific Ocean borders Asian to the east while India is to the south of Asia. Asia is also bounded on the north by the Arctic Ocean. There are several independent states in Asia with China as the single largest country. It is these many countries that define Asia’s varying distribution of wealth.
It is also characterized by its immeasurable size and magnificent range of different cultures, historical backgrounds, environmental orientation, natural resources and different government systems.
The paper seeks to primarily focus on the effects of famine in North Korea. It will highlight its background information, the cause of famine in detail as well as the role of its government system in influencing economic development.
North Korea is a one of the countries in the larger Asia. It is also referred to as the Democratic People’s Republic of Korea (DPRK) (Lee 513). Pyongyang is the largest and capital city of North Korea. It is divided from South Korea by The Korean Demilitarized Zone.
North Korea borders China to its western region and Russian to the North-east. In 1948, North Korea declined to participate in an election that was held in the south which was supervised by the United Nations. This refusal led to the creation of the current independent governments of North and South Korean states (Lee 517).
Continued tag of war for the sovereignty over the whole of Peninsula resulted in the Korean War in the year 1950. The war ended three years later with armistice but no peace treaty was ever signed which implies that the two states are still at war on book. The two states joined the UN in 1991 with North Korea withdrawing unilaterally from the armistice in May 2009.
Get your 100% original paper on any topic done in as little as 3 hours Learn More As far as politics is concerned, North Korea has been a single-party state. Its united front is steered by the Korean Workers’ Party and is governed by the ideology of self-reliance known as Juche which was advocated by North Korea’s late “Eternal President” Kim Il-sung.
The ideology was made official in 1972 when the state adopted a new constitution. Juche had been used all along by Kim Il-sung to develop policies since mid 1950s. North Korea is officially a socialist republic but its operations have made other outside countries to regard it as a totalitarian Stalinistic characterized by dictatorship.
Kim Jong-il, Kim Il-sung’s son, is the current leader of the armed forces and secretary of the KWP Central Committee Secretariat. Kim Il-sung is the only president since he was never replaced when he died in 1994, but instead he was the given the name, “Eternal President”.
The ceasefire of 1953 marked the end of the Korean War but since then the relationship between the government of North Korea and America, Canada, Japan, Europe, the European Union, as well as South Korea has been tense (Eberstadt, Marc,
Presence Human Purpose and the Field of the Future Essay essay help online free
Table of Contents Comparisons
The Book “Presence Human Purpose and the Field of the Future” by Senge et al (2007) is based on three main steps of leadership: Sensing, presencing and realizing. The book states that leadership presents a challenge for every one to become better, wholesome and reflective.
The book gets its name from the presencing step, whereby leaders are advised to retreat, observe and reflect in order to get a deeper understanding of why things happen the way they do.
This book suggests that fresh ideas and knowledge cannot be attained in a frenzy atmosphere and as such, leaders need to detach themselves from all the frenzy that goes on around them, take time to relax and meditate and as a result, come up with “non-decision decisions”.
Senge et al (2008) suggests that a good leader needs to understand his organization well in order to formulate leadership strategies that will be most effective. To this end, the book suggests that leaders need to attain both primary and analytical knowledge, since such is required in the leadership strategy formulation.
Accordingly, the book suggests that primary knowledge allows a leader develops compassion about specific things in an organization and hence he/she act spontaneously, without having to engage in decision-making when faced with items that falls within the primary knowledge.
Senge et al (2008) on the other hand argues that analytical knowledge is more deliberate and involves calculating the consequences of each action or decision that the leader makes.
Overall, this book views leadership as a role that requires a sound clear mind, that is able to tap through different capacities and opportunities through developing a vision, and integrating it into the organization culture.
Get your 100% original paper on any topic done in as little as 3 hours Learn More The book however states that leader should wake up from the notion that they are superior human beings and hence can be on a “doing” mode endlessly. “Leaders need substantial discipline to halt their anxieties and emotions, in order to refocus on what matters to them and the organization they are leading.”
Comparisons There is a striking difference between the book by Senge at al (2008) and “Getting to yes; negotiating agreement without giving in” by Fisher et al (1991). While the latter focuses mostly on the inner qualities that make good leaders, the other focuses on the interpersonal qualities that makes successful leadership.
Such are identified as: separating the problems from the people, focusing on interests rather than in positions, inventing options that would enhance mutual gains and insisting on objectivity as a criterion in decision making.
As their book title suggest, Fisher et al (1991) lays more emphasis on negotiating and winning, which is an aspect of good leadership.
Factors considered while choosing the right staff Essay college essay help: college essay help
Introduction In any given company, there are some techniques that are usually employed by the employers during the selection of the right personnel. Several factors are usually put into consideration during the selection of the employees.
Given the difference in needs in each organization, the factors considered while selecting the workers vary widely in each. Procedures are in essence followed during the evaluation of a member of the organization and questions are usually asked at this stage.
Questions are asked basing on the type of the job. The validity of the questions is usually low if there is not any connection between the questions and the job.
This manuscript will argue out that cancelling an interview and replacing it with paper-and-pencil measures is not the best elucidation to the jeopardy of interview validity and go further to discuss the factors that management should consider while choosing the staff.
Unstructured interviewing Whenever the validity of questions asked in choosing of the staff of a certain organization is low, the concerned individuals who are the employers need to find a substitute to the appraisal center. Since the right personell need to be found to help in boosting the profits in the companies, bias should not be entertained.
According to (Lowry 1994: 34) “unstructured interview has a lower validity and reliability and therefore when assessment is done, the alternative will be a structured interview.
The alternative is valid and less costly”. “Personnel selection for managerial and supervisory positions is important for efficient and effective conduct of business in both the private and public sectors” (Bernreuter 1933: 45).
Get your 100% original paper on any topic done in as little as 3 hours Learn More According to (Lowry 1994), an interview is a modus operandi that is premeditated to acquire information from a group of people basing on their verbal answers to verbal questions.
However, (Allport 1937 p.4) states that a “job selection interview aims at predicting future job performance based on applicant’s oral responses to oral inquiries”. (Seegal 2003: 32) states that,”it will be very unusual for an employer to hire someone without conducting an interview. Even though it has a low validity it should still remain an indispensiblbe tool”.
Interviewing is as a method of selection of staff is used worldwide. Research proves that seventy percent of companies in the Northern Ireland employ the unstrructured method of interview in order to aid in promotion of verdicts (Butcher 1995).
Impact of Knowledge Management on Nokia Corporation Coursework cheap essay help: cheap essay help
Introduction This paper reviews literature relating to knowledge workers and its application to Nokia Corporation. It proposes a model to understand the way KM affects the organization, especially human resource management (Hannabuss, 2001). KM is a term used to refer to the management of the skilled and knowledgeable employees in an organization (Caddy, 2007).
Skilled and knowledgeable employees are important because they help the organization to utilize its competitive advantage in innovation (Henard
Concepts of HP Laptops Coursework college essay help online
Table of Contents Introduction
Market Structure for HP laptops
Possible Strategies of HP Laptop Competitors
Introduction Today’s business and leisure activities run smoothly due to the emergency of new and supportive technologies. For example, since the emergency of personal laptop computers, people are able monitor their personal finances from time to time.
Moreover, networking, documentation and online chats keep on asserting new opportunities to lives of many. Numerous companies ranging from Dell to HP are manufacturing laptops for their clients. In order to make sure its laptop industry undergoes a revolution, Hewlett Packard Company has enacted modalities to create a viable market for their laptops.
Market Structure for HP laptops Over the recent years, HP laptops are the most sold in the market. The dominance in the market is because of their resilience in price control and upgraded technologies. Information technologists argue that, HP is able to regulate market economy through its peculiar products.
The quality of HP laptops is not a selfish guarantee of aggressiveness in the market, but rather market protectionism and increased sales.
In 2008, the number of HP laptops sold was greater by two million as compared to the second placed Dell laptops. The switch from personal computer desktops to laptops is responsible for HP laptop markets structure.
The market structure of HP laptops created because of increased shares, continue to outburst the laptop industry. HP laptops furnish both small and large enterprises through dyed-in-the-wool product contours.
Moreover, HP laptops dominate markets due to aggressive selling and excellent channel strategies that spout the ever-growing market segmentations. In fact, this explains why the market structure of HP laptops is bursting. (Kerridge, 2009, p.1).
Get your 100% original paper on any topic done in as little as 3 hours Learn More Indeed, competition is high in the market. For other laptop manufacturing companies to increase their sales, they must overshadow HP products must first something that needs a lot of effort and finances. The increased sales from HP products are because of proper branding strategies that helped in achieving market recognition.
Increased HP shares are due to higher revenue generated from potential sales. Competitor companies like Dell, Acer and Toshiba are struggling to create brawny and superior illustrations, which will attract customer to buy their products (Display Search 2010, p.1).
Possible Strategies of HP Laptop Competitors HP has theme in their business outsourcing strategies and this is being a market leader of computer laptops. If other competitor companies are not up to the task of creating market strength of their laptops, then there is no way out they can create pressure on HP products unless they come up with innovations in the laptop technology.
Competitor companies presently also manufacture same commodities ranging from monitors to laptops something that HP has already done; hence, the need to come up with innovations to meet the ever increasing market competition they face from HP.
Other possible strategies from HP laptop competitors include cutting the price of their products between 14 and 20 percent to induce a war price market. Some companies like dell have now embarked on server growth mechanisms, which will act like an entry point into the HP monopolistic market.
It is true that HP does not dominate all markets in the world. As a way to bring competition, competitor laptop manufacturers should embark on opening new market places all over the world especially in places where HP products do not dominate the market.
On the other hand, it is important to note that, these HP competitors are now engaged in laptop up gradation to give them an upper hand over HP laptops. This has really helped these companies in attracting more customers toward their products.
We will write a custom Coursework on Concepts of HP Laptops specifically for you! Get your first paper with 15% OFF Learn More Conclusion In order to increase their sales through competition, I would like to see HP competitors launch new and featured laptop computers. For example, they can manufacture laptops with inbuilt TV tuner cards and modify the keyboard to a lighting one.
Another modality to counter HP laptops is to manufacture laptops that sell at a cheaper price. In addition to that, these companies ought to make numerous advertisements so that their commodities become conversant to customers. This will boost customer loyalty hence sales and greater revenue generation.
Reference List Display Search, 2010. HP Maintains 20% Worldwide Notebook PC Market Share in Q1’08; Gains Share on Rivals in 5 of 6 Regions; Mini-Note PC Market Forecast to Grow to More Than 13M Units in 2008. Display Search. Web.
Kerridge, M., 2009. The HP Laptop Industry. Linkvana. Web.
Nintendo Wii Report (Assessment) college application essay help: college application essay help
Abstract Nintendo is a games manufacturing in Japan. It was started a long time ago in the late 1800s (1880) by a man named Yamauch as small company producing playing cards for the Japanese market (Iwata, 2006).It was until 1970 through to 1985 that Nintendo started producing electronic toys and video games.
Nintendo was the dominant player in the video gaming industry for decades soaring in the success of both consoles and hand held games. This lasted until the entry of other players who saw an opportunity in the gaming business.
Sony launched its PS in the mid nineties while Microsoft came in with Xbox in 2001.This completely changed the face of the gaming industry because there was increased competition in terms of quality and innovativeness.
Introduction Nintendo had been in the gaming industry for many decades without any reasonable competition; they had almost total control of the market and therefore had conventional marketing strategies that perhaps were not as sophisticated as present day marketing strategies with so much competition in the market.
This analysis therefore seeks to critically look at the strategies employed by Nintendo before, upon the entry of competitors and any foreseen strategies that maybe employed. Microsoft and Sony’s strategies and mistakes will also be looked into and the some insight put on the way these strategies have changed the industry.
Stakeholder analysis Stakeholder analysis is a means or strategy used to identify and closely look at the importance and influence of certain groups and/or individuals that could affect or get affected in some way by a particular project (Nager, 2009).
In Marketing, many groups are considered but the most important can be summarized in four C’s; Customers, Competitors, Company, Community (Nager, 2009). As Nager puts it” This 4C’s Analysis is based in part on the 3C’s Model of Dr.
Get your 100% original paper on any topic done in as little as 3 hours Learn More Kenichi Ohmae, a senior partner at McKinsey
Violent Non-State Actors Essay essay help
Admittedly, the major reason for the development of violent non-state agents (VNSA) is weakening of state power (Singer 2001-2002). These agents can operate on territories which are not controlled by a state. Therefore, the term “non-state” can become inappropriate since VNSA operate on areas where state is not represented by any force.
However, nowadays many states (and the United States is among them) have to face the necessity to resist VNSAs. The development of technology and globalization contributed greatly to the spread of VNSAs. There are many types of such agents, and some of them have gained considerable power nowadays.
Williams points out several major types of VNSAs which can be dangerous for the state power. Thus, the first type of VNSAs to be considered is warlords, charismatic leaders who usually have military background, and who oppose some policies of a state (Williams 2008, 9-15). Another type of VNSA is militia, a military formation which operates in a state where state power is weak.
Another type of VNSA singled out by Williams is paramilitary force. These forces usually originate from state military formations or even established by the government.
In this way, some states try to acquire cheaper military force. It is necessary to note that the existence of this type of VNSA also raises a question about the appropriateness of the term “non-state” since the state forms the violent agent, apart from (or even instead) of conventional state military force. Another type of VNSA is insurgencies, military formations which try to overthrow the government.
Terrorist organizations are now the VNSAs which attract much attention at present. These agents are usually a threat for countries where state power is properly established, e.g. the USA.
Finally, one more type of VNSAs, which are dangerous for a weaken state, are criminal organizations and youth gangs. Of course, these VNSAs jeopardized order in any country (on every level), but if the state power is well established such agents are usually neutralized.
Get your 100% original paper on any topic done in as little as 3 hours Learn More As has been mentioned earlier globalization, technology development and media are playing crucial role in VNSAs empowering. Thus, Kramer et al. claim that the development of electronics and information systems has put the problem of VNSAs on global scale (Kramer et al. 2009, 4).
At present such agents can easily interact with other agents: buy and sell armament, join military groups in different countries, provide technological, financial and other help to each other in order to reach certain aims (Singer 2001-2002). Basically, VNSAs have entered global market place which enables them to compete more successfully with state power.
As far as empowerment of VNSAs, especially when it deals with terroristic groups, it is necessary to emphasize that media “play an integral part” in the process (Zanini and Edwards 2001, 42). For instance, terroristic acts are aimed at attracting attention and news media help them to achieve their goals in quite an easy way.
In fact, the power of media is already acknowledged by VNSAs and many such groups have their own radio stations and television.
Thus, nowadays the struggle between states and VNSAs has shifted on another level. First, governments invest into the development of technology and information system to defeat VNSAs. This enables states to prevent violent acts, rather than try to overcome their aftermaths.
Admittedly, preventive tactics is very successful, though not all acts can be prevented nowadays (Jenkins 2010, 13). However, the development of technology and enactment of new more effective legislation can become a good background for successful struggle against VNSAs.
Reference List Jenkins, Brian Michael. 2010. Would-Be Warriors: Incidents of Jihadist Terrorist Radicalization in the United States since September 11, 2001. Santa Monica: RAND Corporation.
We will write a custom Essay on Violent Non-State Actors specifically for you! Get your first paper with 15% OFF Learn More Kramer, Franklin D., Stuart H. Starr, and Larry K. Wentz, Eds. 2009. Cyberpower and National Security. Washington, DC: National Defense University Press.
Singer, Peter W. 2001-2002. “Corporate Warriors: The Rise and Ramifications of the Privatized Military Industry”. Brookings. https://www.brookings.edu/articles/corporate-warriors-the-rise-and-ramifications-of-the-privatized-military-industry/ .
Williams, Phil. 2008. Violent Non-State Actors and National and International Security. International Relations and Security Network (ISN). Zurich: Swiss Federal Institute of Technology.
Zanini, Michelle, and Sean J.A. Edwards. 2001. “The Networking of Terror in the Information Age.” In Networks and Netwars: The Future of Terror, Crime and Militancy, ed. Jon Arquilla and David Ronfeldt, 29-60. Santa Monica: RAND Corporation.
Human Rights System Essay essay help
The human right system as defined by the United Nation Human Rights System is a system whereby, the fundamental rights of humans are observed as well as character and worth of all the persons. Included in this system is the application of equal rights and system to all persons.
The United Nations have set a preamble on the rights that should be assigned to humans. The preamble preaches of application of human rights to all people with maximum fairness and campaigns against discrimination, whether on the age of the person or sexual orientation.
Many rights are discussed in the universal declaration of human rights proposal in regard to the rights of individuals in a given country. The thirty articles contained in this declaration all aim at ensuring that the people rights are observed at all means.
The rights speak of a general importance of the people having the equal rights to others and living together in the spirit of brotherhood. The purpose of human rights is to be able to protect human agency and to protect humans against abuse and oppression.
Negative freedom is fought against through the underlined rights. According to Ignatieff, the rights subsistence is also important as the right of agency, since both of them fight against torture (Gutman, 2001). Though the subsistence right is not, negative freedom is equally as bad because it causes cruelty and punishment to the people.
The importance of human right is to protect human agency, which is not always inclusive of the negative freedom only. However, just because human rights are enforced does not mean that the people will live a wonderful life. The sole purpose of these rights is to ensure that individuals do not face any kind of abuse and torture.
Proliferation of right is however discouraged, as setting out rights that are not necessarily needed to protect agency may weaken even the power of the enforcers. Achievement of the international human rights may be a problem due to proliferation of rights since it is hard to achieve an intercultural assent to rights. Human right also faces a problem of nationalism.
Get your 100% original paper on any topic done in as little as 3 hours Learn More By nationalism it means the right of self- determining. The problem with nationalism is that if it has to be practiced, the majority have their way while minority have just their say. Some people will benefit while others lose.
Ultimately, nationalism means that some rights will be observed and others violated; this is however not what human rights stands for since it seeks to make sure that the right of all individuals are observed and equality is the main driving force (Gutman, 2001).
The United Nation has a dream of creating a global community, which observes human rights. Anthropology plays a great role in this by carrying out a research on the different culture, and also monitoring the observance of rights and when need arises in fighting against incidences of violation of rights. Anthropology is a big advocator of the human rights through collectively fighting of human rights and for individuals.
Anthropologists have also shown great commitment in the political area, involving themselves in activities that fight away oppression in the society. Anthropology seeks to put back human back to their rights. Anthropologist can be of great help on the understanding of human rights through showing conceptions of rights, and how they function in different cultures.
For example, in Latin America traditionally citizenship excluded the locals and were subject to rights violations. Through the years anthropologists have studied the international law and tried to reform it to such a way that they revive legal pluralism. It is through this time that legal anthropology rose up that aimed at ensuring the right of individuals internationally.
A culture of transnational culture has been created where some countries like Hawaii have followed the international human rights law. Anthropology therefore embraces the need to have law in the society that guides the people (Wilson 2006).
Having the law will ensure that equality among the individuals is observed and the people in the society will have knowledge of the same. Incidences of violation of the rights are therefore minimal.
We will write a custom Essay on Human Rights System specifically for you! Get your first paper with 15% OFF Learn More In Adams book on the suffering of winds of Lhasa, universal rights people are well advocated as compared to individualist rights of people. Vincanne is keen to note that the Tibetan refugees would endure lesser pain if the rights of all the individuals were considered. The data collected in this book reveal that the international rights were not followed.
The way they were fighting against the denial of the rights took them so long to get the independence, and it is only when they sort the rights universally that their views were heard (Adams, 2002). Culture is brought out as barrier to the rights of individually in the society, the fact that their culture embraced torture made them take long in fighting for their rights.
Sometimes, incidences of violence and suffering are important in adding the dimension of experience to the language of rights. Suffering brings understanding to the people of the accepted human suffering right to the people. The same is expressed in the anthropology theory where we are deemed to imagine ourselves living the lives of other people and enjoy the treatment they enjoy.
Instances of having political violence and atrocity are some of the ways the human rights of people can be denied. According to Humphrey (2002), violence does not only to cause injury, but also destroy the human life. In such a setting where the political violence is in existence, the rights of people are usually not practiced and oppression is high.
After the end of the violence, the only way to ensure that such violation does not occur again is ensuring that there is closure among the affected parties. Achieving closure means that the victims’ rights are observed and those in the violation of the rights are subjected to the justice of the later or international justice (Humphrey, 2002). S
ometimes the rights of the victim are seen as an obstacle to political change. Such a notion should not exist since for justice to be there, it is necessary to have people’s rights being observed.
Observance of the rights laid down is not usually followed especially in scenarios involving politics. Internationally, there have been various incidences of violence and this time through violation and lack of awareness to the general public. Application of rights right down by the United Nation is not always followed.
The right against oppression, which is highlighted in their declaration of human rights is not followed in some countries; Argentina is one of the countries that has faced this problem. Military dictatorship around the1970s denied the people their rights by subjecting them to oppression, torture, and imprisonment.
Not sure if you can write a paper on Human Rights System by yourself? We can help you for only $16.05 $11/page Learn More Through this time, the constitution was not followed and rights against the people were denied. Pressure amounted from the international community that led to formation of human right groups that fought impunity. It is through the meetings between these groups that pushed the authority to stop oppression and embrace transition.
Truth and justice commission emerged at this point, and were campaigned for democracy (Bosco, 2004). Creation of democracy led the government to engage in attempts to set up ways of ensuring that the justice in the country is observed, as well as a frame work of ensuring human rights are followed.
To the local people, some individuals have gone to the extent of putting up memorial landscapes that are historical to the people, reminding them of the time their rights were being violated. Madres de Plaza de Mayo is one of the symbols used in Argentina, that acts as a reminder to the general public of having the rights of the public (Bosco, 2004).
The symbols are reminders of the visitors as well as the public of the past and how oppressive it was to them. Rituals have also been used as a symbol of fighting incidences of lack of issuing of rights. The fact that they are collective can offer a commemoration to all the people of importance of the past as well as the need to observe human rights.
Education to the local public of their rights has been promoted through various methods. Among them has been setting up Truth and Reconciliation bodies. In these bodies, the cause of the violence is determined as well as the reasons that led to the occurrence of the violence.
According to Humphrey (2002), it is not always that these bodies offer justice to the public, as in some instances, for example the incident is South Africa: So that the truth can be determined, the violators of these rights were given amnesty to unreveal the truth that would set closure to the general public. Humphrey highlights that the testimony has more importance than meeting the individuals’ physiological needs.
Giving these testimonies also involved transformation and creation of a culture of having human rights being observed. Humphreys is also keen to note that the international court can be used to offer justice to the individuals who have been involved in massive denial of rights (Humphrey, 2002).
Through this system, the public rights can be fought against as well as ensure that justice is practiced. Having trial is one of the steps that can be taken to ensure that the general population has recovered from the violence times. Morality is also instilled by this move. However, this is not always enough, working with the memory of the past is important in ensuring that the political reality is created in the country.
Human rights are important among individuals in any society. They enhance the spirit of living in harmony among the individuals in the society. There are many theories that explain the need to have practice of right. Among them is the anthropology theory that stresses on the need of collective fight for peoples’ rights (Wilson, 2006).
There is no need to just highlight the rights that people have without ever ensuring that the rights are given to the people. Justice is also an important element in offering the rights of the people; individuals involved in violence against other people, whether political or not, should be accountable for their actions.
There is also the need to have a truth and justice commission to bring healing to a country that has suffered great violence, and also trials to individuals involved. To a country involved in violence, there is need to set a reminder to the future generation where the country has come from, to ensure that it does not happen again. Setting out symbols can be one of the solutions that remind the locals of where they have come from.
List of References Adams, V. (2002) Suffering the Winds of Lhasa: Politicized Bodies, Human Rights, Cultural difference, and Humanism in Tibet, in The Anthropology of Globalization. Oxford: Blackwell Publishers.
Bosco, F. J. (2004) Human rights Politics and scaled performances of memory: conflicts among the Madres De Plaza De Mayo in Argentina. Social
Nanophase Technologies Marketing Mix Expository Essay college essay help near me: college essay help near me
Nanophase Business strategy
Nanophase is a company dealing in some of the latest technologies available today. Nanotechnology is being seen as the greatest inventions of the modern day. This being the case, Nanophase is a pioneer commercial enterprise dealing in the new technology.
The most notable character of the company’s business organization is that it is market oriented. The company is focused on developing technologies which are commercially viable based on nanotechnology. The most important sector offering the largest customer base for the company is the manufacturing sector.
It is clear that all business entities are aimed at optimizing the resources available to them. This being the case, Nanophase was established to offer the new technology which has the potential to revolutionize the way manufacturing processes are conducted.
Due to the above described characteristics, the company operates a customer orientation model of business. The most important principle of this business model is that the customer is king. The company has to constantly develop customized technologies to suite the unique requirements of the entire spectrum of customer base.
Due to the expansiveness of application of the technology, product development becomes a major component of the company’s business model. New products are continually being developed as a way of expanding the customer base for the company as the new technology is yet to be fully entrenched in the market.
However despite the wide application of nanotechnology, the company mainly focuses on products and market opportunities in material science which can be developed within a time frame of 12 to 18 months (Brady,
Application of Herzberg’s Two-Factor Theory Essay essay help online free
Introduction This paper aims to discuss the application of the two-factor theory in project management. This model was introduced by Frederick Herzberg in late fifties, and since that time it has become very popular among business administrators.
Our key task is to show how project management can use it to motivate the employees who participate in the design and construction process such as architects, contractors, interior designers, and other professionals.
Project managers perform a great variety of functions such as planning, staffing or organizing (Demkin, 693); however, ability to provide a stimuli to employees is an important part of their competencies and skills. At this point, Herzberg’s two-factor theory has already proved to be successful areas of business administrators, and it is vital to show how project managers can benefit from it.
The key premises of Herzberg’s two-factor theory Yet, at first it is necessary to discuss some underlying premises of this theory. It stems from the idea that there are two kinds of factors that affect a person’s attitude toward his/her job. The group called motivators includes opportunities for professional growth, career advancement, recognition, or responsibility (Tosi, Mero, Rizzo, 133).
In other words, motivators are those forces which prompt an employee to fulfill his/her potential. In turn, one has to speak about the so-called hygiene factors. This group comprises such factors as job security, compensational policies of a company, working conditions, relations with the management etc (Tosi, Mero, Rizzo, 133).
According to Herzberg, they do not contribute to the creation of dissatisfaction, but their absence inevitably leads to the discontent among employees (Herzberg as cited in Schermerhorn 299). The main reason for it is that hygiene factors are not directly related to professional skills or personal qualities of an employee.
The key argument advanced by the supporters of the two-factor theory is that one cannot motivate employees only by offering them higher wages or fringe benefits. In their opinion, one has to change the nature of work: it must be made more creative or challenging.
Get your 100% original paper on any topic done in as little as 3 hours Learn More Again, it must force the employee to demonstrate his or her best quality. This idea lies at the core of Herzberg’s two-factor theory, and on its basis, business administrators enhance the performance of the employees. It has to be admitted that Herzberg’s theory of motivation is not the only one, to some degree is very Maslow’s hierarchy of needs.
Maslow also argued that every person strives to fulfill his/her creative potential (Maslow as cited in Tosi, Mero, Rizzo, 132); however, Herzberg’s two-factor theory is more adapted toward the needs of management. This is why it seems to be most beneficial for the needs of project managers and other business administrators.
The use of two-factor theory in project management Challenges faced by project managers
Project managers who specialize in construction and design can find this approach very useful. They cooperate with different professionals in the course of their work, namely architects, engineers, consultants, exterior and interior designers, builders, and so forth. Each of these groups sets different expectations for the work, and they must be taken into account.
Another challenge, faced by project managers is that they need to motivate employees who do not work directly for them; moreover, project managers are often perceived as organizers and facilitators rather than motivators (Flame, 257).
As it has been pointed out by David Haviland, project managers, working in construction sphere, deal with high-skilled professionals and traditional method of “carrots and sticks” is not applicable for them (Haviland, 8). These are the issues that should be taken into consideration. In part, David Haviland’s argument confirms the two-factor theory.
At this point, we need to explain how this model can be applied by project managers. For instance, one can take architects; these professional have to possess a great of skills, including technical competence, in-depth understanding of the construction process, profound knowledge of modern technologies, etc.
However, the key component is creativity, and this component seems to be the most rewarding part of being an architect. This is why a project management must provide this person with opportunities for demonstrating his creative talent. It can be done in several ways: on the one hand, the project manager should relax supervision of these employees: they must understand that the project manager puts trust in them.
We will write a custom Essay on Application of Herzberg’s Two-Factor Theory specifically for you! Get your first paper with 15% OFF Learn More Secondly, the project should not restrict their creative capacity. Certainly, an architect has to adhere to a certain style and also take into consideration the needs of people who will occupy the building but no one should be telling architects how exactly they must design a building.
In this way, one would greatly diminish their job satisfaction. Similar strategies can be applied to exterior and interior designers. Overall, these people attach the highest importance to creativity, and project managers must make sure that they have such an opportunity.
Furthermore, project managers work directly with many contractors and consultants. If we are speaking about motivators, we need to single out such factors as empowerment and recognition. These professionals need to receive a certain degree of autonomy and especially ability to make independent decisions. Moreover, one should not overlook the role of recognition.
For instance, while assessing the performance of the workers, the project manager should record every contribution made by consultants, engineers, contractors. If one of them has made recommendations that can facilitate the process of construction, the project manager should definitely recognize this contribution. Those employees, who continuously contribute to the success of the project, should be promoted.
Without recognition and advancement, they people may think that the manager does not value them, and they will gradually become dissatisfied with their work. As we have demonstrated, those people, who take part in construction and design projects, tend to set different expectations for their jobs.
For some of them, creativity is of the highest priority, while others may pay more attention to recognition and advancement. In some cases, this difference can be explained by the peculiarities of the job, itself; yet, very often expectations depend on the personnel traits of an employee.
It is a duty of a project manager to understand what exactly people expect from their job; otherwise, he or she will find it very difficult to motivate them.
Nonetheless, one should not disregard the importance of hygiene factors such as salary, job security, work condition, managerial policies of the company, etc. The project manager has to make sure that every person receives adequate compensation for his/her work.
Not sure if you can write a paper on Application of Herzberg’s Two-Factor Theory by yourself? We can help you for only $16.05 $11/page Learn More Secondly, the project manager should make sure that each member of the personnel does not feel insecure about his or her position in the company since this is one of those factors which lead to discontent and even force employees to search for a different job.
Finally, the project manager must ensure that each consultant, engineer, contractor is occupied with a task that directly matches his/her skills since this is an essential part of work conditions. As a rule, hygiene factors do not provide a powerful stimulus to the employees but they are essential for avoiding employee dissatisfaction.
Conclusion This discussion shows that two-factor theory advanced by Frederick Herzberg can be of great use to project managers who are working on construction and design projects. Their major task is to improve the first group of factors which are usually called motivators.
The thing is that a project manager must know exactly which factor provides the most powerful stimulus to the employees. In some cases, it can be the opportunity to demonstrate one’s creative skills without restrictions, while some employees can value recognition and advancement. Hygiene factors seem to have a similar effect on the workers satisfaction or dissatisfaction.
Works Cited Demkin. J. The architect’s handbook of professional practice. NY: John Wiley and Sons, 2008. Print.
Flame. J. The new project management: tools for an age of rapid change, complexity, and other business realities. London: John Wiley and Sons, 2002. Print.
Haviland. David. Managing Archtectural Projects: The Effective Project Manager. American Institute of Architects. 1985.
Levi. Sidney. Project Management in Construction. Cambridge: McGraw-Hill Professional, 2006. Print.
Schermerhorn John. Exploring Management. New Jersey. John Wiley and Sons, 2009. Print.
Tosi. Henry. Mero Neal, and Rizzo Mero. Managing organizational behavior. NY Wiley-Blackwell, 2000. Print
Waldrep. Lee. Becoming an Architect: A Guide to Careers in Design. Lomdon John Wiley and Sons, 2009. Print.
Work Values Essay online essay help: online essay help
Table of Contents Introduction
Influence of Work Values on Employee Commitment
Introduction The purpose of this essay will be to determine the influence of individual work values on the commitment of an employee to an organization. This essay will seek to define the meaning of work values and also employee commitment and how work values influence the commitment of an employee to an organization.
The type of organization that will be evaluated will be a multinational telecommunications corporation (Vodafone) that has a high number of employees and handles a large customer base.
The essay will seek to determine the kind of organizational factors that exist within the multinational company that affect the work values and organizational commitment of the employees as well as the available structures of work values that are used in many multinational organizations around the world.
The discussion will mostly involve the use of American literature and research work that is available for the last ten years which has offered extensive feedback on the topic.
The focus on Vodafone will be suitable for this study given the diverse number of employees that work for the multinational company around its global offices. The company employs over 80,000 employees around the world who are from diverse ethnic backgrounds and possess individual work values that are necessary when it comes to their job performance.
The study will therefore discuss the concepts of work values and employee commitment by focusing on the global telecommunications company so as to gain a more practical interaction of how work values influence or affect employee commitment to an organization.
Work Values The concept of work values has continued to receive increasing interest amongst various scholars and researchers around the world, especially with regards to its influence on the individual commitment of an employee to their organization.
Get your 100% original paper on any topic done in as little as 3 hours Learn More To better understand the concept, work values are referred to as the set of traits or qualities that are considered to be important by an employee in the performance of their work duties and responsibilities. They are also defined as those qualities that employees within an organization desire to have when performing their work.
Work values are viewed as measures of employee performance since they determine the efficiency and effectiveness of a worker when it comes to completing certain tasks within the organization.
They also provide a measure of the work preferences, ethics, culture and beliefs of the employee, which prove to be beneficial when it comes to performing organizational tasks. Work values also provide a measure of personal need and satisfaction as they allow an employee to reflect upon their individual goals and objectives in the workplace and what they have to do to satisfy their needs (Levy 2003).
Dose (Cited by Matic 2008) defined work values as the standards of evaluation related to work, which employees used to measure the importance and significance of work preferences.
Dose further categorises work values to fall under two dimensions with the first dealing with work values that are based on moral dimensions and the second dealing with the degree of consensus that exists on the importance and desirability of particular work values.
According to Matic (2008), the very first studies of work values were conducted to explain the differences of employee performance and worker motivation when it came to job performance.
Researchers such as Hoppe and Hofstede, who were some of the theorists that conducted early studies on the effect of work values, had their research work incorporated into the development of Maslow’s Hierarchy of Needs and also Herzberg’s explanation of intrinsic and extrinsic needs.
We will write a custom Essay on Work Values specifically for you! Get your first paper with 15% OFF Learn More Matic (2008) noted that Hofstede and Hoppe’s work played an important part in providing a theoretical explanation of how work values motivated employees to perform their work duties.
Based on both current and recent research, work values present a strong implication for many managers as they determine the level of motivation an employee will have towards their job and also the kind of job satisfaction employees will derive from performing their work duties.
Before assigning any duties and tasks, managers usually observe the work values of their employees so that they can be able to determine what work ethic and motivation they possess when carrying out their work duties.
Vodafone, as a multinational corporation, is constantly facing changing and evolving management practices, which has forced its management to continually re-evaluate the work duties and responsibilities of their employees.
In doing so, the company also has to consider the individual work values of its employees to ensure that the management practices and work duties do not conflict with the individual behaviours of an employee. Therefore identifying the work values of an employee plays an important role in redefining work duties and responsibilities within an organization.
According to Hofstede (2001), the work values possessed by an individual worker are usually significant for two reasons; the first of which being that they provide an excellent measure of an employee’s work ethic since they are determined by sociological and cultural factors.
The second reason is that work values have a direct impact on the various faucets and activities that occur within an organization such as employee motivation, job satisfaction, conflict resolution and employee commitment to the organization.
As a result of this, many organizations around the world have restructured their activities to encompass work values, which will be important in achieving value congruence in business operations (Hofstede 2001).
Not sure if you can write a paper on Work Values by yourself? We can help you for only $16.05 $11/page Learn More Because the image of an organization is closely linked to the work ethics the organization wants to convey to its various stakeholders, the individual work values of an employee in all the levels of management become increasingly important, especially for a corporation such as Vodafone that has a large employee base.
Work values become important since they provide managers with a perspective of what is right and wrong within an organization
According to Matic (2008), work values encompass emotions, cognitive processes and behaviour that are related to the performance of work duties and responsibilities where employees demonstrate work value characteristics such as individuality, punctuality, attentiveness, subjectiveness and cooperation towards their organizational tasks and duties.
The personality of an individual is also an important factor when it comes to determining the work values of an employee and this, therefore, contributes to the overall performance of an employee in their work duties. The implication of work values on multinational corporations becomes important, especially when it comes to organizational performance and leadership.
Given the large numbers of employees who work for Vodafone, job performance becomes a top priority due to the large volume of customer queries that are handled by the global telecommunications company in a day or an hour.
Leadership also becomes important to such an organization, especially when managers have to delegate certain roles to their junior staff, such as monitoring the floor operations of the call centre or monitoring the number of calls that have been made in an hour.
Apart from organizational performance and leadership, other implications of work values to an organization are that they assist managers to prepare employees during periods of change, they assist human resource managers to develop suitable and effective reward/compensation systems, they affect changes in management practices and leadership styles and they facilitate open communication within an organization (Li, 2008).
Employee Commitment Employee commitment, which is at times referred to as organizational commitment is the psychological attachment that an employee has to their place of work.
The most common measures that are used to determine the commitment of an employee to an organization include job satisfaction which deals with the feelings an employee has towards their job and organizational identification which is the degree of belonging and oneness that an employee derives from working for an organization.
To further explain employee commitment, Meyer and Allen developed a three-component model of commitment that would be used to identify the various types of commitment that existed within an organization (Mutheveloo and Rose 2005).
The affective commitment level, which is the first part of the model refers to the positive emotional attachment that an employee demonstrates towards their workplace. According to Meyer and Allen, employee’s who were affectively committed to an organization were able to identify with the goals and objectives of an organization which in turn enabled them to have sense of belonging.
Employees who demonstrated affective commitment usually did so because they personally wanted to display attachment and loyalty to the organization. The second part of the model was referred to as continuance commitment which refers to an individual’s commitment to the organization based on their perceived cost of losing organizational membership.
This perceived loss is in terms of economic benefits which the employee gains from committing to an organization, social costs such as friendship ties with co-workers and also financial costs such as rewards and compensations that arise from belonging to an organization (Mutheveloo and Rose 2005).
The third part of Meyer and Allen’s commitment model was normative commitment which refers the feelings of obligation that an employee has towards an organization. These feelings are usually derived from a variety of sources such as when an organization has invested in the training and development of the employee.
An employee in such a case feels obligated to the organization to work extra hard in their work duties so that they can be able to repay the organization for the training exercise. This three-component model of employee commitment therefore explains the various levels/types of commitment that an employee has towards an organization.
According to Mutheveloo and Rose (2005), the concept of employee commitment forms the basis for most human resource management activities within an organization as most human resource policies are directed towards increasing the level of employee commitment with an organization.
Various researchers such as Meyer et al. have set out to identify the various types of employee commitment by viewing them as constructs that can be used to explain the attitudes and behaviours of employees when performing their work duties.
Meyer et al. developed three groups that would be used to explain employee commitment to an organization with the first group being commitment to their work or job where employees demonstrated feelings of attachment towards their job and work responsibilities. Employees with this kind of commitment derived a sense of job satisfaction because of their commitment to work (Mutheveloo and Rose 2005).
Work/job commitment according to the researchers did not however refer to the level of commitment that an employee had to the organization or their jobs. It instead focused on the level of their commitment towards the employment itself where an employee’s sense of duty towards their work was seen as a strong measure of employee commitment.
The second group according to Meyer et al. was career/professional commitment where employees demonstrated a sense of commitment or attachment to jobs that guaranteed them career progression. This category also explained employee attachment to be in the form of any professional training offered to an employee that was meant to improve their professional qualifications (Mutheveloo and Rose 2005).
The third category that would be used to explain employee commitment according to Meyer et al. was organizational commitment which refers to the willingness of employees to accept organizational goals, objectives, beliefs and values as their own by working to achieve them.
The researchers noted organizational commitment was a subset of employee commitment as it required the full involvement and participation of employees in work-related activities Other researchers who developed models that could be used to explain employee commitment within an organization include Angle and Perry with their 1981 model of value commitment, O’Reilly and Chatman with their multidimensional model of compliance, identification and internalization and Jaros et al. with their multidimensional model of affective, continuance and moral levels of employee commitment (Muthuveloo and Rose 2005).
These categorizations and models of employee commitment demonstrate the importance of employee commitment when it comes to motivation to perform work duties within the workplace.
Vodafone has conducted various employee satisfaction surveys to determine the level of commitment that its employees have to the company. These surveys usually take place once every year and they are usually conducted with the sole purpose of determining employee commitment to the global telecommunications company.
The survey also assesses job security, career progression within the company, management practices of senior executives within the organization as well as the overall satisfaction of employees within the organization. The two most important indicators that are used in the survey include employee commitment and employee satisfaction as they form the benchmark of Vodafone in all the international and local divisional offices.
Influence of Work Values on Employee Commitment According to researchers such as Mottaz, Bruning and Snyder, work values play a significant role in the commitment of an employee to an organization, especially when the work values manifest themselves in the behaviour of the employee.
These researchers highlight the fact that employee commitment usually arises from a set of values displayed by an employee towards their work for an extended period of time. Researchers such as Huang, Kidron and Charanyanada have viewed work values to be a major influence of employee commitment because work values strengthen the attachment an employee has towards their organization.
Charanyanada in his 1980 study highlighted the fact that an employee’s investment of time and energy demonstrated the reciprocal relationship that existed between commitment and work values (Ho 2006).
Since work values encompass the behaviour and personality of an individual, the interaction that exists between the individual’s personal characteristics and their work environment is termed to be dynamic as it determines the level of commitment that the employee will have towards the organization.
If the interaction is weakened over time, the individual might lose their sense of commitment forcing them to leave the organization and if the interaction is reinforced the individual might decide to increase their level commitment to the organization by engaging in more work duties.
The various characteristics that make up an employee’s work values, therefore, have a direct influence on the commitment of the employee to the organization (Ho 2006).
Work values according Wollack (cited by Ho 2006) are an important construct of employee commitment to an organization as they play an integral role when it comes to influencing the affective responses of an employee in their place of work. Wollack argues that the work values an employee possesses are usually gained from past work experience within the organization and they, therefore, play an important in determining how an employee will perform their work duties within the organization.
Wollack continues further with his argument on the influence work values have on the commitment of an employee by stating that the personal characteristics of an individual employee usually interact with the stimuli and environmental conditions that exist in the workplace to form the work values that an employee possesses (Ho 2006).
According to other researchers such as Brown who conducted his studies in 1996, Mathieu and Zajac who conducted their studies in 1990 and Rabinowitz and Hall who conducted their studies on work values in 1977, work values have an effect on the overall commitment of an employee to the organization as they represent the three work attitudes that are required from all employees which include job involvement, career salience and organizational commitment.
Because work values represent the psychological investment an employee has placed on their work, they play a great role in determining whether an employee will remain loyal and attached to the organization.
Rokeach concedes that work values are usually gained during the socialisation process that an employee goes through once they become oriented to the organization. Rokeach also concedes that the most valuable socialisation for a human being usually occurs in the home during their formative years and at work when they begin to shape their careers (Ho 2006).
Other researchers who have conducted investigations into the relationship between work values and organizational commitment include Putti et al. in 1989 (cited by Ho 2006) where they noted that the intrinsic work values of an employee had a more direct impact on employee commitment when compared to the extrinsic work values.
Intrinsic values refer to those factors that determine whether the employee’s work is interesting or challenging while the extrinsic values refer to the job benefits an employee gains from tasks that are unrelated to the work job. An example of an extrinsic value is good pension plans, holiday allowances and good medical cover (Ho 2006).
Employees working for multinational telecommunication companies such as Vodafone have demonstrated both extrinsic and intrinsic work values as they both determine the rates of employee turnover in the company, employee motivation and job satisfaction.
According to Tayyab and Tariq (2001 cited by Ho 2006), intrinsic work values were related to normative or norm-based employee commitment to an organization while the extrinsic work values had a relation to the reward-based commitment employee demonstrated towards an organization.
The two authors also identified the existence of a positive correlation between intrinsic work values and the commitment of employees by particularly focusing on executives who worked for the private sector. Based on this relationship, they were able to ascertain that these executives were more committed to an organization when their personal work values were in congruence with those of their direct line managers (Ho 2006).
Huang noted that work values such as employee responsibility and personal achievement were perfect indicators of the level of employee commitment as well as job satisfaction and involvement. Huang also believed that the more work values an employee possessed, the higher their level of commitment to the organization.
Other researchers Lee and Chung (2001, cited by Ho 2006) identified the instrumental work values that exist within most multinational corporations such as Vodafone that have an impact on employee commitment within an organization.
These work values include the stability and freedom of anxious considerations which according to the two researchers was the strongest influencing factor of employee commitment to an organization.
The consideration of economic security was the second most important factor that influenced employee commitment followed by social interaction considerations which involved the social interactions that employees had with their colleagues in the workplace.
The consideration of stability and freedom had a direct influence on the retention commitment of an employee, which meant that low job stability was more than likely to contribute to high employee turnover rates (Ho 2006).
The consideration of security and economic costs directly influenced the effort commitment of an employee where the amount of economic compensation, pension benefits, medical allowance and other employee benefits determined the level of input they placed in their work duties.
The social interaction consideration had the greatest influence on the value commitment of an employee where the social relationships an employee is able to have in an organization determine the level of their commitment to the organization.
Properly identifying the intrinsic and extrinsic factors/work values that are possessed by each individual employee will contribute further to the proper understanding of how work values can be used to improve organizational performance.
Conclusion This discussion has dealt with the concepts of work values and employee commitment within an organization and also how work values influence employee commitment to an organization. Various research work and studies have been conducted on whether work values affect employee commitment and this study has been able to refer to these works so as to build the discussion.
As noted in the study, most of the findings have demonstrated that work values have an effect or influence on employee commitment as they determine the level of motivation and job satisfaction and employee has towards their job.
Work values play an important role in determining the intrinsic and extrinsic work values possessed by an employee when performing their work duties. The study has therefore been able to ascertain that work values play a significant role in the commitment of an employee to an organization.
References Hofstede, G., (2001) Culture’s consequences: comparing values, behaviours, institutions and organizations across nations. Thousand Oaks, California: Sage Publications
Ho, C. C., (2006) A study of the relationships between work values, job involvement and organizational commitment among Taiwanese nurses. Published Thesis. Queensland, Australia: Queensland University of Technology
Levy, P. E., (2003) Industrial/organizational psychology: understanding the workplace. Boston, Massachusetts: Houghton Mifflin
Li, W., (2008) Demographic effects of work values and their management implications. Journal of Business Ethics, 81, pp 875-885
Matic, J. L., (2008) Cultural differences in employee work values and their implications for management. Management, Vol.13, No.2, pp 93-104
Muthuveloo, R., and Rose, R., (2005) Typology of organizational commitment. American Journal of Applied Science, Vol.2, No. 6, pp 1078-1081
Frankenstein’s Historical Context: Review of “In Frankenstein’s Shadow” by Chris Baldrick Essay (Critical Writing) essay help: essay help
Table of Contents Introduction
Aims and objectives of the book under review
Introduction Mary Shelley’s story of Frankenstein and the monster remains one of our contemporary myths. This study reviews this myth by analyzing its history in literature in the pre-film times, beginning with an examination of the strings of meaning arising out of Mary Shelley’s Frankenstein in respect of the political “monstrosity” images occasioned by the French Revolution.
Baldrick goes on to trace the erratic makeovers of the myth in the imaginary tales of Lawrence, Hoffmann, Melville, Hawthorne, Conrad, and Dickens, as well as in writings of Carlyle and Marx (12).
Discussion Monstrosity, according to Baldrick, is to be construed as that was regularly applied as a figure of a specific vice or transgression (13). And when the monster is the king, the quintessence of regal/imperial power whose sanctions or privileges drew expressly from a celestial source, the moral lesson offers even much more fascinating consequences, since a monster-king almost entirely appears as a symbol of God’s trial for the sins and mistakes of a nation or country (14-15).
Baldrick further establishes that “the representation of fearful transgression, in the figure of physical deformity, arises as a variant of that venerable cliché of political discourse, the body politic” (14). He also goes on to contend that in such cases where political turmoil and revolt appear, the ‘body’ is said to be sickly, unproductive, and distorted/ deformed monstrous (15).
In addition, Baldrick concedes that as the state is put in jeopardy to such an extent that it can no longer be reasonably associated with a central and hallowed totality (that is ‘the king’s body’), then the “humanity recognizable form of the body politic is lost, dispersed into a chaos of dismembered and contending organs” (14).
Further Research What Was Victor Frankenstein’s Laboratory Like? 5 541 Describe the Island Where Frankenstein Created a She-Monster 5 22 How Does Elizabeth Die in Frankenstein? 5 89 In Frankenstein, Who Cares for Victor When He Is Stricken with a Fever? 5 95 Lack of appreciation is a monster that relates to another element of monstrosity, and Baldrick stresses that it is the “vices of ingratitude, rebellion, and disobedience, particularly towards parents, that most commonly attract the appellation ‘monstrous’: to be a monster is to break the natural bonds of obligation towards blood-relation” (13).
In Frankenstein, therefore, the most notable attribute of the association between the creator and the creature is insurgency, resistance, or disobedience, regardless of how much it can be reasonable.
Get your 100% original paper on any topic done in as little as 3 hours Learn More Baldrick’s ‘In Frankenstein’s Shadow’ is an indispensable input to what is promptly gaining primacy as decisive and learned compromise regarding the integral nature of Mary Shelly’s narrative to the comprehension of the two concepts of the Romantic ‘spirit of the age’ and of mythical modernism (15).
Baldrick convincingly explores and analyzes the extent to which the ‘myth of modernism’ and Shelly’s discourse permeated the 1800s, particularly in England, France, and Germany.
It is to be appreciated here. Thus, that of significance is affectionate, motherly, and fostering presence in the rearing of a child. Mastery of language and a myriad of emotions, and isolation and lack of motherly or relational love and care alter personality into a real monstrous self (24).
The damage and waste occasioned by the constant fights between the creator and the creature have been construed as a warning of the imminent dangers of contemporary science.
Aims and objectives of the book under review In his new and fascinating book, Chris Baldrick (1987) reviews the importance of monstrosity in respect of the 1800s writings with a concentration on the significance of monstrosity in the context of the nineteen-century writing, focusing on the classification of Frankenstein as a myth.
In fact, Baldrick succeeds in impressing upon us the contention or assertion that “in modern usage, ‘monster’ means something frighteningly unnatural or of enormous dimensions” (10).
Conversely, prior usages which persist to the 1800s, the term ‘monster’ was associated with such implications/undertones which were both physical and obviously moral and as Baldrick contends, the ultimate goal is: “to reveal the results of vice, folly, and unreason visibly, as a warning to erring humanity” (10).
We will write a custom Critical Writing on Frankenstein’s Historical Context: Review of “In Frankenstein’s Shadow” by Chris Baldrick specifically for you! Get your first paper with 15% OFF Learn More In this, he succeeds by comparing colonialism and imperialism to the monster, which was created by humans but which has finally turned against them.
He goes on to propose that, in general, sense, it is worth appreciating that the monster is “one who has far transgressed the bounds of nature as to become a moral advertisement” (12). Therefore, one who disobeys authority is a monster.
Critique In spite of the wits and lots of significance that Baldrick’s review project, it is pretty obvious that he fails to invoke other writers’ ideas in expounding on the subject. Notable here is his failure to refer to Richard III, yet this is an excellent resource worth being consulted.
Therefore, my belief is that the story/drama maintains reasonable associations with the skeptic’s contentions, in which Richard III appears to provide a connection in the main chain of the handling of monstrosity resulting in the theoretical framework which appears in Frankenstein.
More on the Topic Which of the Conflicts in Frankenstein Drives the Story Forward? 5 102 How Has Victor Changed by the End of Frankenstein? 5 237 Which Quote from Frankenstein Brings Out the Theme of Revenge in the Novel? 5 175 What Is Frankenstein’s Monster’s Name? 5 59 From a conflict perspective, therefore, the monster here stands for the industrial working class, the fodder of the owners of the means, the obliteration of the body politic by the masses during the French Revolution, and a dystopia born of excessively massive growth in population (16).
Baldrick’s view of both the monster and the intended companion as subalterns and less human is central to the process and practice of colonization and the whole concept of imperialism, in which the colonial master is powerful and superior compared to the powerless and inferior servant/slave. The novel further generates, unexpectedly, patriarchal anxiety arising from the fact that the author, Shelly, is a woman (45).
Though the completion of this novel might have gained the impetus from the desires of both Mary and her husband, such other factors as debates between the vitalism and materialism school of thoughts might also have motivated the completion.
Conclusion The central thesis of the book is an actual nightmare of being held up in a monster that is disturbed by its own image on top of being frowned at, shunned and avoided by the society, qualify as a social repugnant.
Not sure if you can write a paper on Frankenstein’s Historical Context: Review of “In Frankenstein’s Shadow” by Chris Baldrick by yourself? We can help you for only $16.05 $11/page Learn More This novel essentially proposes to the contemporary reader to rethink the position and propositions of science, especially in view of such controversial subjects as genetic engineering and other areas where modern technology is highly appropriated. The book also succeeds in impressing upon us the need to reconsider the association we have with our own body and its association with the universe.
This Baldrick proposes to be done by questioning the preconceived viewpoints of aesthetics, especially the manner in which the creature is shunned by the society by virtue of its physical appearance. Finally, Baldrick reveals that the myth’s most influential associations have “centered on human relationships, the family, work, and politics” (33).
Culture in Organization Essay college essay help online
Introduction Successful organizations are always highly focused and have profound understanding of their customers’ needs, the competitive environment, and economic realities. This can be attained through implementation of high performance work practices and effective management of the workforce (Pfeffer, 1998).
According to Schein, one important aspect of successful organization is organizational culture, which is defined as a set of unique values or beliefs shared by members in an organization (Schein, 2004, p.12).
Alternatively, organizational culture is also defined as a system of shared meaning in an organization (Dwevedi, 1995, p.9). Organizational culture has some key components including shared values, norms, expectations and assumptions (Fong
Critical Close Reading of Benedict Anderson’s ‘Introduction’ in his “Imagined Communities” Essay college admission essay help: college admission essay help
In his Imagined Societies, Benedict Anderson proposes that nations are imagined political communities, which are limited in scope and are self-governing. He argues that a nation is an imagined community because members of nation who may not know each other but still have same national identity (Anderson 1991, p.7).
Anderson insists that the “end of the era of nationalism” is prevalent with the current globalization. He emphasizes imagination plays an important part in creating a national identity.
He rejects the Marxist theories on nationalism based on the war between Cambodia, China, and Vietnam; countries that uphold the Marxist ideologies. He further argues that revolutions have negative implications on nations and nationalism. He supports this argument by giving a historical account of the Soviet Union’s disintegration into smaller nations, which has rendered nation-states irrelevant (Anderson 1991, p.5).
By this, he suggests that Marxism only works when there is recognition of nationalism. Anderson argues that nationalism comes into being based on economical equity of the people and once established, it is difficult to take it away.
Anderson further argues that nationalism is the basic component of modernity and that loyalty to race or specific class is only secondary to nationalism. Anderson portrays nationalism as still relevant even in the face of globalization and requires self-sacrifice especially in cases where inequality and exploitation are prevalent.
Although Anderson is correct in his proposition that nations are imagined and that nationalism requires sacrifice, he fails to give clear definition of a ‘community’ and how it is different from nationalism; therefore, I do not agree with this argument.
The communities that make up a nation are imaginary just like nationalism. He further claims to justify Marxism and liberalism as ‘universalistic ideologies, ill-at-ease with nationalism’ thus suggesting that the ideologies support nationalism but states that both these ideologies do not involve cultural aspects of nationalism.
Get your 100% original paper on any topic done in as little as 3 hours Learn More According to Anderson “nationality… nation-ness, as well as nationalism, are cultural artifacts of a particular kind” (1991, p.6). This argument is correct because communities always identify themselves with culture and thus the nationalism must appreciate culture.
Anderson’s claim that a nation is imagined, does not mean that a nation is unreal or that nations exist somewhere in dreamland. He instead proposes that nationalism is a process brought about by common culture and interests among people that in the end pulls them together as they strive for a common goal.
This means that political and cultural factors contribute to nationalism as people ‘imagine’ that their cultural beliefs and attitudes are common. Therefore, the people remain aware that their personal opinions are national. Anderson further argues that nations represent political entities with physical boundaries rather than entities that are limitless.
Anderson proposes that the concept of the nation is recent and it came into being the late-eighteenth century to take over the regimes that were dependent on monarchies or religious governance. By this, he suggests that within the precepts of nationalism, sovereignty is important. A nation therefore must conceptualize sovereignty and rule over its national citizens.
However, the national rule should be over limited population demographics and within limited territorial boundaries. He further argues that patriotism is a national duty of all the citizens of a nation and that the sacrifice for the sake of nationalism is important. In times of war, citizens forget their class boundaries or ethnicity in their united struggle for national victory and survival.
Reference Anderson, B., 1991. Imagined Communities: Reflections on the Origin and Spread of Nationalism. New York: Verso.
Concepts of Factor Analysis Essay best essay help
Table of Contents Introduction
Descriptive statistics and correlations
Introduction Factor analysis is a useful exploratory tool which is helpful in determining the number of factors that should be extracted. The factors that are extracted are those that have a meaningful share of variance and the rest of the variables and their interrelationships are discarded.
Variables which exhibit maximal correlation are clustered together while variables with equivalent minimal correlations are also grouped together. In the end, it becomes possible to establish a relationship(s) or factors which display the data candidly leaving out the less significant factors out.
An interpretation of the factor loadings is essential in correlating extracted factors with meaningful variables (Newcastle University, 2007). For this project, the aim is to find out commonalities that are likely to exist between four variables i.e. rath (Rathus assertiveness Scale), crwone-marlowe (Crowne-Marlowe Social Desirability Scale), axin (“Anger in” scale) and axout (“Anger out” scale).
Complete_mooney_bp.sav dataset based on the four variables was used to conduct Factor analysis. It is speculated that up to three factors are measured by the four instruments (scales).
Descriptive statistics and correlations All the factors have the same sample size, N = 63. The mean for crowne-marlowe is.6829 and a standard deviation of.0762. Axin had a mean of 2.2560 with a standard deviation of.4543 while axout had a mean of 2.1071 with a standard deviation of.4277. Finally, the mean for rath was 3.3860 with a standard deviation of.4370.
From the means, it is evident that rath i.e. assertiveness is the most important factor in determining anger in, anger out or even social desirability as it has the highest mean of 3.3860, followed by axin, axout and crowne-marlowe social desirability is the least influential variable.
In summary, the Rathus assertiveness scale has the highest likelihood of being among the factors that should be retained. The “Anger Out” scale, the “Anger Out” scale and the Crowne-marlowe desirability scales then follow in that order.
Get your 100% original paper on any topic done in as little as 3 hours Learn More The Pearson correlation coefficients and their single-tailed significance values are presented in Table 2. There is a weak negative Pearson correlation between axin and crowne-marlowe and this is statistically significant, r = -.247, p =.026. A negative and weak Pearson correlation also exists between axout and crowne-marlowe but this is not statistically significant, r = -.197, p =.060.
Rath and crowne-marlowe have a very weak positive correlation which is not statistically significant, r =.048, p =.353.
There is a weak negative correlation between axout and axin which is not statistically significant, r = -.005, p =.486 whereas the correlation between rath and axin is negative but statistically significant, r = -.383, p=.001. There exists a weak positive correlation between rath and axout and the correlation is statistically significant, r =.286, p =.012. All correlations between variables and themselves are 1.
Communalities Table 3 indicates the communalities prior to and after extraction. The extraction method utilized in this case is the principal component analysis whose assumption is that there is commonness in all variance. That is the reason why the communalities for all factors are 1 prior to extraction. The ‘’extraction” column provides the common variance exhibited in the data structure.
It is therefore correct to say that 65.6 percent of variance associated with crowne-marlowe is common/shared variance or.656 of variance is explained by crowne-marlowe. A communality of.697 for axin after extraction indicates that 69.7 percent of variance associated with axin is shared variance, which can also be stated that.697 is the amount of variance in axin that is explained by the two retained factors (factor 1 and factor 2).
A communality of.703 for axout after extraction implies that 70.3 percent of variance associated with axout is shared variance or.703 is the amount of variance in axout that is explained by factor 1 and factor 2 as the retained factors. Finally, a communality of.733 for rath is an indication that 73.3 percent of variance associated with rath is common variance or.733 is the amount of variance in rath that is explained factor 1 and factor 2.
Consideration for whether to use the Kaiser criterion (where factors with eigenvalues above 1 are retained) or the Scree Plot in determining the factors that should be retained is made depending on the sample size, number of variables and average communality.
We will write a custom Essay on Concepts of Factor Analysis specifically for you! Get your first paper with 15% OFF Learn More Field (2005) explains that the Kaiser’s criterion is used if average communality is at least 0.7 and the variables are not more than 30. In addition, the same criterion is considered if the sample size is more than 250 with an average communality of at least 0.6.
Failure to meet any of the above conditions calls for the use of the Scree Plot bur the sample size has to be large enough i.e. at least a sample size of 300. In this project, the average communality was 2.789/4 =.69725, there were 4 variables and the sample size was less than 250.
As such, the Kaiser’s criterion was applied since the communality is approximately 0.7 and the variables are less than 30 and hence the first condition was met. This led to the retention of all factors with an Eigen value above 1 (Factor 1 and Factor 2.
Even going with the Scree Plot (Figure 1) which is suitable for sample sizes that are larger than 300, the first point of inflexion is after the second factor and it is clear that the Eigenvalue is greater than 1. It is therefore justifiable to retain two factors only i.e. the first and the second factor, since they lie above eigenvalue 1 and appear before the graph starts to flatten.
Variance explained The Eigenvalues associated with every factor (linear component) prior to extraction and after extraction are provided in Table 4. Prior to extraction, it is evident that there were 4 linear components in the complete_mooney_bp.sav dataset. The variance explained by every factor is given by correspondent Eigenvalues and these are displayed in percentage form.
In that case, factor 1 explains 37.636 percent variance whereas factor 2 explains 32.102 percent variance. Only two factors have Eigen values greater than 1 in this dataset and therefore only the two factors are extracted (factor 1 and factor 2) and the other two factors can be considered as non-significant.
The Eigenvalues and percentage variance for the two extracted factors are again displayed under the ‘Extraction Sums of Squared Loadings’ column.
It is evident that the cumulative variance that is explained by both factor 1 and factor 2 (extracted factors) is 69.738 percent variance. From the ‘total variance explained’ output, it becomes clear that the largest variance is given by factor 1 and factor 2 and discarding the rest of the factors is justifiable.
Not sure if you can write a paper on Concepts of Factor Analysis by yourself? We can help you for only $16.05 $11/page Learn More Component matrix Table 5 is a component matrix table prior to rotation and the loading of each variable onto the two extracted factors is provided. In this case, all loadings were produced where the loading of crwone-marlowe onto extracted factor 1 is.327 and -.741 onto factor 2.
Axin has a loading of -.782 on factor 1 and a loading of.290 onto factor 2. The loading of axout onto factor 1 was.343 whereas the loading of axout for factor 2 is.766. Finally, the loading of rath onto factor 1 is.818 with the loading of rath onto factor 2 being.253.
It is also possible to view Table 5 as correlations between variables and the various unrotated factors. In that case, the correlation between crowne-marlowe and factor 1 is.327 whereas the correlation between crowne-marlowe and factor 2 is -.741.
The correlation between axin and factor 1 is -.782 while the correlation between the same variable and factor 2 is.290. The correlation between axout and factor 1 and factor 2 is.343 and.766 respectively. Finally, the correlation between rath and factor 1 is.818 and the correlation between rath and factor 2 is.253.
It is evident that rath has and axin has the highest loading/strongest correlation with factor 1 while crowne-marlowe and axout have the highest loading on factor 2. Since the highest load on factor 1 is rath, it is arguable to label factor 1 as assertiveness (based on Rathus Assertiveness Scale).
On the other hand, axout seems to have the highest loading on factor 2 and thus it is arguable that factor 2 can be labeled as tendency to let anger out. From the interpretations of the component matrix it appears that the researcher was mainly/or should concentrate on finding out the relationship between assertiveness and tendency to express anger out.
In other words, it is evident that at least two factors are measured by both the Rathus Assertiveness Scale and the “Anger Out” scale. Indeed, it can be said that the more an individual is assertive, the less likely the individual is to hold anger “in.” In other words, assertive individuals tend to express anger more openly. Increased assertiveness leads to decreased tendency to hold anger in.
Summary Factor analysis is helpful in determining which variables should be retained by looking for variables with maximal relationships. From the above factor analysis, it has been demonstrated that among the four variables i.e. Rathus Assertiveness Scale, Crowne-Marlowe Desirability Scale, “Anger Out” scale and “Anger In” scale, there exists stronger correlations between factor 1 and Rathus Assertiveness Scale and factor 2 with “Anger Out” scale.
This is demonstrated by high means for these variables and the fact that they are the only factors that are extracted, or meeting criteria for extraction in the analysis. The variances explained by the two factors have a lion share in the total variance with a cumulative variance of 69.738 percent being registered for factor 1 and factor 2.
The variance that is explained by factor 1 alone is large enough (37.636%) to qualify the factor for retention. This is the same with factor 2 which explains 32.102% of the variance.
Moreover, both factor 1 and factor 2 have eigenvalues above 1. Finally, the loadings of the two factors on the variables are of significance with factor 1 having a loading of.818 onto rath (Rathus Assertivness Scale) while factor 2 had a loading of.766 onto factor 2.
It is from these observations that it is concluded that factor 1 can be labeled as the Rathus Assertiveness Scale while factor 2 is labeled as “Anger Out” scale. These two variables are therefore essentially important in the study and for sure, assertiveness and tendency to express “anger out” can be measured by these two instruments (scales).
Appendix Table 1: Descriptive Statistics
Descriptive Statistics Mean Std. Deviation Analysis N crowne-marlowe .6829 .07621 63 axin 2.2560 .45427 63 axout 2.1071 .42766 63 rath 3.3860 .43697 63 Table 2: Correlations of all Factors
Correlation Matrix crowne-marlowe axin axout rath Correlation crowne-marlowe 1.000 -.247 -.197 .048 axin -.247 1.000 -.005 -.383 axout -.197 -.005 1.000 .286 rath .048 -.383 .286 1.000 Sig. (1-tailed) crowne-marlowe .026 .060 .353 axin .026 .486 .001 axout .060 .486 .012 rath .353 .001 .012 Table 3: Communalities-Before and after Extraction
Communalities Initial Extraction crowne-marlowe 1.000 .656 axin 1.000 .697 axout 1.000 .703 rath 1.000 .733 Extraction Method: Principal Component Analysis. Table 4: Total Variances (Variance and Cumulative Variance)
Total Variance Explained Component Initial Eigenvalues Extraction Sums of Squared Loadings Total % of Variance Cumulative % Total % of Variance Cumulative % 1 1.505 37.636 37.636 1.505 37.636 37.636 2 1.284 32.102 69.738 1.284 32.102 69.738 3 .688 17.204 86.941 4 .522 13.059 100.000 Extraction Method: Principal Component Analysis. Table 5: Component Matrix
Component Matrixa Component 1 2 crowne-marlowe .327 -.741 axin -.782 .290 axout .343 .766 rath .818 .253 Extraction Method: Principal Component Analysis. a. 2 components extracted. Figure 1: Scree plot of Eigen Value against Component Number
Reference Field, A. P. (2005). Discovering statistics using SPSS (2nd edition). Sage: London.
Newcastle University. (2007). How to perform and interpret Factor Analysis using SPSS. Retrieved from https://www.ncl.ac.uk/