Saturday, August 31, 2019

Indenting

Indenting Principles of indenting: – ? Budget. ? Type of Establishment. ? Method of Preparation. ? Availability in Season. ? Place of Availability. ? Left overs in Hand. 1] Budgeting: – Budget of an orgnisation. A fixed indenting that means amount of money which is spent for a particular dish. e. g. : – A particular dish can be prepared by using expensive items as given in the original recipe, but if it does not fit the budget some manipulation have to be done use of substitutes n inferior quality ingredients can be used. Portion size can be reduced keeping the price of the dish constant which will directly affect indenting. ] Type of Establishment: – The amount of food required for different places is different. e. g. : – Industrial canteens serve 150 gms of rice per portion whereas rice served in a buffet or banquet party of a 5 star hotel is 40-50 gms per portion. 3] Method of Preparation: – It also affect indenting that means many ways ca n be used to prepare n get a desire result. For a dish n amount of ingredients vary directly due to the different methods of preparation. e. g. : – Rice can be prepared by draining method or absorption method the yield in draining method is much more than absorption method.So it affects indenting. 4] Availability in Season: – Food ingredients available in the season should be used for preparing a dish which affect indenting directly. e. g. : – In preparation of Aloo Mutter during season fresh peas should be indented n in off season dried or frozen. 5] Place of Availability: – For purchasing of food ingredients in hotel and organizations, tenders are invited and suppliers with the lower quotation and good quality get the order. The quantity is considered while indenting the price which should be reasonably low than other quotation. 6] Leftovers in Hands: –They are used to make up new dishes and serve to the customers as today’s special. This helps the organisations to control wastage of food and the additional item will also reduce indenting of goods. Portion for Bulk Production Quantity and portion for bulk production are as follows: – A] Rice: – †¢ Absorption Method: – 100 gms per portion. †¢ Draining Method: – 75-80 gms per portion. †¢ Industrial Canteen: – 125-150 gms per portion. †¢ Buffet: – 40-50 gms per portion. Proportion of rice and Vegs is 2:1 and rice and mutton is 4:3. B] Indian Breads: – C] Mutton: – †¢ Mutton with bones 125 gms per portion. Without bones 80 gms per portion. †¢ If served in a thali 40-50 gms per portion. †¢ Minced meat 60 gms per portion. †¢ Chicken with bone 125 gms per portion. †¢ Chicken with bone 75 gms per portion. †¢ Avearge or Std wt of Chicken is 1. 36 kg. †¢ 1 Kg of boneless chicken in gives 450-500 gms. †¢ Tandoori chicken is served 2 portion from per chicken. †¢ Roast chicken is served 4 portion from a chicken. †¢ Chicken used for gravies 8 portion from per chicken. †¢ Chicken used in soups 30 gms per portion. D] Fish: – – 1 std fish gives 5 portion and 2 or 4 fillets which is 80 gms per portion. – Prawns without shelling 120 gms per portion.After shelling 100 gms per portion. E] Veg: – ? Besan used 250 gms for 1 kg of potatoes ? Oil 7. 5ml per wada. ? 1 kg of sago- 50 wada. F] Dal: – 1. 30 gms per portion but when served in a buffet 10-12 gms per portion. Chana, Rajma, Chawli – 40 gms per portion becomes double after boiling and 120 gms of gravy after preparation. 2. 1 kg of udid dal gives 55 nos of medu wadas. 3. 1 kg of chana dal gives 45 nos of dal wadas. 4. For idlis rice and dal proportion is 2:1. 1 kg will give 40 dosa. 5. 1 coconut gives 200 ms of coconut which serve 30 people. 6. Pickles 0. 5 per portion. 7. Papad 1 per portion. 5-30 nos per packet. G] Desserts: – †¢ Sheera 40 gms of rawa 30 gms sugar, 10 gms of fat, 80-100 ml of water or milk for 1 porion. †¢ Semiyan Kheer, Semiya 15 gms, milk 100 ml, sugar 30-40 gms, fat 10-15 gms per portion. If dry semiyas is made 45-50 gms is taken for one portion and milk is reduce accordingly. †¢ Gulab Jamun, 1kg of mawa-80 gulab jamun. 200 gms of refined flour for binding 2 kg of sugar for syrup. †¢ Jalebi, 1 kg of maida, 200 gms of bean, 200 ml of oil, 200 gms curd and 2 kg of sugar for syrup. †¢ Boondis, 1kg of besan- 5kg of sweet boondies, suagr 2. 5 kg. 1 kg of besan gives 2. 5-3 kg of Khara Boondi. Custard for 2 portion, 1 egg, 30 gms sugar, 150 ml milk, 7-8 gms gelatine. †¢ Rasgullas, 1 ltr of milk gives 300-400 gms cottage cheese which gives 40 rasugullas, suagr 2 kg for syrup. Practical difficulties involved in indenting: – Indenting is similar to requisition which is an inter-department document sent for a particular requirement which may be dry goods, food stuf fs, cleaning materials or stationery. However in terms of food it is always referred to an indent which means a document stating requirement of goods in terms of description, quality specification, units and quantity required etc. t is sent to the stores. Stores collect indent from various department and collectively place order to the supplier to send such material on a specified date and time. Factors affecting indenting in the terms just explained above it is not easy when indenting for smaller quantity for 1 recipe because 1 batch of goods would be excess for that recipe. Indenting for a 1000 meal or buffet or banquet or coffee shop or industrial canteen is much easier than indenting. For single portion the factors considered while in denting for large quantity are:- ] No of persons: – Larger the number of people lesser the quantity. 2] No of items on the menu: – More the no of items quality are less. 3] Choice provided on the menu. 4] No of non-veg items on the me nu. 5] Vegetarian alternatives. 6] No of vegetarians. 7] Beef, Mutton, Chicken etc eaten. 8] Inclusion of Indian bread. 9] Types of Clientele. 10] Choice of desserts provided. 11] Consistency of the dish. E. g. thick or thin gravies. 12] Selling price of the menu. 13] par stock of raw material. 14] Mise-en-place to be done. 15] Type of service. E. g. Banquet, buffets or table service[pic][pic]

Moral Reflection

Everyday in our lives we are forced into making moral decisions about anything under the sun. There are situations that make such process difficult, and there are situations where the answer appears to be just right in front of our faces. I believe it would be difficult for anyone to decide on any ethical dilemma if he has no clear idea of morality.Personally, I am aware that of at least two ethical principles that guide me in my everyday ethical decision-making. These are utilitarianism and Kantian moral philosophy. utilitarianism holds that a person’s action would be considered morally right if it tends to promote happiness for the greatest number of people. Thus, utilitarianism as a moral philosophy places emphasis on the consequences of human action, rather than on the motives behind such action (West).On the other hand, Kantian moral philosophy, or more popularly known as the categorical imperative, is based on notions of obligation, necessity and reason. Kant believed th at morality consists in the choosing and doing proper conduct, and the proper action is dictated solely by rational considerations. Thus, Kant holds that subjective considerations, including emotions, should not be considered in moral decision-making (The Internet Encyclopedia of Philosophy).I believe in both these theories and I use them both when I decide everyday ethical dilemmas. There are times when. I believe purely rational considerations should prevail, but there are times that I also consider subjective factors like emotions. I believe that both theories guide my actions and decisions, and both allow me to weigh various considerations in my mind.Nevertheless, I believe that Kant’s method in determining the right conduct is a better decision-making process, because Kant provded clear criteria for choosing. Kant provided this rule, thus:â€Å"So act, that the rule on which thou actest would admit of being adopted as a law   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   by all rational b eings. (Kant).†This rule is easier to follow since it does not fluctuate depending on my mood or subjective predilection, which could change in any day. It serves as a â€Å"true north,† which teaches all men how to think and decide moral dilemmas.One moral issue that deeply concerns me is euthanasia, or mercy killing. Euthanasia is defined as an act characterized by â€Å"the intentional ending of a patient's life by a physician, usually by lethal injection (Religion Facts).†Ã‚   Euthanasia is always being raised as an option where a person is with a terminal illness and slim chances of recovering. It is an important issue for me because I could easily imagine myself in the position of the sick person’s family, and I could imagine subjective feelings that would dictate either euthanasia or maintaining life support. In these kinds of situations, utilitarianism could support either position, as the decision would depend on the consequences of an action. On the other hand, Kantian philosophy could provide a more definitive answer, but such answer would definitely not consider emotions, because these are subjective factors that are not based on reason.Works CitedKant, I. The Metaphysics of Ethics. 1886.MacDonald, Chris. â€Å"Moral Decision Making — An Analysis.† 2002. 14 Feb. 2008.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   .Religion Facts. â€Å"Facts and Statistics on Euthanasia.† 14 Feb. 2008.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   ;http://www.religionfacts.com/euthanasia/stats.htm;.The Internet Encyclopedia of Philosophy. â€Å"The Categorical Imperative.† 2001. 14 Feb.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   2008.;http://www.nd.edu/~rbarger/categorical-imperative.html;.West, Henry R. â€Å"Utilitarianism.† Encyclopà ¦dia Britannica. 14 Feb. 2008.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   ;http://www.utilitarianism.com/utilitarianism.html;.

Friday, August 30, 2019

Glutathione

Glutathione (GSH) is a tripeptide that contains an unusual peptide linkage between the amine group of cysteine (which is attached by normal peptide linkage to a glycine) and the carboxyl group of the glutamate side-chain. It is an antioxidant, preventing damage to important cellular components caused by reactive oxygen species such as free radicals and peroxides. [2] Thiol groups are reducing agents, existing at a concentration of approximately 5 mM in animal cells. Glutathione reduces disulfide bonds formed within cytoplasmic proteins to cysteines by serving as an electron donor. In the process, glutathione is converted to its oxidized form glutathione disulfide (GSSG), also called L(-)-Glutathione. Glutathione is found almost exclusively in its reduced form, since the enzyme that reverts it from its oxidized form, glutathione reductase, is constitutively active and inducible upon oxidative stress. In fact, the ratio of reduced glutathione to oxidized glutathione within cells is often used as a measure of cellular toxicity. 3] Glutathione is not an essential nutrient (meaning it does not have to be obtained via food), since it can be synthesized in the body from the amino acids L-cysteine, L-glutamic acid, and glycine. The sulfhydryl (thiol) group (SH) of cysteine serves as a proton donor and is responsible for the biological activity of glutathione. Provision of this amino acid is the rate-limiting factor in glutathione synthesis by the cells, since cysteine is relatively rare in foodstuffs. Furthermore, if released as the free amino acid, cysteine is toxic and spontaneously catabolized in the gastrointestinal tract and blood plasma. [4] Glutathione is synthesized in two adenosine triphosphate-dependent steps: * First, gamma-glutamylcysteine is synthesized from L-glutamate and cysteine via the enzyme gamma-glutamylcysteine synthetase (a. k. a. glutamate cysteine ligase, GCL). This reaction is the rate-limiting step in glutathione synthesis. citation needed] * Second, glycine is added to the C-terminal of gamma-glutamylcysteine via the enzyme glutathione synthetase. Animal glutamate cysteine ligase (GCL) is a heterodimeric enzyme composed of a catalytic (GCLC) and modulatory (GCLM) subunit. GCLC constitutes all the enzymatic activity, whereas GCLM increases the catalytic efficiency of GCLC. Mice lacking GCLC (i. e. , all de novo GSH synthesis) die before birth. [5] Mice lacking GCLM demonstrate no outward phenotype, but exhibit marked decrease in GSH and increased sensiti vity to toxic insults. 6][7][8] While all cells in the human body are capable of synthesizing glutathione, liver glutathione synthesis has been shown to be essential. Mice with genetically-induced loss of GCLC (i. e. , GSH synthesis) only in the liver die within 1 month of birth. [9] The plant glutamate cysteine ligase (GCL) is a redox-sensitive homodimeric enzyme, conserved in the plant kingdom. [10] In an oxidizing environment, intermolecular disulfide bridges are formed and the enzyme switches to the dimeric active state. The mid-point potential of the critical cysteine pair is -318 mV. In addition to the redox-dependent control is the plant GCL enzyme feedback inhibited by GSH. [11] GCL is exclusively located in plastids, and glutathione synthetase is dual-targeted to plastids and cytosol, thus are GSH and gamma-glutamylcysteine exported from the plastids. [12] Both glutathione biosynthesis enzymes are essential in plants; knock-outs of GCL and GS are lethal to embryo and seedling. [13] The biosynthesis pathway for glutathione is found in some bacteria, like cyanobacteria and proteobacteria, but is missing in many other bacteria. Most eukaryotes synthesize glutathione, including humans, but some do not, such as Leguminosae, Entamoeba, and Giardia. The only archaea that make glutathione are halobacteria. [14][15] [edit] Function Glutathione exists in reduced (GSH) and oxidized (GSSG) states. In the reduced state, the thiol group of cysteine is able to donate a reducing equivalent (H++ e-) to other unstable molecules, such as reactive oxygen species. In donating an electron, glutathione itself becomes reactive, but readily reacts with another reactive glutathione to form glutathione isulfide (GSSG). Such a reaction is possible due to the relatively high concentration of glutathione in cells (up to 5 mM in the liver). GSH can be regenerated from GSSG by the enzyme glutathione reductase. In healthy cells and tissue, more than 90% of the total glutathione pool is in the reduced form (GSH) and less than 10% exists in the disulfide form (GSSG). An increased GSSG-to-GSH ratio is considered indicative of oxidative str ess. Glutathione has multiple functions: It is the major endogenous antioxidant produced by the cells, participating directly in the neutralization of free radicals and reactive oxygen compounds, as well as maintaining exogenous antioxidants such as vitamins C and E in their reduced (active) forms. [16][citation needed] * Regulation of the nitric oxide cycle, which is critical for life but can be problematic if unregulated [17] * Through direct conjugation, it detoxifies many xenobiotics (foreign compounds) and carcinogens, both organic and inorganic. This includes heavy metals such as mercury, lead, and arsenic. [citation needed] * It is essential for the immune system to exert its full potential, e. g. , (1) modulating antigen presentation to lymphocytes, thereby influencing cytokine production and type of response (cellular or humoral) that develops, (2) enhancing proliferation of lymphocytes, thereby increasing magnitude of response, (3) enhancing killing activity of cytotoxic T cells and NK cells, and (4) regulating apoptosis, thereby maintaining control of the immune response. citation needed] * It plays a fundamental role in numerous metabolic and biochemical reactions such as DNA synthesis and repair, protein synthesis, prostaglandin synthesis, amino acid transport, and enzyme activation. Thus, every system in the body can be affected by the state of the glutathione system, especially the immune system, the nervous system, the gastrointestinal system and the lungs. [4] Function in animals GSH is known as a substrate in both conjugation reactions and reduction reactions, catalyzed by glutathione S-transferase enzymes in cytosol, microsomes, and mitochondria. However, it is also capable of participating in non-enzymatic conjugation with some chemicals. In the case of N-acetyl-p-benzoquinone imine (NAPQI), the reactive cytochrome P450-reactive metabolite formed by paracetamol (or acetaminophen as it is known in the US), that becomes toxic when GSH is depleted by an overdose of acetaminophen, Glutathione is an essential antidote to overdose. Glutathione conjugates to NAPQI and helps to detoxify it. In this capacity, it protects cellular protein thiol groups, which would otherwise become covalently modified; when all GSH has been spent, NAPQI begins to react with the cellular proteins, killing the cells in the process. The preferred treatment for an overdose of this painkiller is the administration (usually in atomized form) of N-acetyl-L-cysteine (often as a trademarked preparation called Mucomyst ® [1]), which is processed by cells to L-cysteine and used in the de novo synthesis of GSH. Glutathione (GSH) participates in leukotriene synthesis and is a cofactor for the enzyme glutathione peroxidase. It is also important as a hydrophilic molecule that is added to lipophilic toxins and waste in the liver during biotransformation before they can become part of the bile. Glutathione is also needed for the detoxification of methylglyoxal, a toxin produced as a by-product of metabolism. This detoxification reaction is carried out by the glyoxalase system. Glyoxalase I (EC 4. 4. 1. ) catalyzes the conversion of methylglyoxal and reduced glutathione to S-D-lactoyl-glutathione. Glyoxalase II (EC 3. 1. 2. 6) catalyzes the hydrolysis of S-D-lactoyl-glutathione to glutathione and D-lactic acid. Glutathione has recently been used as an inhibitor of melanin in the cosmetics industry. In countries like Japan and the Philippines, this product is sold as a whitening soap. Glutathione competitively inhibits melanin synthesis in the reaction of tyrosinase and L-DOPA by interrupting L-DO PA's ability to bind to tyrosinase during melanin synthesis. The inhibition of melanin synthesis was reversed by increasing the concentration of L-DOPA, but not by increasing tyrosinase. Although the synthesized melanin was aggregated within 1 h, the aggregation was inhibited by the addition of glutathione. These results indicate that glutathione inhibits the synthesis and agglutination of melanin by interrupting the function of L-DOPA. â€Å"[18] Function in plants In plants, glutathione is crucial for biotic and abiotic stress management. It is a pivotal component of the glutathione-ascorbate cycle, a system that reduces poisonous hydrogen peroxide. 19] It is the precursor of phytochelatins, glutathione oligomeres that chelate heavy metals such as cadmium. [20] Glutathione is required for efficient defence against plant pathogens such as Pseudomonas syringae and Phytophthora brassicae. [21] APS reductase, an enzyme of the sulfur assimilation pathway uses glutathione as electron donor. Other enzymes using glutathione as substrate are glutare doxin, these small oxidoreductases are involved in flower development, salicylic acid and plant defence signalling. [22] [edit] Supplementation Raising GSH levels through direct supplementation of glutathione is difficult. Research suggests that glutathione taken orally is not well absorbed across the gastrointestinal tract. In a study of acute oral administration of a very large dose (3 grams) of oral glutathione, Witschi and coworkers found â€Å"it is not possible to increase circulating glutathione to a clinically beneficial extent by the oral administration of a single dose of 3 g of glutathione. â€Å"[23][24] Vitamin D increases glutathione levels in the brain and appears to be a catalyst for glutathione production. 25] The amount of activated vitamin D in the brain is tied to how much vitamin D3 one has, either ingested through supplements or created in the skin via sun exposure. This suggests taking vitamin D3 supplements and/or getting adequate sun exposure boosts glutathione production. In addition, plasma and liver GSH concentrations can be raised by administration of certain supplements that serve as GSH precu rsors. N-acetylcysteine, commonly referred to as NAC, is the most bioavailable precursor of glutathione. 26] Other supplements, including S-adenosylmethionine (SAMe)[27][28][29] and whey protein[30][31][32][33][34][35] have also been shown to increase glutathione content within the cell. NAC is available both as a drug and as a generic supplement. Alpha lipoic acid has also been shown to restore intracellular glutathione. [36][37] Melatonin has been shown to stimulate a related enzyme, glutathione peroxidase,[38] and silymarin, an extract of the seeds of the milk thistle plant (Silybum marianum) has also demonstrated an ability to replenish glutathione levels. [39][40] Glutathione is a tightly regulated intracellular constituent, and is limited in its production by negative feedback inhibition of its own synthesis through the enzyme gamma-glutamylcysteine synthetase, thus greatly minimizing any possibility of over dosage. Glutathione augmentation using precursors of glutathione synthesis or intravenous glutathione is a strategy developed to address states of glutathione deficiency, high oxidative stress, immune deficiency, and xenobiotic overload in which glutathione plays a part in the detoxification of the xenobiotic in question (especially through the hepatic route). Glutathione deficiency states include, but are not limited to, HIV/AIDS, chemical and infectious hepatitis, myalgic encephalomyelitis chronic fatigue syndrome ME / CFS,[41][42][43] prostate and other cancers, cataracts, Alzheimer's disease, Parkinson's disease, chronic obstructive pulmonary disease, asthma, radiation poisoning, malnutritive states, arduous physical stress, and aging, and has been associated with suboptimal immune response. Many clinical pathologies are associated with oxidative stress and are elaborated upon in numerous medical references. [4][44][45] Low glutathione is also strongly implicated in wasting and negative nitrogen balance,[46] as seen in cancer, AIDS, sepsis, trauma, burns and even athletic overtraining. Glutathione supplementation can oppose this process, and in AIDS, for example, result in improved survival rates. [47] However, studies in many of these conditions have not been able to differentiate between low glutathione as a result of acutely (as in septic patients) or chronically (as in HIV) increased oxidative stress, and increased pathology as a result of preexisting deficiencies. Schizophrenia and bipolar disorder are associated with lowered glutathione. Accruing data suggest that oxidative stress may be a factor underlying the pathophysiology of bipolar disorder (BD), major depressive disorder (MDD), and schizophrenia (SCZ). Glutathione (GSH) is the major free radical scavenger in the brain. [48] Diminished GSH levels elevate cellular vulnerability towards oxidative stress; characterized by accumulating reactive oxygen species. Replenishment of glutathione using N-acetyl cysteine has been shown to reduce symptoms of both disorders. citation needed] Cancer Preliminary results indicate glutathione changes the level of reactive oxygen species in isolated cells grown in a laboratory,[49][50] which may reduce cancer development. [51] [52] None of these tests were performed in humans. However, once a cancer has already developed, by conferring resistance to a number of chemotherapeutic drugs, elevated levels of glutathione in tumor cells are able to protect cancer ous cells in bone marrow, breast, colon, larynx, and lung cancers. 53] [edit] Pathology Excess glutamate at synapses, which may be released in conditions such as traumatic brain injury, can prevent the uptake of cysteine, a necessary building-block of glutathione. Without the protection from oxidative injury afforded by glutathione, cells may be damaged or killed. [54] Methods to determine glutathione Reduced glutathione may be visualized using Ellman's reagent or bimane derivates such as monobromobimane. The monobromobimane method is more sensitive. In this procedure, cells are lysed and thiols extracted using a HCl buffer. The thiols are then reduced with dithiothreitol (DTT) and labelled by monobromobimane. Monobromobimane becomes fluorescent after binding to GSH. The thiols are then separated by HPLC and the fluorescence quantified with a fluorescence detector. Bimane may also be used to quantify glutathione in vivo. The quantification is done by confocal laser scanning microscopy after application of the dye to living cells. 55] Another approach, which allows to measure the glutathione redox potential at a high spatial and temporal resolution in living cells is based on redox imaging using the redox-sensitive green fluorescent protein (roGFP)[56] or redox sensitive yellow fluorescent protein. . When we speak of glutathione, what will really come to mind is that glutathione which most Filipino thought of as a whitening agent. It comes in soaps and any other beauty products which hopefully will make one whiter and fairer when used. But what we really don’t know is that glutathione is found in each of three trillion cells in our body. It is the most powerful an antioxidant which we cannot find in a fruit or in a berry a common but it is found in our body. In fact its absence will make one die. In my first blog I ‘ve told you about the glutathione story. Now I’m going to tell you what glutathione really is and its role to our over all well being. So what is glutathione really: Glutathione is a tripeptide, What is glutathione?

Thursday, August 29, 2019

The Society Effects of the Iraq War Essay Example | Topics and Well Written Essays - 750 words

The Society Effects of the Iraq War - Essay Example There has lot of controversies on whether the deployment of troops must come to an end sooner rather than later. The cost of the war so far has estimated to be somewhere between two and three trillion. Most of this money goes to deployment of the huge troops in Iraqi soil post war. While the crime rate in Homeland is on the rise, much of US citizen's tax has been spent in protecting Iraqi citizens. Instead of investing this heavily in a war, the security systems and homeland protection could have been developed to counteract terrorism. Its true there had been no terror attacks on US in homeland post September 11, 2001. But the loss of US citizens as troops in Iraq and Afghan and loss of US diplomats and tourist on foreign soil has been on the rise. The cost relating to these attacks has also been on the rise. The wages of war roadside bombings, military funerals, shattered mosques, wounded children have shaken people far from the violence. Post war, US had to spend millions in rebuilding Iraq. They had to bring the fallen economy of Iraq back to stable, using their dollars. With the US economy falling into recession with the war, its motives in foreign affairs has also been questioned. US started the war stating that Iraq is engaged in accumulation of weapons of mass destruction. But to date no such arms and ammunitions of mass destruction has been discovered in Iraq. ... Many families have lost their family members in Iraq war and some soldiers have been separated from their family for more than three years. This creates a lot of criticism of the motives of the government on US homeland. The military hospitals are not equipped to handle the skyrocketing number of soldiers affected by war and returning with significant mental problems caused by living on edge of death for months at a time and compounded by multiple combat tours. The support the veterans of this war much more than we did in the Vietnam era, but the mental health treatment they are receiving is only marginally better. Average Iraq citizen always lives in the fear of being attacked. Ever since the end of the war, the Iraqi's have suffered huge losses than it was during Saddam's reign. Though Saddam's period was one that of dictatorship, there has been not this much terror attack. Most of the Iraqi's are now questioning the purpose of US soldiers out there in Iraq and doubt the very intention of US. This has been deliberately utilized by terrorist to create hatred on America. Wars remain subjects of debate not just because their "necessity" is in doubt but also because their results are mixed. Though US task of removing Saddam from power has been accomplished, it real purpose of war on terror has been on serious scrutinizing. The confusion in Middle East has triggered the rise of oil prize and has created a lot of diplomatic failures for US in Middle East. Post war, a lot of new insurgent groups not related Al Qaeda has been formed and they continue their attack on democracy. Conclusion: The war on Iraq is certainly an issue worth debating and only time knows how the historians are going to perceive

Wednesday, August 28, 2019

Relationship between Workload and Effectiveness in the Nursing Research Paper

Relationship between Workload and Effectiveness in the Nursing Practice - Research Paper Example Unfortunately, though, there often arise factors such imbalanced nurse-patient ratio, lack of motivation, ill-resourced facilities and absence of on-the-job training that prevent nurses from working as effectively as they are expected to. It is against this background that the present project is being carried out to ascertain how a properly planned nurse-to-patient ratio can help in improving the service delivery given by nurses to patients. Some emphasis will be given to nurse-to-patient ratio through the other factors mentioned shall be considered. At the end of the project, it is expected that there will be a clear outline of new responsibilities expected of nurses even as their duties will be adjusted. There will also be a major recommendation to cut down the couple-per-nurse from four mothers and four babies to three mothers and three babies per nurse. The work of the nurse is undoubtedly one of the most stressful professions. This is because it entails working with different people with different needs and attitudes. Regardless of the health needs of the patient and the patient’s personal attitude, the nurse is expected to fit in squarely without fail. This indeed is a very challenging situation for any nurse at all. In light of this, researchers have come to study the relationship between the workload of a nurse and effectiveness at the workplace. According to a recent study, nurses work best if the workload they have to handle per day (8 hours) is minimal enough to attract full attention. This means that overcrowding of patient population would automatically stress the nurse up and affect her effectiveness at work. Such nurses may either resort to falling on inexperienced nursing assistance or abandoning certain core aspects of their work.  

Tuesday, August 27, 2019

Blood Pressure Essay Example | Topics and Well Written Essays - 250 words

Blood Pressure - Essay Example Diastolic pressure is a result of ventricular diastole or relaxation and this pattern was observed because the arteries in the working muscles started to dilate rather than constrict. The decrease in the diastolic pressure observed was a result of working at a less than maximum heart rate. In the same observation the heart rate at rest was measured at 61. This measurement spiked to 108 and 147 at 1kg and 2.5kg workloads respectively. This increase of heart rate during exercise was a result of the withdrawal of vagus nerve tone & sympathetic stimulation of the heart. Resting heart rates and maximum heart rates differ from one person to another depending on the age, gender and fitness level. The double product (also called the rate pressure product – RPP) is obtained by multiplying the heart rate by the systolic blood pressure. Since both the heart rate and the systolic blood pressure increased with increased activity during the experiment, the double product inevitably also increased from 6,710.00 (at rest), to 12, 960.00 (at 1kg workload) and finally 20, 580.00 (at 2.5kg workload). The mean arterial pressure (MAP) is the average arterial pressure in a single cycle (the average blood pressure in an individual). It is obtained from the addition of the product of the cardiac output and systemic vascular resistance to the central venous pressure. In the experiment, the mean arterial pressure at rest was 83.33 at rest then dropped at steadied at 73.33 during both 1kg and 2.5 kg workloads. The mean arterial pressure is observed to stay constant because increased flow of blood through exercising muscles is compensated for remarkably well by an increased cardiac output and adjustments to

Monday, August 26, 2019

United States and education Essay Example | Topics and Well Written Essays - 2000 words

United States and education - Essay Example Education for all is the most important thing to be achieved by nation as a whole.Thomas Jefferson,the third president of United States of America pioneered the plan that could be implemented upon to make education available to every single citizen while considering right to education equivalent to fundamental rights and would also get over the inequality factor.He elaborated his views about education as a tool not only to make better personalities but also a better nation.His work as mentioned above have envisioned learning not just along the old philosophy of what the students are learning but also on how are they learning. The vision of learning skill is what an educator would wish to see. This is because of the rise in number of students that will provide better results. The incorporation of improved theory into regular administrative schedules and classroom will help the educators and students in concentrating on teaching and learning process and then infusing another wave of dy namicity with reference to real world context. Learning in the classroom will generate a new relationship between the world and the student thereby engaging and modernizing various methods for assessment as well as study. The broader relation between the educators and the students will give real time information to the teachers about the performance of the students. Through this they can search for newer methods to help their students. These processes will ensure more compact relationship and the students will learn in a very few period rather than the months.... Increasing reliability in the classroom can be achieved through the use of Positive teaching methods. Constructivism has been an important ingredient of Jefferson learning theory proposing learners to create their own understanding as they combine what they already believe to be true based on their past experiences with new experiences. Though modern education may consider constructivism as a philosophy of learning which has its roots primarily to the work of John Dewey (1916) and Jean Piaget (1973). Vygotsky's work (1978) also contributed to the movement toward constructivism. Jefferson emphasized that theories of learning should be shifted from orientation based on observable phenomenon to an orientation that emphasize internal cognitive processing. This shows significant shift toward constructivism. The belief that learning comes from inside continues to grow. Knowledge could only gain on which circumstance it comes from that had meaning to the learner. The learning context must be a social context in which students work together to build knowledge. The children should be encouraged to develop concepts and derive their own ideas from those introduced to them. A social learning perspective should be developed through which children learn through interaction with others. Critical thinking is one of the areas where over the decades both educators & policy make argued about schools. Much of this debate has not been based on empirical data. Even though students, right from primary schools must learn facts and basic skills, the data suggest that emphasis on advanced reasoning skills promotes higher student performance. Jefferson pedagogical models promotes this meaningful type of learning process, a process in which learning helps students make sense of new

Sunday, August 25, 2019

(whatever you feel good) Essay Example | Topics and Well Written Essays - 750 words

(whatever you feel good) - Essay Example However, since there is always a close relationship between the public and the celebrity therefore there arise a question always as to whether the personal lives of those celebrities revealed to the general public or not. Personal characteristics of celebrities also include their sexual orientation therefore question arise as to whether the celebrity’s sexual orientation should be revealed to the public and who should reveal it. As discussed above that celebrities being the most famous among the masses tend to have two different life styles where mostly their real and private life style is not revealed to the public in most of the cases. â€Å"Celebrities are asked all the time about their personal lives, including their romances, so it’s perfectly fair for the media to ask â€Å"the question† of public figures and then let the person have their say. If they choose a non-answer, like Foster, Cooper and the other glass closet occupants, then so be it. Report the answer and let people think (and say) what they may.† (Crain). This quote clearly defines how the media should be projecting the personal lives of the celebrities including their sexual orientation. However, the ethical practices of the profession are not very often practiced therefore there remains always a strong probability that media may not behave the way it should have. The issue of disclosing the sexual orientation of the celebrities needs to be viewed on two different counts. First whether the public at large is willing to know about this fact and secondly if yes how Media should report this fact? What should be the ethical parameters under which this fact can be revealed to the public? This question also need to be viewed within the social connotation of celebrities also as revealing sexual orientation of a celebrity in India might bring entirely different reaction as compared to

Saturday, August 24, 2019

Choose from the list of topics Essay Example | Topics and Well Written Essays - 750 words

Choose from the list of topics - Essay Example Just because a behavior is unusual to some, does not make it unusual to others. For example, Catholics can choose to attend their religious services once a week, not at all or every day, depending on the neighborhood in which they leave. While it might seem unusual to some to want to go to church every day, are they hurting anyone? As a Muslim, I am required by my faith to pray five times a day. May I choose to pray more? Of course I may, but if I were to pull out my prayer mat and pray more than five times a day, I may be seen as unusual. That does not, however, mean that I need to be treated for a religious disorder, because I am not harming myself. I can also pray more than five times a day while conducting my daily life without much interruption. Since unusual religious behavior is a rather broad term, I have used rather broad examples above. However, there are religious behaviors that are not only unusual, but harmful to a person physically and mentally. In some religions, there is a consumption of alcohol. If a person felt that by drinking the alcohol that was served until it was gone, they would become closer to their God, then this is a behavior that would not only be considered unusual but also harmful. Alcohol poisoning, drunkenness, and other factors must be taken in play. Another example to consider is a person who feels that they cannot and should not leave their house of worship, for any reason. A person that feels that only within those walls were they safe from death, fear, destruction, sickness, or any other factors. This, clearly, is not only unusual harmful mentally but also impedes living of their daily life, and therefore, the root cause of this behavior must be treated psychologically so that this person may resume their daily life. Temptation is, by its very nature, all around us. Every day we face temptation in varying degrees. Evil is all around us, and tries to tempt us into making the wrong decision; by being strong, we avoid the evil actions. We cannot, however, avoid the evil or blasphemous thoughts, from wishing the person that just cut off our car on the freeway would crash to glancing twice at the person that looks just a little bit better-looking than our significant other. Normal religious behavior is to accept the guilt for these actions and ask for forgiveness, after which we are forgiven and can go on about our daily lives until the next temptation pops up in our face. A person that feels that they must pray for forgiveness, even out in public, for the transgressions that have occurred should not be considered unusual, as they are simply practicing their faith and quietly asking for forgiveness. However, if a person was praying constantly, excessively, refusing to stop and wracked with guilt over the slightest transgression, that would be both harmful to them as well as prohibit them from living their daily life. They should then be treated for a religious disorder. Along those same lines, if a person felt that they were doomed to hell, becoming depressed and despondent because of what they saw as the many numerous transgressions that they had committed, they should be treated for a religious disorder. They have become a danger to themselves, sinking into deep depression and unable to live their daily lives as they are constantly dwelling on these so-called transgressions and what they see as a need for forgiveness. Persons in this state

Friday, August 23, 2019

To what extent did the invasion of Iraq in March 2003 signify a change Essay

To what extent did the invasion of Iraq in March 2003 signify a change in the way that force is used in international relations - Essay Example An urge to conduct an investigation in Iraq emerged when the Iraq government attacked US in the year in 2001. The US government felt vulnerable, especially after this attack that is believed to have been an operation of Al-Qaeda, one of the rogue groups in Iraq. The US government felt vulnerable and feared that the Iraq government would use the weapons of mass destruction against the US government. Another fear was that with these weapons available in Iraq, the Al-Qaeda group would access them and conduct a more severe attack than one of 2001. Thus, the US felt the need to launch an effective operation to inspect and disarm the Iraq government of any weapons of mass destruction that they could be holding. Although many felt that the rumour on the presence of weapons of mass destruction in Iraq was a mere speculation, the UN team engaged a powerful gear to unravel the truth of the matter. In 2002, the plan of inspection was underway and there was light that the Iraq government would comply with the inspection plan. On the other hand, the US government felt that this process was slow and that there was a need to hasten the process to avoid the looming threat that the weapons would be used against the US. In essence, they felt that the UN and the international bodies were slow in neutralizing a threat that would have dire consequences on US. However, the international body insisted that it was important to give Iraq sometime to comply with the demands of the inspection as there was still hope that the process would succeed. Even a number of the US allies accepted that this was not a time of war as there was no any evidence that there was any destructive weapon. Despite the efforts of many countries and international bodies to stop US from engaging Iraq in a war, the US government declared a war in the country and organized their troops

Write a story of your own Assignment Example | Topics and Well Written Essays - 250 words

Write a story of your own - Assignment Example The family noticed a very heavy traffic jam on the highway. Another peculiar thing that could be observed was the sudden change in weather with very strong winds. It was then that they turned on the radio and they were updated by their relatives that a hurricane had struck the city. The cars on the road seemed like ants stranded here and there. This was not all but matters became worse when the radio announcement claimed that the hurricane was moving towards the highway. A chaotic situation was created with common sites of cars banging into each other. But Harry and his family were lucky again because a following announcement pronounced that the hurricane had taken the other route and the situation had resolved. This organized day presented with an unpredictable happening. The family experienced a very difficult time and though they reached home in 2 days, but the following two weeks were very difficult with no electricity and basic resources. Despite the advances in human technology, there are still certain areas which are out of human control and the sudden weather changes are one of

Thursday, August 22, 2019

Wieland Analysis Essay Example for Free

Wieland Analysis Essay Throughout this course, we have read many selections that were directly related to Puritanism. Just as well, they have often come in the form of a captivity narrative or gothic novel. In this case, â€Å"Wieland† by Charles Brockden Brown, is written in the format of a gothic novel, and similarly seems to reject Puritan ideals. It is a gothic novel in the sense that it follows the typical storyline of a young, honorable woman having her virtue threatened. It involves many supernatural events and is also thought to be ultimately resolved by a supernatural event. Most importantly, it brings about the threat of religion. Brown aims to expose the dangers of believing to strictly in Puritanism, and furthermore any religion for that matter. It’s the idea that any religion can lead to religious frenzy and that no human virtue is safe from corruption. One can witness these concepts by simply examining the _________ of characters Henry Pleyel, Clara Wieland, and Theodore Wieland also known as Wieland. Henry Pleyel intro. Hears voices telling him that lover is dead but more importantly â€Å"hears† things that cause him to question clara’s virtue. â€Å"In vain you dwelt upon incidents of which you only could be conscious; incidents that occurred on occasions on which none beside your own family were witnesses. In vain was your discourse characterized by peculiarities inimitable of sentiment and language. My conviction was effected only by an accumulation of the same tokens. I yielded not but to evidence which took away the power to withhold my faith† (Brown 154). In this part, Henry recounts an event in where he supposedly heard Clara submit to Carwin. He argues that he knows it couldn’t of been anyone other than Clara because she spoke only of things that only she or one close to her family could know, and that her discourse was particularly her own, down to the language used. It was clearly her. No other being could know how to sound like her or know the things she did. The fact that Henry relies solely on his senses and leaves no room for the possibility of supernatural occurrences comes back to this idea of American Enlightenment. Clara Wieland constantly antagonized by voices but cannot make sense of them. Play on her senses, does not know what to trust. â€Å"The interval was too brief to artificially measured, between the utterance of these words, and my scrutiny directed to the quarter to whence they came. Yet if a human being had been there, could he fail to have been visible? Which of my senses was the prey of a fatal illusion? The shock which the sound produced was still felt in every part of my frame. The sound therefore, could not but be a genuine commotion. But that I heard it, was not more true than that the being who uttered it was stationed at my right ear; yet my attendant was invisible†(Brown 97-98). Explanation. Tie to thesis. Theodore Wieland is the worst case scenario. Seems the most normal and able to rationalize up until the point where he viciously murders his family and claims to be carrying out an act of god. â€Å"I thank thee, my father, for thy bounty; that thou didst not ask a less sacrifice than this; that thou placedst me in a condition to testify my submission to thy will! What have I withheld which it was thy pleasure to exact? Now may I, with dauntless and erect eye, claim my reward, since I have given thee thy treasure of my soul† (Brown 188). Explanation. Tie to thesis. Brown keeps swinging the pendulum back and forth between supernatural and human explanations for events and by the end of the novel, even when the mystery is technically cleared up, there are still several things left unknown or murky. The complete Enlightenment reliance upon reason can be misleading, and in some cases, even dangerous.

Wednesday, August 21, 2019

Pure Enantiomers of Phenylethylamine Mixture

Pure Enantiomers of Phenylethylamine Mixture Introduction The purpose of this laboratory was to resolve the pure enantiomers of ( ±)-ÃŽ ±-phenylethylamine (racemic) mixture, by separating their diasteriomeric derivatives using (+)-tartaric acid. The differing enantiomers form different salts with acids. Two molecules that are enantiomers have nearly identical physical and chemical properties although this may be true, the salts that are formed after the reaction with acid have distinct properties. Some salts are less soluble [(+)(-)] than others, and therefore crystallize from the mixture in a nearly pure stereoisomeric form. When using NaOH as a strong base to treat the salt, it allows for the isolation of the enantiomer (Lab Manual, 2007). Polarimetry is a common method used to distinguish between enantiomers, based on their ability to rotate the plane of polarized light in opposite directions (+ and -). This allows the observer to determine the enantiomeric purity, and therefore the composition of the mixture (Wade, 2007 Chemical Reaction: (-)-amine (+)-amine less soluble salt [(-)(+)]: crystallizes more soluble salt [(+)(+)] remains in solution 2NaOH + 2H2O (-)-ÃŽ ±-phenylethylamine (Lab Manual, 2007) Procedure: Instead of using a 50 mL beaker to boil the amine solution in, we used a 50 mL Erlenmyer flask For the rest of the proceduce refer to pg. 18, 22-24 (Lab Manual, 2007) Observations: The crystals were given a 4 week crystallization period and afterward, the (-)-ÃŽ ±-phenylethylamine- (+)-hydrogen tartrate salt was observed to be a white crystalline solid, and the methanol was a transparent liquid. Two very distinct layers were visible following the reaction with the NaOH (strong base) and addition of the methylene chloride (CH2Cl2). The top layer was translucent in some places and opaque in others, very cloudy, white liquid, while the bottom layer was transparent and also liquid. The resultant mixture following the three separate extractions was close to transparent Discussion: When the (+)-tartaric acid was added to the racemic mixture, ( ±)-ÃŽ ±-phenylethylamine, (-)-amine-(+)-hydrogen tartrate, and (+)-amine-(+)-hydrogen tartrate salts were formed. The (-)-amine-(+)-hydrogen tartrate was much less soluble in methanol, and therefore crystallized out of the solution (Lab Manual, 2007). This method of separation was proven to be quite successful, as the percent yield of this crystallization was 73.1 %, which is relatively high. The presence of impurities, as well as the inability to completely crystallize the salt from methanol most likely attributed to any discrepancies. It is also possible that although the (-)(+) salt is less soluble than the other salts, it still has some sort of solubility, and therefore crystallizes rather slowly (hence the mandatory 2 week waiting period, in our case it was 4 weeks). As well, the other salts, despite their high solubility in methanol, may have still crystallized very slightly over the long waiting period, adding to impurities Addition of NaOH resulted in the formation of two distinct layers: a white, cloudy aqueous layer (top), and a clear amine layer (bottom), and allowed for the isolation of (-)-ÃŽ ±-phenylethylamine (Lab Manual, 2007). The addition of 5 mL of water to the flask confirm that the top layer was the aqueous layer, since it increased relative to the bottom layer and the water was absorbed here (Lab Manual, 2007). The aqueous layer consisted of the (-)-amine, along with sodium tartrate, and water, while the amine layer included any impurities. The sodium tartrate readily dissolved in water, while methylene chloride (CH2Cl2) was added to dissolve (-)-ÃŽ ±-phenylethylamine (boiling point ~ 186oC), since it had a lower boiling point (40oC), and could easily be removed through heating (Synthesis and resolution of alpha-phenyethylamine. After a filtration process, including a series of extractions, there was percentage yield of 61.3% for the (-)-ÃŽ ±-phenylethylamine, which is a lower yield than the original 73.1 %, indicating that there was a loss of amine during the second part of the experimental procedure. The main cause of this error was the accidental disposal of much of the amine layer, in which a small amount of (-)-ÃŽ ±-phenylethylamine was still present. The presence of some impurities may have also affected results, however, they would have instead increased the yield and lead to misleading results. Another possible cause of error is the slight leakage out of the glass stopper on the separatory funnel when the solution was shaken. There was a bit of solution that leaked out the bottom or squirted out the top when releasing the pressure in the funnel. Subsequently, the error that substantially lowered the yield of the product greatly increases the optical purity of the mixture. The observed rotation of the final sample was -31. 8o (levorotary, left hand rotation) and the specific rotation was -33.8o compared with the empirical specific rotation of -40.4o  ± 0.2o (Lab Manual, 2007). The resultant optical purity was 83.7%, which is considerably high. Aside from the previously mentioned disposal of the organic layer, numerous other errors, such as the presence of impurities may have contributed to deviations in the optical purity. The negative (counter clockwise) rotation essentially confirmed that the enantiomer being isolated was the (-)-ÃŽ ±-phenylethylamine, and the high optical purity demonstrated that the extraction was accomplished with much success and considerable accuracy, since the final product was mainly (-)-amine, despite the relatively low yield.

Tuesday, August 20, 2019

Portrayal Of Lucy Westenra And Mina Murray English Literature Essay

Portrayal Of Lucy Westenra And Mina Murray English Literature Essay Dracula, the 1897 novel by Bram Stoker, is a tale composed against a background of social concerns and anxieties of Victorian England in a rapidly changing world. One of the most important upheavals in this time of turmoil concerned feminism and the role of women in Victorian society, with the terrifying spectre of the  ¿Ã‚ ½New Woman ¿Ã‚ ½ solidifying rapidly into a real threat. In Victorian England, gender roles were distinct, with women being expected to confine themselves to the domestic realm and become  ¿Ã‚ ½the Angel in the House, ¿Ã‚ ½ responsible for setting a moral example for her children and being of complete service to her husband. In examining how the female characters  ¿Ã‚ ½ Lucy Westenra and Mina Murray/Harker  ¿Ã‚ ½ are dealt with in Dracula, a greater insight will be gained into the degree of transformation undertaken by the women from a Victorian woman to a New Woman in the face of Dracula ¿Ã‚ ½s seductive power. Lucy Westenra is initially depicted as innocent, beautiful, and virtuous ¿Ã‚ ½not at all the sexual suspect or foreigner that would seem to indicate a susceptibility to vampirism. Despite this appearance of her character, however, the behaviour of Lucy, even before she succumbed to vampirism, would have been questionable to a Victorian audience. Most notably, she takes a sort of gloating pleasure in having been proposed to three times in one day (Stoker 86). Even more disturbing to a Victorian reader, Lucy muses,  ¿Ã‚ ½Why can ¿Ã‚ ½t they let a girl marry three men, or as many as want her ¿Ã‚ ½? ¿Ã‚ ½ (Stoker 90). Although she immediately dismisses the idea as blasphemy, the reader gets the sense that she was serious. This reluctance to confine herself to one man is not her only sign of questionable sexuality. Lucy sleepwalks,  ¿Ã‚ ½a habit traditionally associated with sexual looseness ¿Ã‚ ½ in Victorian England (Spencer 210). Despite Lucy ¿Ã‚ ½s seeming virtue, there are indications that her sexuality is on the verge of asserting its appetites throughout the early portions of the novel. This blooming sexuality is what makes her susceptible to vampiric attack. As Lucy succumbs to Dracula ¿Ã‚ ½s advances, she comes to resemble the vampire women encountered by Harker. Her sexuality becomes more blatant as her vampirism progresses. When she is dying, she speaks to Arthur in a  ¿Ã‚ ½soft, voluptuous voice, ¿Ã‚ ½ a phrase which recalls the voluptuousness of the three female vampires in Castle Dracula (Stoker 237). Her initiation into the vampire group becomes complete when Van Helsing notes that the two bite marks on her neck have completely disappeared (Stoker 235). Later, Stoker describes vampiric Lucy as moving with a  ¿Ã‚ ½voluptuous grace ¿Ã‚ ½ and having a  ¿Ã‚ ½wanton smile ¿Ã‚ ½ (Stoker 310). She has become the aggressive female through contact with Dracula. Lucy is now fully endowed with masculine appetites and, like the fanged women Harker encountered, she is acting as a dominant presence over males. She has become monstrous and unnatural, which is in keeping with the Victorian idea of  ¿Ã‚ ½the sexualization of woman as deformation ¿Ã‚ ½ (Craft 120). This unnaturalness is also emphatically underscored by her rejection of the mother role typically associated with women during this time period. Instead of nursing the child  ¿Ã‚ ½clutched strenuously to her breast, ¿Ã‚ ½ she feeds from it, slowly killing it (Stoker 310). Dracula is to blame for Lucy ¿Ã‚ ½s metamorphosis into a monstrosity,  ¿Ã‚ ½for he is the ultimate social adulterer, whose purpose is nothing if it is not to turn good Englishwomen like Lucyaway from their own kind and customs ¿Ã‚ ½ (Stevenson 140). However horrifying Lucy ¿Ã‚ ½s transformation might have been to a Victorian audience, Mina Harker ¿Ã‚ ½s aborted metamorphosis would have been even more horrible. As Van Helsing says,  ¿Ã‚ ½she is one of God ¿Ã‚ ½s women, fashioned by His own hand ¿Ã‚ ½ (Stoker 277). Mina seems to fit the ideal of the Victorian Woman, as a virtuous, devout, almost asexual individual. While she sometimes acts as the quiet organiser of the men, she is generally meek and servile to their wishes, for example, she learns typing and short-hand with the main motive of being of use to her future husband Jonathan. Stoker never reveals anything detailed about Mina ¿Ã‚ ½s physical appearance, and she seems to be an object of adulation rather than desire. Mina acts as more of a mother figure to Jonathan,  ¿Ã‚ ½nursing him through his illness. ¿Ã‚ ½ The motherly-wife and nurtured husband were considered the ideal spouses in Victorian England (Spencer 216). Mina is quite literally the Angel in the House, or the ideal Woman embodied. Yet even the ideal demonstrates vulnerability when forced into an overtly sexual situation. Mina, through no fault of her own, becomes subject to Dracula ¿Ã‚ ½s advances, yet seems to take some enjoyment in them despite her horror. During her last encounter with the Count, as he drank from her neck, she admitted that she  ¿Ã‚ ½did not want to hinder him ¿Ã‚ ½ (Stoker 425). This desire for the Count would have been damnable to a Victorian audience, who saw sexual desire rather than sexual activity [as] ¿Ã‚ ½the true source of danger ¿Ã‚ ½ (Spencer 217). Although Mina never makes the full transformation into the aggressive, sexualized female vampire, there are aspects of her character that bend gender expectations a bit. Specifically, Dr. Van Helsing remarks upon her level of intelligence numerous times as being abnormal for a young woman. When Mina tells Van Helsing that she can inform him all about what happened to Lucy, he remarks,  ¿Ã‚ ½Ah, then you have a good memory for facts, for details? It is not always so with young ladies ¿Ã‚ ½ (Stoker 269). He also repeatedly calls her,  ¿Ã‚ ½you so clever woman ¿Ã‚ ½ (Stoker 269). If a learned man such as Van Helsing compliments Mina ¿Ã‚ ½s intelligence, then it might be safe to assume that men did not expected to encounter a woman with such common sense during the Victorian era. As Van Helsing puts it,  ¿Ã‚ ½[Mina] has a man ¿Ã‚ ½s brain ¿Ã‚ ½a brain that a man should have were he much gifted ¿Ã‚ ½ (Stoker 345). To a certain extent, Mina is becoming a modern woman by demonstrating her intelligence and therefore somewhat defying the gender stereotype of women being inferior to men. However, she doesn ¿Ã‚ ½t pose any really threat to the dominant male as she uses her intelligence to help others on a divine mission rather than furthering her own interests, a Victorian audience could perhaps accept this inversion of gender roles. Like Lucy, Mina become contaminated by Dracula and slowly becomes deracinated, growing more like a vampire and less like an Englishwoman. However, before her transformation is complete, Dracula is killed and Mina is re-assimilated into English society with little difficulty, providing a happy ending for the Victorian audience. Both Lucy and Mina are introduced in the novel as embodiments of the Victorian woman ideal, a role of purity and femininity. However, when the women begin to transform into vampires, they are seen to take on traditional male roles, which undoubtedly horrified the Victorian reader. However, neither of these two women are allowed any agency; even through their  ¿Ã‚ ½infidelities ¿Ã‚ ½, they play the passive role, Lucy asleep while blood is pumped from each man into her, and Mina ¿Ã‚ ½s seduction described in terms of  ¿Ã‚ ½forcing a kitten ¿Ã‚ ½s nose into a saucer of milk to compel it to drink ¿Ã‚ ½. It is Dracula, the monstrous, foreign creature that is blamed for the corruption of Lucy and Mina. The role of the Victorian man is clear here, as the vampire hunters act out what they feel is their duty  ¿Ã‚ ½ to rescue their women from the clutches of Dracula and vampirism and return them to holiness. They return their women to their rightful place and re-establish proper roles, by a violent  ¿Ã‚ ½staking ¿Ã‚ ½ Lucy. This metaphorical rape, repeated by Van Helsing with the three Transylvanian vampires,  ¿Ã‚ ½re-establishes normative models of both gender and history ¿Ã‚ ½, imposing male reason on female sexuality, with the women  ¿Ã‚ ½grat eful and passive toward their brave male deliverer ¿Ã‚ ½. In Carmilla, Joseph Sheridan Le Fanu takes the tradition male power role and gives it to the women, while Stoker, in Dracula, repossesses the female body for pleasure and exchange and puts the power back in the hands of men. In Carmilla we meet a woman who bears angelic features in her outward appearance only. At first, she seems to be the ideal companion for Laura fulfilling all Victorian claims. The homosocial bond between women served patriarchy to keep women whom they treated rather as objects than as individual beings with a will of their own out of the so-called male business. As the idea of the new woman with their social, political, and sexual freedom was feared in society, Carmilla is feared by Laura ¿Ã‚ ½s father as soon as he notices her dangerous potential. The role of the female vampire identifies and challenges gender roles of women in the Victorian age, as well as symbolise New Women. Carmilla, goes even further in its defiance of the male/female heterosexual norm by featuring a lesbian relationship between its two main characters, only made possibly through the vampirism and supernatural nature of the story. It is through Carmilla and Laura ¿Ã‚ ½s homosexual relationship that they are able to gain freedom from male dominance and a patriarchal society. Besides marriage, becoming a vampire is one of the only ways that female sexuality is licensed in the Victorian era. While Bram Stoker ¿Ã‚ ½s Dracula has laid the foundations for the horror genre of film and literature, it also provides some interesting social commentary about Victorian England. In particular, the female characters and their relationships to the issues of sexuality, gender roles, and nationality are very revealing about the anxieties of the times. In their full and partial transformation into vampires, Lucy and Mina lose their feminine passivity and innocence and are expected to become like the highly sexualised and immoral succubi trio. They go from being sweet and pure Victorian women (female victims) to being  ¿Ã‚ ½languorous[ly] voluptuous ¿Ã‚ ½ and  ¿Ã‚ ½carnal and unspiritual ¿Ã‚ ½ New Women (female vampires). This is precisely the perceived danger represented by the New Woman. However, because Mina is never fully transformed and manages to be restored to her role as a Victorian woman, it can be concluded that Lucy better represents the New Woman archetype as she completes the transition to vampire and in doing so gains sexual and social freedom from the constraints on women in Victorian society.

Monday, August 19, 2019

Prejudice and Racism in Conrad’s Heart of Darkness Essay -- HOD Joseph

Racism in Conrad’s Heart of Darkness  Ã‚   Imagine floating up the dark waters of the Congo River in the Heart of Africa. The calmness of the water and the dense fog make the hairs stand up on the back of your neck as you wonder if the steamboats crew will eat you as you sleep. These things occur in Joseph Conrad’s Heart of Darkness. Although the book is undeniably racist, was the author, Joseph Conrad, racist? Conrad was racist because he uses racial slurs, the slavery and unfair treatment of the native Africans in his book. The use of racist language is very prevalent in Heart of Darkness. Conrad, through Marlow, the main character, uses the word nigger when talking about native Africans on many occasions. "The fool-nigger had dropped everything to throw the shutter open and let off that Martini-Henry" (Conrad 46). The use of the word nigger so loosely by Marlow and other people in the book was an accepted thing during the time the book took place. Nigger has always been a racist word and because Conrad writes with this word, he is racist. Conrad’s racist writing makes the native people look ignorant. "I pulled the string of the whistle, and I did this because I saw the pilgrims on the deck getting out their rifles with an air of anticipating a jolly lark. At the sudden screech there was a movement of abject terror through that wedged mass of bodies." (Conrad 66) In this particular portion of the book Conrad blew the steam whistle to scare away the foolish natives. Conrad, in his writing, displays an attitude that the native people were niggers and were not smart people. In writing about this, he is uneducated about cultural differences. He does not know and understand the African people so he calls them niggers... ... teach them, as it were." (Conrad 42) To say the natives had no understanding of time is dehumanizing. Even the most primitive cultures had some sense of time. Weather it simply knowing that when the sun goes down and then comes up, a new day starts. Conrad displayed the natives as things that spoke a primitive language and were not intelligent. Writing about this is extremely racist and offensive. As you push further up river, things emerge from the dense jungle only feet from your boat. The "fool-nigger" driving the boat gets scared and starts shooting. The rest of the ships crew shoots aimlessly into the bush. Joseph Conrad was a racist person. He makes the native African people look like brainless things that should be used as pawns of the European society. Works Cited Conrad, Joseph. Heart of Darkness. W.W. Norton and Company: New York. 1988. Prejudice and Racism in Conrad’s Heart of Darkness Essay -- HOD Joseph Racism in Conrad’s Heart of Darkness  Ã‚   Imagine floating up the dark waters of the Congo River in the Heart of Africa. The calmness of the water and the dense fog make the hairs stand up on the back of your neck as you wonder if the steamboats crew will eat you as you sleep. These things occur in Joseph Conrad’s Heart of Darkness. Although the book is undeniably racist, was the author, Joseph Conrad, racist? Conrad was racist because he uses racial slurs, the slavery and unfair treatment of the native Africans in his book. The use of racist language is very prevalent in Heart of Darkness. Conrad, through Marlow, the main character, uses the word nigger when talking about native Africans on many occasions. "The fool-nigger had dropped everything to throw the shutter open and let off that Martini-Henry" (Conrad 46). The use of the word nigger so loosely by Marlow and other people in the book was an accepted thing during the time the book took place. Nigger has always been a racist word and because Conrad writes with this word, he is racist. Conrad’s racist writing makes the native people look ignorant. "I pulled the string of the whistle, and I did this because I saw the pilgrims on the deck getting out their rifles with an air of anticipating a jolly lark. At the sudden screech there was a movement of abject terror through that wedged mass of bodies." (Conrad 66) In this particular portion of the book Conrad blew the steam whistle to scare away the foolish natives. Conrad, in his writing, displays an attitude that the native people were niggers and were not smart people. In writing about this, he is uneducated about cultural differences. He does not know and understand the African people so he calls them niggers... ... teach them, as it were." (Conrad 42) To say the natives had no understanding of time is dehumanizing. Even the most primitive cultures had some sense of time. Weather it simply knowing that when the sun goes down and then comes up, a new day starts. Conrad displayed the natives as things that spoke a primitive language and were not intelligent. Writing about this is extremely racist and offensive. As you push further up river, things emerge from the dense jungle only feet from your boat. The "fool-nigger" driving the boat gets scared and starts shooting. The rest of the ships crew shoots aimlessly into the bush. Joseph Conrad was a racist person. He makes the native African people look like brainless things that should be used as pawns of the European society. Works Cited Conrad, Joseph. Heart of Darkness. W.W. Norton and Company: New York. 1988.

Sunday, August 18, 2019

A clear explaining how the production process and quality :: Business and Management Studies: Management

A clear explaining how the production process and quality assurance/control system employed by the business helps it add value to its product or service. Quality control can be defined as the means of inspecting or testing quality at various points in the production process or delivery of service. It is usually applied during or after production. It can also be described as the process of monitoring specific project results to determine if they comply with relevant standards and identifying ways to eliminate causes of unsatisfactory performance. Quality assurance can be described as making quality the responsibility of everyone at all stages of production of the goods and services. It can also be defined as a system that comprises of all those planned and systematic actions necessary to provide confidence that a structure, system or component will perform satisfactorily its services. All of this can add enormously to the amount or value of a product. A lot of products go through a series of production process. Since every industry knows how much profit could be made in the production process, they try to increase the amount of quality control. They are a lot of production processes used in Sainsbury’s to help add value to a product or service. One of the main objectives of Sainsbury’s apart from making profit is to satisfy customers, which is converting inputs to outputs. Value added happens when raw materials are gathered in order to make a finished product in which a business can use to sell. For example Sainsbury’s different food stuffs in order for them to sell in their store. Value adding is finished product, which has been assembled by a producer to make a product that is good enough to sell. Quality control is where a companies manufacturing process is checked every milestone in order to find anything wrong with the product which will not make its sellable to customers. Where quality control is applied may cause waste, this is because the business would want to throw it away. Through inspection of product it helps to see whether products are being made of satisfactory standard to be sold and whether the producers of the product are making it properly and to know whether or not it is man made or machine made. Quality assurance happens when a product is made and it is suitable to be sold at the quality of a customers assurance, for example if the expectations of a product is not reached, limited to the actual product it self then the quality assurance of the product is not suitable to be sold. When a product is being produced it is vital that there are no

Saturday, August 17, 2019

Reserve bank of India Essay

The Reserve Bank of India (RBI) is India’s central banking institution, which controls the monetary policy of the Indian rupee. It was established on 1 April 1935 during the British Raj in accordance with the provisions of the Reserve Bank of India Act, 1934 Main functions Bank of Issue Under Section 22 of the Reserve Bank of India Act, the Bank has the sole right to issue bank notes of all denominations. The distribution of one rupee notes and coins and small coins all over the country is undertaken by the Reserve Bank as agent of the government. The Reserve Bank has a separate Issue Department which is entrusted with the issue of currency notes. The assets and liabilities of the Issue Department are kept separate from those of the Banking Department. Monetary authority The Reserve Bank of India is the main monetary authority of the country and beside that the central bank acts as the bank of the national and state governments. It formulates, implements and monitors the monetary policy as well as it has to ensure an adequate flow of credit to productive sectors. Regulator and supervisor of the financial system The institution is also the regulator and supervisor of the financial system and prescribes broad parameters of banking operations within which the country’s banking and financial system functions. Its objectives are to maintain public confidence in the system, protect depositors’ interest and provide cost-effective banking services to the public. The Banking Ombudsman Scheme has been formulated by the Reserve Bank of India (RBI) for effective addressing of complaints by bank customers. The RBI controls the monetary supply, monitors economic indicators like the gross domestic product and has to decide the design of the rupee banknotes as well as coins. Managerial of exchange control-The central bank manages to reach the goals of the Foreign Exchange Management Act, 1999. Objective: to facilitate external trade and payment and promote orderly development and maintenance of foreign exchange  market in India. Issuer of currency- The bank issues and exchanges or destroys currency notes and coins that are not fit for circulation. The objectives are giving the public adequate supply of currency of good quality and to provide loans to commercial banks to maintain or improve the GDP. The basic objectives of RBI are to issue bank notes, to maintain the currency and credit system of the country to utilize it in its best advantage, and to maintain the reserves. RBI maintains the economic structure of the country so that it can achieve the objective of price stability as well as economic development, because both objectives are diverse in themselves. Banker of Banks- RBI also works as a central bank where commercial banks are account holders and can deposit money.RBI maintains banking accounts of all scheduled banks.[30] Commercial banks create credit. It is the duty of the RBI to control the credit through the CRR, bank rate and open market operations. As banker’s bank, the RBI facilitates the clearing of cheques between the commercial banks and helps inter-bank transfer of funds. It can grant financial accommodation to schedule banks. It acts as the lender of the last resort by providing emergency advances to the banks. It supervises the functioning of the commercial banks and take action against it if need arises. Developmental role- The central bank has to perform a wide range of promotional functions to support national objectives and industries.[8] The RBI faces a lot of inter-sectoral and local inflation-related problems. Some of this problems are results of the dominant part of the public sector. Related functions-The RBI is also a banker to the government and performs merchant banking function for the central and the state governments. It also acts as their banker. The National Housing Bank (NHB) was established in 1988 to promote private real estate acquisition. The institution maintains banking accounts of all scheduled banks, too. RBI on 7 August 2012 said that Indian banking system is resilient enough to face the stress caused by the drought like situation because of poor monsoon this year.

Corporate Ethics Failure †A Critical Analysis Essay

Arthur Andersen, in 1913 established a corporate entity that for decades provided a benchmark for auditing and consulting in the accounting industry. From the onset Mr. Andersen worked to build a foundation for his company representative of the principles of excellence in the technical and ethical aspects of his new company. His ethical model focused on Utilitarianism, the greatest amount of good for the greatest amount of people. In the late 1940’s after the founder passed away, newly appointed CEO, Senior Partner Leonard Spacek, further exhibited his leadership and commitment to ethical practices by helping to establish the Accounting Principles Board, their prinmary responsibilities being to set industry accounting and ethical standards. This is a direct reflection on the commitment Arthur Andersons executive staff place on the company’s belief in performing their practice in an honest and trustworthy manner. Spacek was so revered that former Federal Reserve Chairman Paul Volker once refered to as Spacek’s tenure as a time when Arther Andersen was the â€Å"Gold Standard â€Å" for the accounting industry. See more: how to write a critical analysis outline These standards built a reputation in the accounting community which led to tremendous success. Honesty and integrity were trademarks of the company that concentrated on quality, leadership and developing its personnel to be experts in every aspect of the accounting industry . As the business began to grow, Arthur Andersen eventually became a leader in the financial industry, employing as much as 77,000 accounting professionals in 84 countries. A reflection on the many positive aspects of Arthur Andersen, its commitment to the many ethical principles it championed, both in its own corporate structure and that of the accounting community. In this writers opinion, with such metrics in place, it is amazing that such a large entity could implode and collapse. However, if one understands the importance of ethical behavior and the impact of lost trust, the analysis is not difficult. The problems encountered at Arthur Anderson were the result of inappropriate ethical behavior which resulted from compromises of their own ethical standards. These began as small issues for various clients that over time grew creating a slippery slope from which Arthur Andersen could not recover. Corporate enterprises are funded by investors, stockholders and consumers. Likewise, their activities, both internal and external, also affect investor, stockholder, stakeholder and consumer. All depend on the financial health and viability of the company to support their individual interests. The responsibility of the SEC is to verify financial wellbeing and provide a tool for which potential investors and stock buyers can fairly judge the risks involved as they decide which company their money should support. Auditors share the responsibility the provide analysis of the the financial condition while looking for errors in the bookkeeping/ accounting of the company’s financial position. The auditor’s responsibility is to correct or balance any errors thus preventing a misleading view of the true financial strength of the company. If this view is compromised by providing or allowing false data to exist, the company’s position is weakened, investors are led under false pretenses, placing their investments at risk. The SEC depends on a complete, thorough and truthful analysis from an auditor to verify the financial status providing security for those desiring to invest or provide financial support. Arthur Andersen’s problems began precisely as mentioned earlier, when executives began to Behave unethically in a manner against the principles on which the company was founded. It is important to note that while Arthur Anderson employed good business ethics, the company flourished. As it began to compromise it’s integrity the long term consequences eventually to appear. The Enron collapse represents just one of many cases where mistakes were made and hidden. For Arther Andersen, in business almost 90 years, the destruction of Enron documents to prevent the SEC from gaining access to incriminating evidence shows how corrupt the accounting firm had become. While millions of dollars in revenue for Arthur Andersen were at stake, the viability of the company depended on the reputation it garnered. The demise of the company resulted from the dishonest tactics it employed to remain in power. As of June , 2002, the company had laid off 7,000 employees, and lost more that 650 of it’s 2,300 public audit clients with the layoff of thousands pending. The slippery slope to extinction had begun. http://money.cnn.com/2002/06/13/news/andersen_verdict/ In the article â€Å"12 Ethical Principles for Business Executives† by the Josephson Institute, published on December 17, 2010, stated that â€Å" language establishing standards or rules describing the kind of behavior an ethical person should and should not engage in, are ethical principles.† More specifically they are specified as â€Å"Honesty, Integrity, Promise keeping and Trusworthiness, Loyalty, Fairness, Concern for Others, Law Abiding, Commitment to Others, Leadership, Reputation, Morale and Accountability.† http://josephsoninstitute.org/business/blog/2010/12/12-ethical-principles-for-business-executives/ The founder, Arthur Andersen, embodied these principles to the point that he personally reimbursed a client for an accounting mistake made under his watch. While a disclaimer on the part of Arthur Andersen guards against minor mistakes in the accounting audit/ review, it seems this created a gray area that was taken advantage of. Also, management should have developed a zero tolerance mechanism to maintain an ethical culture dedicated to preventing inappropriate behavior. Policy should have mandated regularly documented training on business ethics, and the importance of its implementation as the auditing process ensued. Any issues should have been to the client with reconciliation mandantory prior to an Audit Opinion being submitted. The indictment of Arthur Andersen and subsequent trial provided proof the Audit Opinion and review of Enrons balance sheet and financial statements were submitted with the intention to skew the true condition of the company’s true fiscal condition, thus deceiving the shareholders, board of directors, potential investors and stakeholders. An overview of the measures in place to safeguard against inappropriate accounting behavior provide an insite to the items that were violated during Enron and Arthur Andersens quest to bilk investors share holders of millions. â€Å" These safety measures included Generally Accepted Accounting Principles (GAAP), Generally Accepted Auditing Standards (GAAS), Statements on Auditing Standards (SAS), and all professional ethics. The use of GAAP by accountants is standard protocol. An accountant follows these principles as a matter of daily routine. According to several accounting texts, GAAP is identified as a â€Å"dynamic set of both broad and specific guidelines that companies should follow when measuring and reporting the information in their financial statements.†Ã¢â‚¬  http://faculty.mckendree.edu/scholars/2004/stinson.htm The article â€Å"7 Principles of Admirable Business Ethics† presents seven additional principles which complement ethical behavior. Those are â€Å"Be trustful, keep and open mind, meet obligations, have clear documents, become community involved, maintain accounting control and be respectful. http://sbinformation.about.com/od/bestpractices/a/businessethics.htm In conclusion, legal analyst’s formulate the opinion that â€Å"executives at Arthur Andersen and Enron did not set out to have a positive impact on the accounting industry or any industry. They set out to make as much money for themselves as quickly as possible. They were willing to do whatever it took to make that money. These thoughtless acts and greed led both companies to an eventual downfall in bankruptcy.† The subsequent prosecution of these firms has produced new controls which should serve to prevent this type of financial disaster. Most notably the Sarbanes-Oxley Act which includes requiring companies to reevaluate its internal audit procedures and makes sure the accounting practices either â€Å"meet or exceed the expectations of the auditors.† http://faculty.mckendree.edu/scholars/2004/stinson.htm Statement Regarding Professional Conduct: â€Å"This assignment is my own work. Any assistance I received in its preparation is acknowledged within the assignment in accordance wth academic practice. If I used data, ideas, words, diagrams, pictures, or other information from any source, I have cited the source(s). I understand that copying text word for word from other sources without placing it in quotation marks is considered plagiarism and not acceptable even if I cite the source where the material was copied from. I certify that this assignment was prepared specifically for this class and has not been submitted in whole or in part, to any other class at Walsh or elseware.†

Friday, August 16, 2019

Glamourous

Dylon de Leon ENGL 100-08 QFRA 6-11 (pg. 186) Feb. 22, 2013 GLAMOUROUS What is glamour? How does it differ from looks, fame and fortune? In paragraph 12 of the article, the first few sentences are very effective. They use 3 people that a lot of people know today and go straight to the point about who they are in the political world. This is an example of Givhan’s strategy that was shown to be effective. Givhan uses a few strategies throughout his article.One of the specific strategies was using famous and glamourous people that we see today as rich and famous and see as having fame and fortune. Another good strategy that he uses is pointing out the face between actors that they are not all what they seem and that who they really are isn’t who we see in public, and that what we are really seeing and who we really think they are is just an act. He points out that really glamour makes people forget about who they are and make everything seem so beautiful in the world.Givha n’s claim is simply that the people who we see living their lives full of fortune and happiness is simply not correct. He claims that glamour is just simply not all that great. Givhan states that glamour is situated in the now while cool is a step ahead. This claim makes perfect sense because glamour is just something that is seen in the moment and not in the future. Cool on the other hand is something that is seen outside of what is on the big screen, therefore is seen in more than just the present. It may just be the way that I look at it that makes sense.You can tell the difference between Glamour, Charisma, and cool, by what they show and what makes each characteristic what it is. Glamour is a sort of fairytale, Charisma is personal, and cool is just, well, cool. If someone was to want to be cool, I would suggest that they do something to inspire people as a famous person. Cool isn’t about having lots of stuff and looking good, there is a big difference. To be cool , you have to show the people that you are cool and show the people you are more than just good looks.

Thursday, August 15, 2019

A drama by Arthur Miller Essay

The Crucible is a drama by Arthur Miller wrote in the 1950’s. It tells the tail of a village in America, Salem. This is overcome with mass hysteria witchcraft trials. In the opening scene of the film, Act 1, the director chooses to go straight to one of the main characters, Abigail. She is the center of the group of girls and the scene moves straight to forest where the girls are dancing. There is spooky music playing in the background. They start to chant and partake in the practice of witchcraft. Abigail whispers to Tituba (the servant of Rev. Paris and we then find out later that she want John Proctor to fall in love with her. Abigail picks up the chicken and uses it to put a spell on John. The background is dark and with witchcraft, chanting and music all builds up tension very well. In the original play you do not see the witch craft practiced at the beginning. Instead Author Miller chooses to go stright to a young girl affected by the witch craft Betty (the Rev. Paris daughter) who appears to be in a comma. This is due the girls getting cauter while practicing there witch craft. We find out that Rev. Paris saw the girl in the forest dancing, this called them all to freak out and run around like headless chickens and it scared Betty so much that she was now in a comma. Paris say â€Å"†¦ my daughter and my niece I discovered dancing like heathen in the forest†¦ † Abby denies they were doing witchcraft, she says they where just dancing when her uncle, the Rev. Paris, came along and frightened them Betty fainted. In the play Arthur Miller’s introduction is calm but the film has a spooky, eerie and dramatic feeling. Abby is very dominant over the other girls and has a lot of control over them. She is the main character and one of the oldest so she has the most control over them. She seems to sense the girl’s weakness and uses this to her advantage by making them copy her when she wants. Tituba become more powerful with every one surrounding her listen to her every word of what happened in the forest which make her feel more important and less like a slave. In Act 2 in the pace of the play stat to build up as the sentences become small and I found my self read much quicker which seemed to keep me in suspense building tension. We find out that Abbey has an affair with John Proctor and that his wife knows about this some thing you would not expect from a Nobel man like John. All this seemed to make Abbey a stronger character which may seem odd as Abbey started out as an innocent girl having a bit of fun in the forest. Mary Warren enters the Proctor’s house suddenly. The sight of here make john Proctor furious. It is very dramatic when he grabs her and shakes her and shouts â€Å"I’ll whip you if you do not dare leave this house again. † But the tension drops as Mary Warren goes limp in his grip and claims to be sick. Proctor’s anger is draining and Mary’s staye is emphasized when she give the limp rag doll to Elizabeth Proctor. The tension rises very dramatically when proctor finds the needle in the rag doll.

Wednesday, August 14, 2019

Discission

â€Å"Consent for Treatment† Please respond to the following: * Ms. Davis, a patient at XYZ facility, had a difficult time sleeping and was given something to put her sleep at approximately 3:00 a. m. A form was given to Ms. Davis to sign for surgery while going in and out of sleep at approximately 7:00 a. m. following the sleep medication. Was this an express consent or implied consent? Explain your answer. As the head administrator of the facility, discuss what concerns you have and what would you do with the person who presented Ms. Davis with the consent. A minor with a gunshot wound was rushed to the emergency room. The parents had not arrived yet. After rushing the minor to surgery, the medical team realized consent for surgery had not been signed. Explain what kind of consent should be obtained. Speculate on how often this kind of consent is applied and discuss your thoughts. According to our lectures in week 6, lecture 1, an express consent is done in words, written or oral. An implied consent is apparent by the actions that demonstrate the patient has agreed to the treatment.Either way both types of consent require the person to know all the facts about their treatment. This would include what they were being treated for, what types of procedures they are doing or would like to do and the risks and benefits for the treatment. They must be completely aware of what they are consenting to. In the above situation I would say that the type of consent they are seeking is the implied consent because they are trying to get the patient to sign a consent form for surgery.However she is, in my opinion not able to comprehend the facts of what she is consenting to because she is dosing off and on because of a sleeping aid she was given. She is under the influence of a medication that can have an affect of not also the obvious, sleepiness, but not really being able to comprehend their surroundings. People have a different reaction to medication therefore I ca nnot even fathom that even if they were able to get her to sign the consent form it should not hold up or be considered legal and standing because of the fact she was under the influence of a medication.It does not state that the surgery was an emergency in which if a surgery was a life-or-death situation where the consent was not needed. If I was the head Administrator of this facility, I would not allow this. The staff member who presented the patient with the consent under such circumstances would be reprimanded if not suspended for the lack of good judgment and lack of following policies and procedures of what is acceptable and legal for a consent to do surgery.I would not allow the patient to be put through the surgery because she, in my observation was not able to fully comprehend and understand what she was being asked to sign. According to our text it states â€Å"that an emergency eliminates the need to obtain consent because the law values the preservation of life and pre vention of permanent impairment. However, this rule applies only when the patient is incapable of expressing consent and the healthcare surrogate is unavailable.The above situation states that the parents have not arrived therefore they do know what has happened to their child and with a gun shot wound the medical faculty made a choice to put the minor in an emergency surgery due to a gun shot wound Showalter, J. S. (2012). The Law of Healthcare Administration, 6th edition. Chicago, Illinois. Health Administration Press â€Å"A Tax-Free Health Care Organization† Please respond to the following: * Memorial Today Hospital is a teaching institution that provides community benefits and charity services to a large population of indigents in exchange for a tax-exemption status.Explain how the Health Reform Law of 2011 could impact the health care organization and its tax exemption status if it remains law. * Explain under what circumstances Memorial Today Hospital will be subject t o income taxation. Discuss what this means to you as the administrator of the facility The 2011 Health Reform Law can impact the Memorial Today Hospital because it adds new requirements to the tax code and adds new standards regarding the care of the poor (Showalter, 2012).Now there must be a community health needs assessment conducted once every three years, an adoption and implementation of a strategy to meet health needs identified in the assessment, a written financial assistance policy must be publicized and implemented-essentially a charity care policy for services to indigent patients, adoption of a written policy on nondiscrimination in emergency services, limit the amounts charged for care to indigent patients, and non attempt â€Å" extraordinary collection actions† without first determining whether the patient meets financial assistance criteria.Memorial Today Hospital may be subject to income taxation if a charity earns revenue from a line of business that does no t further its charitable purpose, that income is subject to unrelated business income taxation (UBIT) as though it were earned by a for-profit organization (Showalter, 2012). If I were the administrator of the facility, I would ensure I was working along with other non-profit companies for business that is not provided by the hospital setting. Showalter, J. S. (2012). The Law of Healthcare Administration, 6th edition. Chicago, Illinois. Health Administration Press

Tuesday, August 13, 2019

Law assignment 3 Coursework Example | Topics and Well Written Essays - 1500 words

Law assignment 3 - Coursework Example 2. By publishing the description of a man sought for questioning, the mass media could actually create a risk of serious prejudice to an active case. But in this scenario, the case is inactive and the man is merely sought for the purposes of question clarification. Therefore, the media can warn the public about the dangers of dealing with this man. This is so that the public may be warned in case the person sought is armed or violent in some ways. Public safety is of the utmost concern in such situations. However, once a warrant of arrest is issued, the media will no longer be able to use the mans name or description as it would serve a prejudicial purpose in the case. 3. Section 4 (1) is the ruling that protects court reporters from being accused of contempt because it states that â€Å"a person cannot be found guilty of contempt under the Strict Liability Rule† in relation to â€Å"fair and accurate report of legal proceedings held in public published contemporaneously and in good faith.† That is provided that there has been no court order pertaining to the postponement of reports on certain legal matters or bans on the identification of the person and other information. The ruling applies regardless of the judge not issuing or postponing a banning order. This ruling is further supported by Section 4(2) which is the postponement order. This postponement order allows the courts to prevent the media from reporting on a court case or a portion of a court case. This is done in order to â€Å"avoid substantial risk of prejudice† to other facets of the case in the upcoming or later stages. This ruling does not put a permanent ban on media coverage of an issue. There is an expectation that certain reporting rules may eventually relax in relation to prejudice in the case. A challenge may be posed to Section 4(2) if a ban is placed on the publication of certain situations that should not