Saturday, August 31, 2019

Flat or House

I would like to speak about what is better to live in a flat or in a house ? Comparing living in a flat or a house is difficult. Someone says that living in a house is better than in a flat and someone the opposite. An I think that living in house is much better than living in flat. Fistly, I would like to speak about living in a flat. Speaking about positives aspects about living in a flat I should say that people who‘s doesn’t like working in garden or just being quiet and alone there really should choose to live in a flat as you don’t have any problems about that. But living in a flat there is and negative aspects.I live in a flat. The flats are often smaller than houses. In flats there usually isn't so much place as in a house. If a family has more children, the children must live in one room together. In most cases, people living in flats don't have any gardens or cottages, only a garage. The main advantage of living in a flat is that flats aren't so expensiv e and usually are situated in a town, where everything is near and handy. Secondly, I would like to speak about living in house. Living in houses has many advantages too. There are more places for living. Every member of the family can have his or her room.A house usually has more rooms. In a house can be a big kitchen with larder, a workroom, a fitness room, more bedrooms, toilets and bathrooms and of course an attic. There can be spare rooms for guests and visitors too. In the house, there can be a cellar, where to store the vegetables and fruits from a garden. Next to a house, there is usually a  big or small garden, where children can play and they don't play on the street, where there is a traffic. For example, you can also keep pets there on a garden. Family can work in a garden, relax, or do various parties. Houses usually have garages. It's very good place for men's hobbies.Speaking about negatives aspects I should say that living in hause is very expensive and it is requi re a lot of care: such as housework. Also in detached house you can feel like in your own castle. Nobody disturbs you, but also nobody helps you too. You house usually is in the suburb. There is cleaner air and prettier environment then in the centre. In suburb, you need to have your own car, because usually there is no bus stop and you have to walk for a few kilometres to the nearest one. All in all, I should say that I better prefer living in a house then living in a flat because it is much more comfortable and better than living in a flat.

Friday, August 30, 2019

Ghosts and Supernatural with close reference to ‘The Woman in Black’ and ‘Violet Car’ Essay

Ghost stories are all about death and dying. They help us to understand what happens after we die. They try to build up people’s fear of death and dying. They use people’s fear to build up suspense. Sometimes the author of the book will use the characters in the book to keep the reader wondering, grieving people sometime imagine things and the author can use this to keep the reader interested in the book. The reader would be wondering if it is the imagination of the character or a real ghost. Often ghost stories are based on someone’s premature or violent death. Some stories can use this to add more fear, because it could be an ordinary person that gets killed. Sometimes the author writes as if it had happened to them, this could help the reader to believe the story more. The ‘Violet Car’ is about the violent death of a young girl. The man that had killed Mr. Eldridge’s daughter was driving though the village in his violet car. He pulled up to Mr. Eldridge, and asked him for directions to Hexham. It was a foggy day, and Mr. Eldridge didn’t like the driver so he told him that it was straight on, and the driver drove straight of the edge of a cliff. Mr. Eldridge was haunted with the pictures of the car driving off the cliff and everyday he saw it. The only way that he could stop the visions was to stop the car from driving off the edge of the cliff. Mr. Eldridge stood on the corner of the road to stop the car as it came round the corner, it hit Mr. Eldridge and knocked him to the ground. The cause of death was heart failure, but he was really killed by the same car that had killed his daughter. ‘The Woman in Black’ is about a ghost that haunts Eel Marsh House, an isolated house with a very dark secret. There is a ghost of a young woman that lost her son on the marshes near Eel Marsh House, which haunts the house. Mr. Drablow, the previous owner, died and Arthur Kipps is sent to sort out every thing in the house and make sure all the legal documents are correct. The ghost is of a woman called Jennet Humfrye, who had a son but was not allowed to keep him so she gave him up to Alice Drablow. Jennet came to see here son all the time and one day the child had been out in the town and come back on a horse and cart, but it had gone off the tracks and into the marsh. Arthur hears noises on the marsh of people dying, drowning in the mud of the marshes. Every time the ghost is seen a baby dies, but when no child died they thought that the curse of the old house had ended, but Arthur’s child and wife die in an accident and the woman in black was left to haunt Crythin Gifford. The books are similar in many aspects, they are both written in the first person. Writing in first person is a common practice by Authors to make the reader believe the story more. ‘The Woman in Black’ is written as if you are Arthur and the ‘Violet Car’ is written from the point of view of the nurse. They are similar because they both try and achieve the same thing, just using different techniques. Susan Hill keeps the readers attention by using short sharp sentences, whereas Edith Nesbit uses lots of descriptions to keep the attention of the reader. ‘The Woman in Black’ uses lots of very good descriptive words; they are very good for working up the suspense even more. ‘The Woman in Black’ and ‘Violet Car’ are both based on grief, ‘The Woman in Black’ is the grief of Jennet, the ‘Violet Car’ is about Mr. Eldridge and the grief he had because he sent the car off the edge of the cliff. In ‘The Woman in Black’ Susan Hill make an eerie atmosphere by using short onomatopoeic sentences such as, â€Å"Bump. Bump. Pause. Bump. Bump. Pause. Bump. Bump. Bump. Bump. Bump. Bump† This kind of sentence helps to build up anticipation and anxiety. It is like you want to find out what is going to happen next but are too scared to find out. She does not use cliffhangers at the end of a chapter; however she does use them at the end of some paragraphs. The ‘Violet Car’ is a very different book in that respect, Edith Nesbit writes in a different way to Susan Hill. E. Nesbit didn’t write in short sentences; instead she told the story in a way that made you want to continue reading. Both the stories are traditional well told ghost stories that use different techniques to get the same result. They are both interesting and exciting and the kind of story that you don’t want to put down because it is so full of suspense. I think that ‘The Woman in Black’ is a better ghost story because a lot more happens in it and it has a more complex plot to the ‘Violet Car’, however ‘The Woman in Black’ is a book whereas the ‘Violet Car’ is a short story. ‘The Woman in Black’ was described has ‘Heartstoppingly chilling’ and I agree with this.

Neologisms

Information about Neologism In linguistics, a neologism is a recently-coined word. It also is the result of the act of inventing a word or phrase. Additionally it can imply the use of old words in a new sense (i. e. , giving new meanings for existing words or phrases). Neologisms are especially useful in identifying new inventions, new phenomena, or old ideas which have taken on a new cultural context. The word â€Å"neologism† was coined around the end of the1800 and was a neologism itself.Neologisms tend to occur more often in cultures which are rapidly changing, and also in situations where there is easy and fast propagation of information. Neologisms are often created by combining existing words or giving words new and unique suffixes or prefixes. Neologisms often enter the language through mass media, the Internet, or through word of mouth – especially, many linguists suspect, by younger people. Virtually every word in a language was, at some time, a neologism, tho ugh many are quite ancient.Neologistic words or phrases themselves are borrowed from the older word, when required, to define the new concepts. Neologistic words or phrases which are combined are often shortened or lengthened. Neologisms can also be created through abbreviation, acronym, by intentionally rhyming with existing words, or simply through playing with sounds. Neologisms often become accepted parts of the language. Other times, however, they disappear from common usage. Whether or not a neologism continues as part of the language depends on many factors, probably the most important of which is acceptance by the public.Acceptance by linguistic experts and incorporation into dictionaries also plays a part, as does whether the phenomenon described by a neologism remains current, thus continuing to need a descriptor. It is unusual, however, for a word to enter common use if it does not resemble another word or words in an identifiable way. (In these cases, strange new words s ucceed because the idea behind them is especially memorable or exciting). When a word or phrase is no longer â€Å"new,† it is no longer a neologism.Neologisms may take decades to become â€Å"old†, though. Opinions differ on exactly how old a word must be to no longer be considered a neologism (to some, cultural acceptance also plays a influencial role than time in this regard; other dissagree, stating the amount of time the word exists in use is the important factor). Versions of Neologism * Stable – â€Å"Old†; Gained some recognizable and likely somewhat lasting foothold (i. e. , mainstreamed). * Diffused – â€Å"Young†; Reached a significant audience, but not mainstreamed. Unstable – â€Å"Newborn†; Proposed or rarely being used but meet an expressive need. Types of Neologism * Scientific – words or phrases created to describe new scientific discoveries. * Technological – words or phrases created to describe inventions. * Political – words or phrases created to make some kind of political or rhetorical point, perhaps with an eye to the Sapir-Whorf hypothesis * Pop-culture – words or phrases evolved from mass media content or used to describe popular culture phenomenon (which may be considered a sub section of slang). Imported – words or phrases originating in another language. Typically they are used to express ideas that have no equivalent term in the native language. â€Å"Yesterday's neologisms, like yesterday's jargon, are often today's essential vocabulary. † – Academic Instincts, 2001[1] Compare with: portmanteau, euphemism, loanword, buzzword, word coinage, compound noun and adjective, jargon, slang.

Thursday, August 29, 2019

The UN system for the protection of Human Rights Essay

The UN system for the protection of Human Rights - Essay Example 146). Over the past few decades, there has been a heated debate over the justiciabilty of social, economic and cultural rights. In the recent past, many countries have expanded the scope of their constitutions to include social, economic, political and cultural rights to its citizens and many domestic courts, federal courts, regional bodies and international organisations have issued several ruling over social and economic claims (Baderin & Ssenyonjo, 2010, p. 479; Schutter, 2010, p. 173). This has led many experts to conclude that the debate regarding the justiciabilty of social, economic and cultural matters is over and that these rights are justiciable. With Inter American Court of Human Rights, European Court of Human Rights, African Court on Humans and People’s Rights and other regional courts extending their number of judgements on such matters, the common view is that social, economic and cultural rights have become justiciable (Sepulveda, et al., 2003, p. 67). Therefor e, when the United Nations General Assembly adopted the Optional Protocol to the International Covenant of Economic, Social and Cultural Rights many human rights activists and people all over the world termed the same as â€Å"victory for socio-economic rights’. However, this paper makes an attempt to evaluate, critically, this statement by presenting both sides of the story. The paper would begin with introducing brief histories and background of the International Covenant on Economic, Social and Cultural Rights, Committee on Economic, Social and Cultural Rights and Optional Protocol to the International Covenant on Economic, Social and Cultural Rights, which would be followed by the evaluation of the Justiciability debate. Discussion International Covenant on Economic, Social and Cultural Rights Drafted in the year 1954 and signed on December 16, 1966, the International Covenant on Economic, Social and Cultural Rights (ICESCR) is a United States General Assembly Resolution . As the name suggests, it binds its parties towards ensuring the protection and provision of the economic, social and cultural rights of individuals. Currently, this multilateral treaty has 160 parties that have signed and ratified the covenant. However, 32 states have either not signed or signed but nor ratified the covenant up till this point in time (Young, 2012, p. 113). Interestingly, the United States of America, which signed the covenant on October 5, 1977, even after 35 years is yet to ratify the constitution. Six then, the United States has been governed under six different administration of Cater, Reagan, George W. H. Bush, Clinton, George W. Bush and Obama administration (Baderin & Ssenyonjo, 2010, p. 479). As conservative republicans, Reagan, George W. H. Bush and George W. Bush administrations did not see economic, social and cultural rights as â€Å"inalienable human rights†, but as desirable economic, social and cultural goals that should not be the object of binding covenants. On the other hand, Carter, Clinton and Obama administration have recognised the same as â€Å"human rights†, but have delayed ratifying the covenant into the US constitution because of various political reasons (Sepulveda, et al., 2003, p. 67). In essence, ICESCR is an extension of the Universal

Wednesday, August 28, 2019

U07d1 Three Reform Models Essay Example | Topics and Well Written Essays - 500 words

U07d1 Three Reform Models - Essay Example RG or Diagnostic Relate Group was implemented in 1983 and was basically a system where the groups were formed based on diagnoses, age, sex, discharge status, medical complications and also procedures. This is the basis by which Medicare pays the hospitals and has been quite successful. This system makes it simpler for Medicare to correctly identify each group and base the possible demand for each group (The New England Journal of Medicine, 2010). This is an accurate mode of medical care and is helpful in ensuring clearer working processes. State Childrens Health Insurance Program: This program was developed with an intension to provide health care for children and families that were uninsured and with incomes that was low but enough to gain a Medicaid. This program had a number of arguments and there was a complete slow down in the program as President George Bush felt that the program was losing focus and was covering more of middle class children rather than the poor children. The program has however again been put back into track by President Obama and over four million children and pregnant women have been treated under the Childrens Health Insurance Reauthorization Act of 2009 (Centers for Medicare & Medicaid Services, 2010). Mental Health Parity Act: This act was introduced on January 2010 and aims at providing alignment for health and substance abuse benefits and also providing medical health benefits for companies with 50 or more employees. This however is not a group health plan of any sort (U.S. Department of Labor, 2008). As seen all these reforms have been developed with an intension to improve and address all the healthcare system issues. They are all very beneficial in terms of providing the assistance to the patients, however there is a clear issue where all the systems lack the availability of funds (Valueoptions, 2010). Also with the newer reforms coming up each day there is clearly a lack of enough money available to invest into the

Tuesday, August 27, 2019

Servant Leadership Reflection Essay Example | Topics and Well Written Essays - 250 words

Servant Leadership Reflection - Essay Example Secondly, servant leadership might lead to the failure of an organization to achieve its goals. Servant leadership focuses on enhancing growth at both organizational and community level, which hinders centralized growth in the firm (Schaap, 2008). Finally, servant leadership can demean the leadership role of the management in the organization. This servant leadership can cause laxity at the workplace because it eliminates the leadership at the workplace (Schaap, 2008). There is comfort working under servant leadership style because it promotes unity in the organization. In addition, servant leadership enables managers to experience the status of the working conditions of their employees. This type of leadership creates a good working atmosphere among the subordinate workers and the managers. In addition, it is essential to enhancing the public relations of the organization and production of quality products. Consequently, I would be comfortable using the system (Hammer, 2012). Today’s global society is characterized by the used of advanced technology in all sectors of an organization. The technology enables individuals to share their views regarding the operations of the company. In addition, the modern global society focuses mainly on the corporate social responsibility, which is achievable through servant leadership (Hammer, 2012). Servant leadership is a real leadership approach in the modern society. It enables organizations to relate effectively with the communities through production of high-quality products and corporate social initiatives. In addition, it creates a platform where employees obtain motivation from the leaders that are essential in enhancing productivity and profitability of the organization (Schaap,

Monday, August 26, 2019

Dualism and the Inconsistent Triad Essay Example | Topics and Well Written Essays - 750 words

Dualism and the Inconsistent Triad - Essay Example ive up the world-view given by the theories of physics on the one hand and the quite intuitive idea that we have about the functioning of our own minds and bodies on the other. Two important versions of dualism are Interactionism and Epiphenomenalism. The former view holds that mind and body, although being two mutually excluded and independent categories, interact together. The nature of interaction is bi-directional because the mental states affect the bodily states and the bodily states affect the mental states. Both the categories are causally efficacious. Epiphenomenalism, on the other hand holds that bodily states are causally active but mental states are causally inefficacious. Mental states therefore are epiphenomena in the sense that they have no causal power to act back on the body. Here the nature of interaction is uni-directional that is only from body to mind (Jacobsen, 66). The interactionist dualist cannot deny the proposition (1) â€Å"the body is physical and the mind is non-physical† (Jacobsen, 68) because it is the fundamental thesis of any form of dualism. So also, being interactionists, they cannot deny the proposition (2) either, which says that â€Å"the mind affects body and the body affects the mind (Jacobsen, 68). The apparent inconsistency arises when the proposition (3) which says that â€Å"all physical changes can be completely explained by their physical causes† (Jacobsen, 68) gets added to the other two propositions to form a set. In order to avoid the inconsistency, the interactionist has to keep the propositions (1), (2) and (3) all true within the same set. If an interactionist hold only (1) and (3) as true, it would end up in epiphenomenalism (Jacobsen, 69). So the strategy to get around the inconsistency triad must be one which avoids this and for that, one has to identify a solution which supports the mind-body in teraction. The principle of the closure of physical laws says that all physical changes can be explained by their

Sunday, August 25, 2019

Drugs & Crime- Internal Restraints Assignment Example | Topics and Well Written Essays - 250 words

Drugs & Crime- Internal Restraints - Assignment Example Self-acknowledgement acts as a cause of motivation for the individual trying to overcome the problem. In addition, motivation helps the patient to suppress the cravings for engaging in criminal behavior and drug use. Sharing the problem with other people also weakens the craving. Over a period, the individual will be able to deal with the urge systematically until they overcome the craving completely (Marlatt et al. 65). External cues are events and activities that exist within the environment of the affected individual. Certain stimuli in the surrounding of the patient can be associated with alternative stimuli (Marlatt et al. 276).The sights, sounds and smell formally associated with a craving to commit a crime or abuse drugs may imply danger. Locations previously associated with fulfillment as bars, houses where the crimes were committed or friends who took part may be subject to interpretation by the brain as a sign of danger. The individual may voluntarily desist from visiting such locations during

Saturday, August 24, 2019

Writing assignment Essay Example | Topics and Well Written Essays - 250 words - 1

Writing assignment - Essay Example But I think use of algae as a biofuel among the alternatives is the most economical and practical alternative. Academic research on the uses of algae started over 30 decades ago, and because of its growing importance, research activities are intensified over the years. To date, scientific studies are being done by over 200 universities worldwide on the feasibility of using algae as a substitute. (Algae.com) Research showed that algae could easily meet the demands for 31 million crude oil. Algae is grown on many ocean floors n the United States. In contrast to corn, sugar soy and sunflower used as biofuels, algae does not need much caring to grow(view attached picture of a non-forested area of an algae farm). It does not require clearing of rainforests, fertile farmland or fresh water to grow. As compared to other feed stocks, algae produces more gallons per acre than soya, rape seed, mustard and palm. Algae produces 10,000 US gallons per acre, soya- US 45 gal; Rapeseed – 110-145 us gal; palm oil -650 US gal.(Thurmond, Will. 2009) He claims that algae alone can meet the requirements as a possible substitute for entire global fossil requirements. Algae can be used as biofuel, ethanol, methane, jet fuel and a lot more. Thus, algae provide a wide opportunity for investment. Due to its practicability, 32 countries worldwide serve as collection centers, while 70 companies are involved in energy commercial research. Algae has market potential because US and EU cannot produce enough corn and meet targets while research showed algae has enough capabilities to meet these demands. As potential targets, algae can serve the military that is the number 1 consumer of diesel fuel. Algae biofuel can also serve passenger cars that use gasoline and diesel. Algae production hopes to meet the target of Federal FRS36 billion gallons by 2022. As of 2008, algae

Friday, August 23, 2019

The Borzoi College Reader, Seventh Edition Essay

The Borzoi College Reader, Seventh Edition - Essay Example As matter of fact, the multiple reasons of immigration, assumed to be as many as the immigrants themselves, fall under similar themes that determine the immigrant’s life and how they are treated by the natives. Poverty has triggered a significant percentage of immigration. The poor move from places with low endowment of resource to seek better life’s in other places. However, no matter how promising these new places are, they don’t guarantee immigrants full satisfaction. Immigrants have continued to live filthy lives despite being in high status location. Mankind has developed a capitalistic nature, with every individual struggling to maximize his self-satisfaction. Literally, no one cares about the immigrants but instead take advantage of their vulnerability to attain self-development. Native humiliate immigrants; enslave them following the fact that, they are their financial supporters. This mistreatment corrupts he immigrants mind, creating a negative attitude towards the new environment. Racism in US has evolved, developed and even worsened due to immigration of black Africans to the whites’ territories in search for better hosting. The intercultural interaction br ings confusion, the definition of satisfaction is altered and hence most immigrants have remained in these cruel and anti-social environments so long as they receive some financial compensation. Good life, fair treatment and kindness and other social norms are no longer a priority and immigrants adapt cruelty. To quote â€Å"if we lived in Canada we could play outdoors every day in the sun†¦ sun is bad for you. Everything our parents said was good is bad†(298). Regions differ, socially and economically. Economic and social reasons significantly influence immigration. People move to acquire better healthcare, better education, and access auxiliary services as well security. The impact is

Thursday, August 22, 2019

Criminal investigation Term Essay Example | Topics and Well Written Essays - 250 words

Criminal investigation Term - Essay Example Despite the benefits of fire, the disadvantages include atmospheric pollution, hazard to living organisms, soil erosion, and water contamination among others. Fire can obliterate one’s house and the entire belongings within an hour or even destroy a large forest and thus, reducing it to a pile of cinders as well as charred wood. Owing to the magnitude of the effects of a fire, there is a need for a thorough analysis and enlightenment on the causes of such destructive fires, the burn indicators, fire setting, and mechanisms of initiating fire, establishing the motives of the arsonists as well as means of locating the suspects. One of the first steps in an arson investigation is to determine not only where the fire originated but also how it started. The importance of pin pointing the origin of the fire allows investigators to more accurately determine whether foul play was involved or if the fire simply started by accident. A certain level of heat and some type of combustible material, which will combust at a given temperature, is needed to create a fire (Swanson, Chamelin, Territo, & Taylor, 2009). If the fire is accidental it could have started for many reasons to include a faulty electrical system, negligent smokers who fall asleep or leave their cigarette burning unattended, and the ever popular space heaters that are normally electrically powered will create enough heat or short out, thus creating a fire. In addition, an accidental fire could occur due to spontaneous combustion. Take for example, linseed oil. This oil is normally purchased as a widely used stain and sealant and can be quite combustible. If in a concentrated form, on something as basic as a rag that was used for staining some furniture, the evaporation caused by the oxidation of the oil creates enough heat to spontaneously combust (William, 2003). This could happen over the course of a couple hours, days, or even weeks

One Sample Hypothesis Test Essay Example for Free

One Sample Hypothesis Test Essay Earning potential and income of every person is severely different; many factors have a hand in determining the amount of money a person makes and how much his or her earning potential can increase. Some of the factors currently determining the earning potential of people around the United States are; education, marital status, age, union participation, race, age, years of experience, sex, the industry in which the individual works, and the position held by individual. This paper is going to show the correlation between marital status and income, the team has disregarded all other determinants to answer the research question clearly. The research question that the team has developed and the hypothesis was formed from goes as follows; does marital status affect earning potential? Every decade that passes, it seems as though people are waiting longer to get married. Waiting for job security, completion of college and social norms are just a few factors that influence this trend. This is a big change from 50 years ago, when most people would get married straight out of high school. The fact is being single has some advantages when deciding to start a career, it also affects ones earning potential. Being single allows more dedication to the job as well as the mobility to go wherever the job may take an individual. While being single may be good for starting a career, being married will actually increase a person’s earning potential in the long run. The mean salary for the single person is $24,864 per year. The mean income for married individuals is $33,303. This leads us to our null hypothesis (H0) that being married will not improve the earning potential of an individual. Our alternate hypothesis (H1) is that being married will help improve the earning potential of an individual. Numerically it is stated: H0: ÃŽ ¼1 ≠¤ ÃŽ ¼2 H1: ÃŽ ¼2 ÃŽ ¼2 The five-step hypothesis test starts with stating the null and alternative  hypothesis. The null is H0: ÃŽ ¼1≠¤ÃŽ ¼2 and the alternative hypothesis is H1: ÃŽ ¼1ÃŽ ¼2. The second step in find the decision rule. The decision rule is reject H0 if ÃŽ ¼1 ÃŽ ¼2 ÃŽ ¼1. Step 3 is to calculate the test statistics. It has come to the mean of the earning potential of those who are married and those who are unmarried. Married couples have a mean salary of $33,303.00 and unmarried individuals have a mean salary of $24,864.00. Step 4 is to compare the test statistics to the critical value. The test results in married couples have a greater income than the salaries of unmarried people. Step 5 is to state the results. In result, married couples have greater earning potential than that of their unmarried counterparts. Therefore, in this case the team has to reject their null hypothesis because they have discovered a greater earning potential for married couples over unmarried individuals. The team’s results provided support to the null hypothesis that a married individual has a higher earning potential than that of a single individual. As previously stated a single individual on average makes $25, 000 while married individuals make on average $34,000 a year. Our research also indicates more working individuals are married over single. Our sample only included 33 single and 67 married individuals. Our study also found non-married men have wages that range from $11,000 to only $27,000 while non-married females wages range from $15,000 to $83,000. Married men have wages that range from $28,000 to $84,000, married women however only have wages that range from $11,000 to $50,000. This shows independent women with one sole income on average make more than men. However, after marriage, the men tend to become the higher wage earner. Education does not appear to play a significant role it ranges from four to 18 years. A married man with 18 years of education can made up to $84,000 while a single man also with 18 years of education only made $27,000. That is in contrast with a single woman with 17 years of education who make $83,000 a year and a married woman with 17 years of education who made $34,000. The maximum wage for a married woman was $50,000 and this was with 12 years of education. We analyzed many different aspects of earning potential and the majority proves a married individual will make more than that of a single individual. With all of the numerical data analyzed, the research question answered, and the hypothesis being correct, the team has been able to state confidently that marital status drastically affects  earning potential. On average, those who are married make nearly $8,500 more than those who are unmarried. Several other factors determine the income potential differences, but without further analyses of data not provided in the data set, the team would just be throwing around assumptions on the matter. References David P. Doane, L. E. (2007). Applied Statistics in Business and Economics. New York: McGraw- Hill.

Wednesday, August 21, 2019

The War Of 480 479 Bc History Essay

The War Of 480 479 Bc History Essay The invasion of 480-479 BC was a revenge attack on the Greeks; the reason was that the Persians having attempted severally to invade Greece and failed in their attempts. Emperor Darius is known to have set out his army to Athens to punish them for their revolt. Darius was a proud king, his pride in his big empire and the fact that he had a big army, made the Persians confident in their armys resources and their strength. This gave the Persian army the confidence that they would take over Athens. It is important to understand the reasons for the Persians insistent invasion of the Greeks and the vigilant campaign to take over Athens. When Athens encouraged these cities to rebel against Persian rule, emperor Darius set out a campaign not only to increase his empire but also to punish the rebelling cities. His first invasion and war was fought at marathon, this is the invasion of 490 BC, and this was the deciding war that lead to the invasion of 480-479 BC. It is the disposed leader Hippias who joined Dariuss army in this invasion. It is clear that they set out to invade with vengeance in their hearts, their sheer numbers and massive forces gave them a clear victory over Athens. They attacked Eriteria and won and on they moved to Athens. The humiliation of the Persians and Darius in the invasion of 490BC was the deciding factor in the invasion of 480-479 BC. Importantly what really fuelled Darius anger and drive to invade Greece in the invasion of 480-479BC was the defeat they encountered at marathon in 490BC. The Persians had a massive army and materials during this invasion, and their success was assured. Darius felt humiliated because despite their assured victory, they still lost to the Greeks. Of interest is the fact that Greeks had sort the help of the Spartans, unfortunately they could not engage in war as they were celebrating a religious feast. The Athenians went to war with the Persians manned two to one. They were simple infantry men who were against a well equipped Persian army. Looking at the history of the invasion of Greece by Persian, it is easy to understand why the Persians were defeated at every invasion. Their confidence in their numbers and might blinded them to the fact that with out strategy they would easily loose a war to a smaller and less equipped army. The loss at marathon was a humiliation to the Persians. It was the poor decision to break up, with the larger army attacking from the sea, and a smaller force at marathon that lead to their defeat. While they set out to attack from the sea, the Greeks seized the opportunity and attacked the remaining forces. They fought and won this group, then they drove them away towards the sea, as the second Persian unit arrived by sea, they found the retreating forces with the Greeks this time ready and waiting at the banks of the sea. Evidently strategy in war was a key factor in the victory over the Persians. It is important to remember that the period covered by these wars was the age in which these two great empires were expanding. The Persian Empire and the Greek empire were constantly in competition for cities to concur. After the loss of 490 BC it took another 10 years before the Persians could attack in 480-479 BC, with the death of Darius it took time for his son to gather forces and attack Athens. It is this time the Greeks got ready for battle, they had time to prepare, as they were well aware of the fact that the two empires were constantly colliding over territory. During this period the Greeks put up a naval defense force at Aegean. The Persian invasion of 480 BC under Xerxes began, with a huge army of hundreds of thousands. Xerxes was carrying out his fathers plan of taking over Greece. The conquest of Greece was seen as very important in the establishment of the empire. A boost to their morale, as it was before was their massive army. Xerxes was defeated because in as much as he had a great army, he was not prepared in the strategies of war. Xerxes was blinded by the desire to fulfill his fathers dying wishes that he forgot to prepare his army fro the battle ahead. Xerxes ambition in concurring Athens and making the Greek empire part of the Persian Empire blinded him to the fact that the Greeks may have been preparing themselves for another attack. Xerxes failed to prepare his army for this invasion since, it was a well known fact that the Persian army was used to battle on the plains of Asia. They were not physically prepared to battle in the Greek environment. This is a decisive factor in battle as the condition of the soldiers is paramount in the winning of a battle. Another major reason that Xerxes lost to the Greeks was that his army, in as much as it was massive in sheer numbers they lacked equipment as compared to the Greeks. The 10 year break during which the Persians did not attack, all the time the Greeks needed to train, arm and equip themselves fro war. The failure of Xerxes to realize that fact was an error on his part. It was common knowledge that the two empires were in constant conflict over their boundaries, with each trying to defend its concurred cities. Therefore Xerxes should have been amply prepared to have a complete take over of Athens. He should have strategised more in considering the fact that Athens was not a small city, it was the seat of the Greek empire, an empire that had a large territory and had concurred the east. The Persian army apart from having adapted to the Asian plains, they were defeated because; they were not able to properly scout. A reason fro this is the fact that on their way into Greece they decided to make a stand at Thermopylae, this was a mountain pass. This was a poor decision because they were used to waging war on vast battle fields not narrow path ways. They war strategy and training was on the open ground. The other fact was that they had deployed a huge army; this army was using the mountain pass into Greece. This was a huge error because it restricted their movement in the ground. The Persian army had invested heavily in numbers and not equipment. The moment they got into this pass, and the fact that they were ill equipped gave the Greeks an advantage. The ten year period between the invasion of 490 BC and 480 BC, apart from giving the Greeks time to prepare, it also assisted them in building a good relation with the Spartans. This is evident due to the fact that the moment the Persians attacked the Spartans were there alongside the Greeks fighting them. The naval force that the Greeks had built at Aegean helped defend Athens from the sea. The Spartans just like the Greeks were familiar with the Greek territory and landscape. It is for this reason that they were able to beat a large Persian army at the mountain pass at Thermopylae. Xerxes on the other hand should not have waited for too long to wage war on Athens. He should have immediately followed up on his father plans of attack soon after the first defeat. It is the pride of the Persian that made him loose the invasions. They gave the Athenians time to adequately prepare themselves and fortify their cities. I believe if they had followed up a repeat attack immediately after the loss at marathon they would have defeated Athens. The Persians pride in his army also resulted in his defeat, this pride blinded him to the fact that though they seemed superior in size to the Greeks. The Greeks on the other hand was also a formidable force. The Greeks were also a people that had waged war on communities both large and small and had conquered for themselves large areas. They were an innovative people that leant from their experiences and travels. It goes without saying that the Greeks learnt the first few times, each time the Persians invaded and lost the Greeks were left preparing themselves for the next attack. They prepared they ground troops and fortified their beaches; they even built a naval base to defend their beaches. The Persians overlooked the fact that the Greeks were a formidable force that was not to be reckoned with. What the Greeks lacked in numbers they made do in preparation and equipment. For the many reasons that are given for the defeat of the Persians in the invasion of 480 BC, the most convincing fact is the armys preparation in war. The Persian may have had a huge army, but the Greeks had a well armored army, after the attack at marathon they went a head and prepared themselves even creating a naval force, they even sort the assistant of the Spartans. The Persians did not have a clear war strategy, it seemed they were driven by the blind rage that emperor Darius had created and natured. They did not seem to have a clear strategy apart from attack and conquer and acquire Greece for their empire. The Greeks took advantage of this to their success; they knew when to break franks and when to attack. The Persians would have won the battle of 480 BC had they not used the mountain pass in their sheer numbers blocking them in, concentrating them in a small area, that left them venerable. If they had used a scout they would have marked out the territory to their advantage.

Tuesday, August 20, 2019

An Overview of Consent and Restraint

An Overview of Consent and Restraint Consent, Deliberate or implied affirmation; compliance with a course of  proposed action. Consent is essential in a number of circumstances. For example,  contracts and marriages are invalid unless both parties give their consent. Consent  must be given freely, without duress or deception, and with sufficient legal  competence to give it (see also INFORMED CONSENT). In criminal law, issues of consent  arise mainly in connection with offences involving violence and *dishonesty. For  public-policy reasons, a victims consent to conduct which foreseeably causes him  bodily harm is no defence to a charge involving an *assault, *wounding, or  *homicide; in other cases the defendant should be acquitted if the magistrates or  jury have a reasonable doubt not only as to whether the victim had consented but  also as to whether he thought the victim had consented. Restraint,  assault and  an intentional or reckless act that causes someone to be put in fear of  immediate physical harm. Actual physical contact is not necessary to constitute an  assault (for example, pointing a gun at someone is an assault), but the word is often  loosely used to include both threatening acts and physical violence (see BATTERY).   Words alone cannot constitute an assault. Assault is a form of *trespass to the  person and a crime as well as a tort: an ordinary (or common) assault, as described  above, is a *summary offence punishable by a *fine at level 5 on the standard scale  and/or up to six months imprisonment. Certain kinds of more serious assault are  known as aggravated assaults and carry stricter penalties. Examples of these are  assault with intent to resist lawful arrest (two years), assault occasioning *actual  bodily harm (five years), and assault with intent to rob (life imprisonment).   battery The intentional or reckless application of physical force to someone  without his consent. Battery is a form of *trespass to the person and is a *summary  offence (punishable with a *fine at level 5 on the standard scale and/or six months  imprisonment) as well as a tort, even if no actual harm results. If actual harm does  result, however, the *consent of the victim may not prevent the act from being  criminal, except when the injury is inflicted in the course of properly conducted  sports or games (e.g.rugby or boxing) or as a result of reasonable surgical  intervention. Duty of care, The legal obligation to take reasonable care to avoid causing damage. There is no liability in tort for *negligence unless the act or omission that causes  damage is a breach of a duty of care owed to the claimant. There is a duty to take  care in most situations in which one can reasonably foresee that ones actions may  cause physical damage to the person or property of others. The duty is owed to  those people likely to be affected by the conduct in question. Thus doctors have a  duty of care to their patients and users of the highway have a duty of care to all  other road users. But there is no general duty to prevent other persons causing  damage or to rescue persons or property in danger, liability for careless words is  more limited than liability for careless acts, and there is no general duty not to  cause economic loss or psychiatric illness. In these and some other situations, the  existence and scope of the duty of care depends on all the circumstances of the  relationship between the parties. Most duties of care are th e result of judicial  decisions, but some are contained in statutes, such as the Occupiers Liability Act  1957 Negligence and  Carelessness amounting to the culpable breach of a duty: failure  negligent misstatement 328 329 NHS Trust  to do something that a reasonable man (i.e. an average responsible citizen) would do, or doing something that a reasonable man would not do. In cases of professional negligence, involving someone with a special skill, that person is expected to show  the skill of an average member of his profession. Negligence may be an element in a  few crimes, e.g. *careless and inconsiderate driving, and various regulatory offences,  which are usually punished by fine. The main example of a serious crime that may  be committed by negligence is *manslaughter (in one of its forms). When negligence  is a basis of criminal liability, it is no defence to show that one was doing ones best  if ones conduct still falls below that of the reasonable man in the circumstances. See  also GROSS NEGLIGENCE. 2. A tort consisting of the breach of a *duty of care resultingà ‚  in damage to the claimant. Negligence in the sense of carelessness does not give rise  to civil liability unless the defendants failure to conform to the standards of the  reasonable man was a breach of a duty of care owed to the claimant, which has  caused damage to him. Negligence can be used to bring a civil action when there is  no contract under which proceedings can be brought. Normally it is easier to sue for  *breach of contract, but this is only possible when a contract exists. Generally, fewer  heads of damage can be claimed in negligence than in breach of contract, but the  rules limiting the time within which actions can be brought (see LIMITATION OF  ACTIONS) may be more advantageous for actions in tort for negligence than for  actions in contract. See also CONTRIBUTORY NEGLIGENCE; RES IPSA LOQUITUR.   vicarious liability   Legal liability imposed on one  person for torts or crimes committed by another (usually an employee but  vicarious performance 526 527 violent disorder  sometimes an *independent contractor or agent), although the person made  vicariously liable is not personally at fault. An employer is vicariously liable for  torts committed by his employees when he has authorized or ratified them or when  the tort was committed in the course of the employees work. Thus negligent  driving by someone employed as a driver is a tort committed in the course of his  employment, but if the driver were to assault a passing pedestrian for motives of  private revenge, the assault would not be connected with his job and his employer  would not be liable. The purpose of the doctrine of vicarious liability is to ensure  that an employer pays the costs of damage caused by his business operations. His  vicarious liability, however, is in addition to the liability of the employee, who   remains personally liable for his own torts. The person injured by the tort may sue  either or both of them, but will generally prefer to sue the employer.   Vicarious criminal liability may effectively be imposed by statute on an employer  for certain offences committed by an employee in relation to his employment. Thus  it has been held that an employer is guilty of selling unfit food under the Food Act  1984 when his employee does the physical act of selling (the employee is also guilty,  though in practice is rarely prosecuted). Likewise, an employer may be guilty of  supplying goods under a false trade description when it is his employee who  actually delivers them. For an offence that normally requires mens rea,an employer  will only be vicariously liable if the offence relates to licensing laws. For example, if  a licensee has delegated the entire management of his licensed premises to another  j:letson, and that j:letson has committed the offence with the nec~ssatymens YeQ, th~  licensee will be vicariously liable.   Vicarious liability for crimes may be imposed in certain other circumstances. The  registered owner of a vehicle, for example, is expressly made liable by statute for  fixed-penalty and excess parking charges, even if the fault for the offence was not  his. If the offence is a regulatory offence of *strict liability, the courts often also  impose vicarious liability if the offence is defined in the statute in a way that makes  this possible.   Scope of practice (the legal and professional boundaries imposed upon you as a nurse)   Advocacy (the nurses role as an advocate for the client)   Documentation   Open disclosure   The Coroner   An officer of the Crown whose principal function is to investigate  deaths suspected of being violent or unnatural. He will do this either by ordering an  *autopsy or conducting an *inquest. The coroner also holds inquests on *treasure  trove. Coroners are appointed by the Crown from among barristers, solicitors, and  qualified medical practitioners of not less than five years standing.   Colour. The normal colour of urine is pale straw or light yellow.   It is mainly due to the pigment urochrome and partly to urobilin.   Womens urine is slightly lighter.   If the quantity of urine is increased or there is a diminution or dilution of urinary pigments, it becomes lighter and rendered very pale as in excessive drinking, nervousness, anaemia, chlorosis, diabetes, hysteria, epilepsy, poluria, in general debility and in chronic interstitial nephritis. The colour of the urine will depend on the degree of concentration; the more concentrated-the darker; the greater the quantity of water -the lighter.   Acid urine is slightly darker than alkaline urine. Urine becomes deeper in colour, like orange or dark yellow or brownish red generally known as high coloured or concentrated urine and is due to uroerythrin and urobilin produced by increased haemolysis, as in. fevers, after journeys, in hot days, in nervous excitability and after bodily exercises. N ormal urine on standing for a time will have a white or sometimes a bluish white scum on the surface due to contamination and putrefaction.   Urine glairy, whitish in colour indicates admixture with pus or leucorrhceal discharges. Urine coloured smoky, brown, reddish, brownish black or black indicates admixture with blood and denotes haemorrhage. Urine coloured greenish yellow or greenish brown indicates admixture with bile and denotes jaundice and other affections of the liver. Urine coloured milky indicates admixture with fat or pus and denotes chyluria or any purulent disease of the genitourinary tract.   Urine coloured blue indicates typhus fever, admixture with methylene blue or when there is excess of indigogens. Many drugs after absorption colour the urine, such as yellowish orange by santonin and chrysophanic acid; reddish or orange brown by senna and rhubarb; dark olive green or black by carbolic acid and other coaltar derivatives while antipyrin reddens the u rine. Odour.   When just voided urine is faintly aromatic but after a few minutes its characteristic odour is urinous.   The odour of urine is due to phenol.   It becomes pungent in concentrated urine, when urea is liberated in excess.   It becomes ammoniacal and putrescent and the reaction becomes alkaline after sometime when this excess of urea takes up water and is converted into ammonium carbonate.   It occurs quickly in urine from chronic cystitis or from suppurating diseases of kidney and bladder i.e., when urine is mixed with pus; blood or excessive phosphates.   The odour of urine in diabetes and in acetonuria is slightly sweetish.   The characteristic odour of garlic, sandal oil, cubebs, copaiba are given off when they are taken internally.   Turpentine gives an odour of violets. Appearance, physical character or transparency is the naked eye appearance of urine. Normal urine is always clear when voided but when allowed to stand for sometime it becomes slightly hazy or turbid due to suspended particles or from a slight cloud of mucus and epithelium. After sometime there may be sediments at the bottom due to gravity. If the urine is ammoniacal or decomposed a white turbidity forms due to sedimentation of phosphates or from bacterial activity. The turbidity or sediment is due mainly to the following suspended particles:- Urates. Uric Acid. Albumin. Phosphate. Mucus. Oxalate. Pus. Blood. Micro-organisms. To distinguish one from another, first of all fill three fourths of a test tube with urine and very gently heat the upper portion of the urine, holding the test tube by the bottom.   Now note whether the urine becomes clear or a cloudiness appears in the boiled portion, comparing with the lower unboiled portion of the test tube.   If the urine is turbid and clears up on heating then it contains Urates.   If the urine is clear and becomes cloudy with heat, before boiling point, then it is Albumen.   If the urine is clear and becomes cloudy at the boiling point, then it is Phosphate.   To distinguish between albumin and phosphate add 3 or 4 drops of acetic acid on the cloudy urine.   If the cloudiness disappears, then it is phosphate; but if the cloudiness remains or thickens, then it is albumin.   Lastly to distinguish between albumin and mucin add 2 drops of nitric acid, if the cloudiness disappears, then it is Mucin, but if the cloudi ness still persists, it is albumin. The turbidity of carbonates will clear up with effervescence on addition of nitric acid whereas heat and acid increases the turbidity due to albumin. To distinguish between phosphate and oxalate take some fresh urine and add ammonia, when there will be a precipitate. If on the addition of a few drops of acetic acid, the precipitates disappear, then it is phosphate, if it remains it is Oxalate. Failing the heat test take some urine in a test tube, preferably from the bottom and add a few drops of Liquor Potassae. Mix it thoroughly and if it clears up, then it is mucus; but if it becomes gelatinous or ropy, it is Pus. Next, if the deposit is coloured then take some urine in a test tube, preferably from the bottom and add a few drops of caustic potash and gently heat a little.   If it is dissolved, then it is Uric acid but if there is a precipitate, note the colour of the coagulum; if it is reddish brown or bottle green, it is Blood. If the urine is turbid and there is no change either by heat or by addition of caustic potash and heat, then the turbidity is due to Micro-organisms.   They generally clear up on the addition, of watery solution of ferric chloride and ammonium hydrate and then filter the urine.   Sometime the character, colour and reaction will roughly denote the element. Urates-They look like moss and are yellowish white or pink in colour.   Reaction is generally acid. They deposit when the urine becomes cold.   Uric Acid-It is crystalline and reddish brown in colour, resembling a shower of cayenne pepper grains. Reaction is moderately acid.   Phosphate-It forms a thin deposit and is white or yellowish white in colour.   Reaction may be slightly acid, alkaline or neutral.   Mucus-It is a cloudy or woolly looking white deposit. Reaction is slightly acid.   Oxalate-It is soft, shining and white in colour. Reaction is generally slightly acid. Pus- It looks like a ropy or creamy deposit, and is white in colour.   Reaction is slightly acid or  alkaline. Blood-It is clotted or thready and is red smoky or brownish in colour.   Reaction generally alkaline or may be slightly acid. Micro-organisms-The deposit is slightly hazy and white in colour.   They generally stick to the sides of the glass. COMPLICATIONS OF FRACTURES The majority of fractures heal without complications. If death occurs after a fracture, it is usually the result of damage to underlying organs and vascular structures or from complications of the fracture or immobility. Complications of fractures may be either direct or indirect. Direct complications include problems with bone infection, bone union, and avascular necrosis. Indirect complications are associated with blood vessel and nerve damage resulting in conditions such as compartment syndrome, venous thromboembolism, fat embolism, rhabdomyolysis (breakdown of skeletal muscle), and hypovolemic shock. Although most musculoskeletal injuries are not life threatening, open fractures, fractures accompanied by severe blood loss, and fractures that damage vital organs (e.g., lung, heart) are medical emergencies requiring immediate attention. Compartment Syndrome Compartment syndrome is a condition in which swelling and increased pressure within a limited space (a compartment) press on and compromise the function of blood vessels, nerves, and/or tendons that run through that compartment. Compartment syndrome causes capillary perfusion to be reduced below a level necessary for tissue viability. Compartment syndrome usually involves the leg, but can also occur in the arm, shoulder, and buttock. Thirty-eight compartments are located in the upper and lower extremities. Two basic causes of compartment syndrome are (1) decreased compartment size resulting from restrictive dressings, splints, casts, excessive traction, or premature closure of fascia; and (2) increased compartment contents related to bleeding, inflammation, oedema, or IV infiltration. Oedema can create sufficient pressure to obstruct circulation and cause venous occlusion, which further increases oedema. Eventually arterial flow is compromised, resulting in ischemia to the extremity. As ischemia continues, muscle and nerve cells are destroyed over time, and fibrotic tissue replaces healthy tissue. Contracture, disability, and loss of function can occur. Delays in diagnosis and treatment cause irreversible muscle and nerve ischemia, resulting in a functionally useless or severely impaired extremity. Compartment syndrome is usually associated with trauma, fractures (especially the long bones), extensive soft tissue damage, and crush injury. Fractures of the distal humerus and proximal tibia are the most common fractures associated with compartment syndrome. Compartment injury can also occur after knee or leg surgery. Prolonged pressure on a muscle compartment may result when someone is trapped under a heavy object or a persons limb is trapped beneath the body because of an obtunded state such as drug or alcohol overdose. Clinical Manifestations. Compartment syndrome may occur initially from the bodys physiologic response to the injury, or it may be delayed for several days after the original insult or injury. Ischemia can occur within 4 to 8 hours after the onset of compartment syndrome. One or more of the following six Ps are characteristic of compartment syndrome: (1) pain distal to the injury that is not relieved by opioid analgesics and pain on passive stretch of muscle traveling through the compartment; (2) increasing pressure in the compartment; (3) paraesthesia (numbness and tingling); (4) pallor, coolness, and loss of normal colour of the extremity; (5) paralysis or loss of function; and (6) pulselessness, or diminished or absent peripheral pulses. Collaborative Care. Prompt, accurate diagnosis of compartment syndrome is critical.17 Perform and document regular neurovascular assessments on all patients with fractures, especially those with an injury of the distal humerus or proximal tibia or soft tissue injuries in these areas. Early recognition and effective treatment of compartment syndrome are essential to avoid permanent damage to muscles and nerves. Carefully assess the location, quality, and intensity of the pain (see Chapter 9). Evaluate the patients level of pain on a scale of 0 to 10. Pain unrelieved by drugs and out of proportion to the level of injury is one of the first indications of impending compartment syndrome. Pulselessness and paralysis (in particular) are later signs of compartment syndrome. Notify the health care provider immediately of a patients changing condition. Because of the possibility of muscle damage, assess urine output. Myoglobin released from damaged muscle cells precipitates and causes obstruction in renal tubules. This condition results in acute tubular necrosis and acute kidney injury.   Common signs are dark reddish brown urine and clinical manifestations associated with acute kidney injury (see Chapter 47). Elevation of the extremity may lower venous pressure and slow arterial perfusion. Therefore the extremity should not be elevated above heart level. Similarly, the application of cold compresses may result in vasoconstriction and exacerbate compartment syndrome. It may also be necessary to remove or loosen the bandage and split the cast in half (bivalving). A reduction in traction weight may also decrease external circumferential pressures. Surgical decompression (e.g., fasciotomy) of the involved compartment may be necessary (Fig. 63-15). The fasciotomy site is left open for several days to ensure adequate soft tissue decompression. Infection resulting from delayed wound closure is a potential problem after a fasciotomy. In severe cases of compartment syndrome, an amputation may be required. DEFINITION Compartment syndrome is a condition that  occurs when elevated pressure within a limited  space compromises the circulation, with  increased risk of irreversible damage to its  contents and their function. Acute compartment  syndrome is a surgical emergency.   ICD-10CM CODES 958.90 Compartment syndrome unspecified   958.90 Compartment syndrome, not  otherwise specified T79.A0 Compartment syndrome,  unspecified, initial encounter   M79.A11 Nontraumatic compartment  syndrome of right upper extremity   M79.A12 Nontraumatic compartment  syndrome of left upper extremity   M79.A19 Nontraumatic compartment  syndrome of unspecified upper  extremity   M79.A21 Nontraumatic compartment  syndrome of right lower extremity   M79.A22 Nontraumatic compartment  syndrome of left lower extremity M79.A29 Nontraumatic compartment  syndrome of unspecified lower  extremity   M79.A9 Nontraumatic compartment  syndrome of other sites   T79.A19A Traumatic compartment syndrome  of unspecified upper extremity,  initial encounter   T79.A21A Traumatic compartment syndrome  of right lower extremity, initial  encounter   T79.A22A Traumatic compartment syndrome  of left lower extremity, initial  encounter   T79.A29A Traumatic compartment syndrome  of unspecified lower extremity,  initial encounter   EPIDEMIOLOGY   DEMOGRAPHICS   Occurs most commonly after acute trauma,  especially with long bone fractures, comprising  75% of cases.   It usually occurs in persons Incidence is higher in males.   It can occur in other parts, such as the foot,  thigh, gluteal region, and abdomen.   Supracondylar fractures in children can commonly  lead to compartment syndrome.   6% to 9% of open tibial fractures are complicated  by compartment syndrome.   It is seen in all races and ethnicities.   PATHOPHYSIOLOGY   Compartment syndrome occurs when the blood  flow is less than the tissue metabolic demands,  causing tissue injury. It occurs when the intracompartmental  pressure increases limiting  venous outflow with rising venous pressure,  resulting in compromise of the local circulation  and tissue hypoxia with decreased arteriovenous  pressure gradient. Venous congestion additionally  leads to tissue edema and interstitial pressure,  and the compartment pressure continues to  increase. Compartment pressure ranges between  10 and 30 mm Hg of diastolic pressure are able  to cause the condition.   Different conditions are known to cause compartment  syndrome:   Conditions that limit compartment volume, such  as when patients have fracture casts, when  sedated or comatose patients lie on a limb for  a prolonged period, or when patients have tight  dressings that are applied externally.   Conditions that cause increased compartment  content, such as bleeding in the compartment  from vascular injury or diathesis, fractures or  finger injuries, reperfusion after ischemic injury  such as embolectomy and arterial bypass  grafting, severe bruising of muscle, and thermal  or electrical burn injuries.   Other injuries, such as extravasation of intravenous  fluids, injection of recreational drugs,  and snake bites.   PHYSICAL FINDINGS CLINICAL   PRESENTATION Signs and symptoms are usually apparent but  can be unreliable and can lead to delayed  diagnosis. Acute compartment syndrome can  worsen within hours; therefore serial examination  is important in a patient with suspected  compartment syndrome. Patients with tense  painful limbs are considered to have acute  compartment syndrome; however, diagnosis  is confirmed with the assessment of elevated  compartment pressure. Clinical signs and  symptoms include the following:   Pain disproportional to injury (the earliest sign)   Constant deep pain and pain that is referred  to the compartment on passive stretching  of the muscles of the affected compartment   (Fig. E1C-84, A) Reduced sense of touch or sensation (hypesthesia) within the territory of the nerve passing the compartment (in acute anterior  compartment syndrome, the patient may  have hypesthesia in the territory of the first  webspace)   Tense and swollen compartment (Figs. E1C-  84, B and 1C-84, C)   Muscle weakness   Paresis (late finding) that suggests permanent  muscle damage   Capillary refill can be slow but normal.   Peripheral pulses that are normally palpable  even in severe conditions   Tingling and numbness in the affected limb.  Hypesthesia or paresthesia should be evaluated  with pinprick, light touch, and two-point  discrimination tests.   Difficulty moving the extremities.   DIAGNOSIS Diagnosis is based on clinical signs and  symptoms along with compartment pressure.   Compartment pressure testing may be unnecessary  if the diagnosis is clinically obvious.   DIFFERENTIAL DIAGNOSIS Muscle strains   Cellulitis Gangrene Peripheral vascular injury Necrotizing fasciitis Stress fractures Deep vein thrombosis and thrombophlebitis Tendinitis Muscle contusion Tarsal tunnel syndrome Posterior ankle syndrome Popliteal artery impingement Claudication Tumor Venous insufficiency LABORATORY TESTS Diagnosis is based on clinical findings and  the measurement of compartment pressures.   Laboratory values are not useful in the diagnosis  of compartment syndrome but are important  for other diagnoses or associated conditions.   CBC with differential for evaluation of infection   Creatine phosphokinase (CK) levels, which  can rise as muscle injury develops   Metabolic panel for the assessment of electrolytes  and renal function   Coagulation profile for bleeding diathesis   Urinalysis for rhabdomyolysis   Urine and serum myoglobin levels   Compartment Syndrome   A B FIGURE 1C-84 C: A, Severe calf swelling due to  anterior and posterior compartment syndromes  after ischemia-reperfusion. B, Appearance after  emergency fasciotomy. Note edematous muscle  and hematoma. (Courtesy Michael J. Allen, FRCS,  Leicester, UK. From Floege J et al: Comprehensive  clinical nephrology, ed 4, Philadelphia, 2010,  Saunders.) http://internalmedicinebook.com   Compartment Syndrome 307 Diseases and Disorders IMAGING STUDIES Direct intracompartmental pressure measurement  can be done by handheld manometer,  wick or slit catheter technique, and simple  needle manometer system. Compartment   syndrome is diagnosed when the difference  between diastolic blood pressure and compartment  pressure (Ά pressure) is à ¢Ã¢â‚¬ °Ã‚ ¤30 mm Hg.   Ultrasonography can be used to rule out deep  vein thrombosis, or Doppler ultrasonography  can be used to evaluate blood flow to the  extremity. Arteriography should be used to  evaluate the adequate blood flow through a  compartment. Near-infrared spectroscopy and technetium-  99m methoxyisobutylisonitrile scintigraphy  can also be used.   Radiography can be used on the affected  limb for fracture or foreign body evaluation.   TREATMENT   Treatment goal is to keep intracompartmental  pressure low and prevent tissue injury (Fig.  1C-84, D). NONPHARMACOLOGIC THERAPY Immediate relieving of all external pressure  on the affected compartment   Removal of casts, splints, and dressings   Placing limb at heart level to avoid decreased  or increased blood flow   ACUTE GENERAL Rx   Analgesics for pain Hyperbaric oxygen Hypotension can worsen tissue ischemia and  thus should be treated with IV isotonic saline. Fasciotomy of the affected compartment  is indicated if there has been >6 hr of  limb ischemia, or immediate decompression  should be performed when the compartment  pressure > 30 to 35 mm Hg.   Measurement of compartment pressure is  not necessary to perform fasciotomy if clinical  suspicion is high depending on history  and clinical examination.   When compartment pressures are trending  downward, it is often safe to delay emergent  fasciotomy, provided the Ά pressure is also  improving. CHRONIC Rx   Aftercare of fasciotomy wound: Wound is  inspected after 48 hours and dead tissue is  removed.   Wounds are left open, requiring later skin  grafting or delayed wound closure.   Opsite sheet and boot lace techniques are  also used for closing fasciotomy wounds.   Concomitant fractured bones should also be  stabilized with plating, external fixation, or  intramedullary nailing.   DISPOSITION With early diagnosis and treatment, the prognosis  is excellent for recovery of the muscles and  nerves inside the compartment. The following  conditions can be prevented:   Permanent nerve damage/paralysis   Muscle contracture Gangrene Amputation Muscle necrosis Fracture nonunion Rhabdomyolysis that leads to renal failure Compartment syndrome that can occur in  open fractures Permanent nerve injury, which can occur after  12 to 24 hr of compression; mortality rates in  patients who need fasciotomy is à ¢Ã¢â‚¬ °Ã‹â€ 15%. REFERRAL Patients with suspected compartment syndrome  should be referred promptly to orthopedic  and general surgery. PEARLS CONSIDERATIONS Universal precautions and aseptic measures are necessary for patients undergoing fasciotomy because the risk of local and systemic infection is high with the procedure. Invasive monitoring techniques should be undertaken with adequate analgesia so that patient immobility is ensured while the pressure is measured. Injection of local anaesthetics into the compartment can increase the pressure and pain and therefore should be avoided. Patients with fracture casts should be informed about the risks of swelling, and patients should also be encouraged to wear appropriate equipment while playing sports. A history of coagulation disorders and the use of anticoagulants should be mentioned in a patients medical history. Assault Assault has two different interpretations. 1. Traditionally called common assault and consisting of the making of an unlawful and intentional (or possibly only reckless) threat to inflict imminent force against the person where the victim was aware of the threat.   A distinction was previously maintained at common law between common assault and battery.   Increasing codification of criminal law has resulted in abandonment of this distinction and in Australia assault now commonly refers both to common assault and actual infliction of force.   Statutory provisions for the different states are numerous and terminology varies (e.g. offences of causing injury or threatening). 2. One of three ma

Monday, August 19, 2019

Utopia Essays -- Utopic Society Social Issues Essays

Utopia In the year 1515, a book in Latin text was published which became the most significant and controversial text ever written in the field of political science. Entitled, ‘DE OPTIMO REIPUBLICATE STATU DEQUE NOVA INSULA UTOPIA, clarissimi disertissimique viri THOMAE MORI inclutae civitatis Londinensis civis et Vicecomitis’, translated into English would read, ‘ON THE BEST STATE OF A COMMONWEALTH AND ON THE NEW ISLAND OF UTOPIA, by the Most Distinguished and Eloquent Author THOMAS MORE Citizen and Undersheriff of the Famous City of London.’. Utopia (Latin: no-place) is a society of great planning and capability. A community where individuals compromised their rights for the good of the collective and focused on a communal goal. These ideals of an infinitely capable and cooperative. Utopic society have captured the imagination of the greatest minds throughout the centuries. One may find the origin of Utopian thoughts in the Republic and Law conceived by Plato and in The Nicomachean Ethics and Politics created by Aristotle. The two individuals are the founding fathers of western philosophy, and their works are the basis of the western political science. Despite the thoughts on a planned society that preceded More in the field of Utopic philosophy, the first complete Utopia was credited to More and it became the pinnacle of Renaissance humanist thought. In the book, Utopia, More employed the fictional character Ralpheal Hythloday to bring a practical Utopia to the readers. The travelogue of the Island of Utopia from Hythlod ay would act as the model of many Eutopias (Latin: happy-place) and dystopias (Latin: opposite-place) created from a variety of interpretations by authors such as Karl Marx, revolutionist, and H.G We... ...niversity Library Online. Nov 1996. Eurich, Nell. Science in Utopia: A Might Design. Massachusetts: Harvard University Press, 1967 Fox, Alistair. Utopia: An Elusive Vision. New York: Twayne Publishers, 1993 Hertzler, Joyce Oramel Ph.D. The History of Utopian Thought. New York: The MacMillan Copany, 1926 Kateb, George. Utopia and its Enemies. London: The Free Press of Glencoe, 1963 Logan, George M., Adams, Robert M., Miller, Clarence H. Utopia: Thomas More: Latin Text and English Translation. New York: Cambridge University Press, 1995 Logan, George M., Adams, Robert M. Utopia: More. Cambridge: Cambridge University Press, 1988 Olin, John C. Interpreting Thomas More’s Utopia. New York: Fordham university Press, 1989 Russell, Frances Theresa. Touring Utopia: The Realm of Constructive Humanism. New York: The Vail-ballou Press, 1932

Sunday, August 18, 2019

Anzaldúa’s Genre Borderlands Essay -- Gloria Anzaldua

Anzaldà ºa’s Genre Borderlands Gloria Anzaldà ºa writes of a Utopic frame of mind, the borderlands created in and lived in by the new mestiza. She describes the preexisting natures of the Anglos, Mexicanos, and Chicanos as seen around the southwest U.S. / Mexican border, indicative of the nations at large. She also probes the borders of language, sexuality, psychology and spirituality. Anzaldà ºa presents this information in various identifiable ways including the autobiography, historical/informative essay, and poetry. What is unique to Anzaldà ºa is her ability to weave a ‘perfect’ kind of compromised state of mind that melds together the preexisting cultures while simultaneously formulating a fusion of genres that stretches previously constructed borders, proving both problematic and a step in the right extremely ideal direction. Geography is the start of the novel and of the division of culture. There is hatred and derision linked heavily to the divide. This she tells primarily in historical formats, which she then intersperses with poetry. This makes the historical/ political pers...

Saturday, August 17, 2019

Argumentative Essay Topics

The Top 10 Argumentative Essay Topics There is no limit when it comes to these contemporary issues that are often ignored in many areas of mass media. Let’s start with the coveted list of hot topics. Abortion – There is no cap on how much controversy the simple word of abortion sparks. Ever since the controversial Roe vs. Wade court case, the notion of abortion have spawned many riots, picketing and of course, violence. Pro-Lifers and Pro-Choicers often collide in a venomous war of words that often leads to violence of the highest form.Animal rights and experimentation – there is one acronym that reigns supreme when it comes to the rights of animals and that is PETA. People for the Ethical Treatment of Animals, is a group that sparks controversy wherever their representatives are. Whether it is dumping red paint on women who wear furs or just simply picketing on the steps of Congress, PETA is definitely at the forefront of controversy. Animal rights and experimen tation is one topic that will always ignite raw feelings and a heated debate. Breast Cancer and the effects of chemicals in soaps, deodorants, etc. Where there are pink ribbons there is bound to be controversy. The Susan G. Komen Foundation is at the forefront of creating a bit of a stir when it comes to finding a cure for breast cancer, whether it is through walkathons, or charitable events, the foundation strives for proper education, and continuous research on the eradication of breast cancer as evident in their â€Å"race for the cure† events. Writing an argumentative essay on breast cancer and the possible irritants in everyday things such as soaps, laundry detergents and deodorants as being possible causes of breast cancer will undoubtedly create a bit of a stir.Border Control – With America being the land of the free and the home of the brave, there have been continuous efforts to prevent immigrant entry through closing down the borders of the country. This will always be a hot topic of conversation, arguments and debates because it seeks to answer â€Å"what is an American since this is a country of blended cultures. † The Pharmaceutical Industry – Never have three simple words sparked such explosive debates coast-to-coast and around the world. The pharmaceutical industry has been alleged to be responsible for many things.Ethnic Adoption – This is fast being a hot topic of interest for many people because it explores the notion of couples adopting non-American babies. The Death Penalty – With so many people on death row, people have much to say about how the country handles death row inmates as well as what happens when an inmate is forced to walk the green mile and their number is literally up. Genetic Cloning – There has always been a way to get a rise out of people when the topic of genetic cloning comes into play.It forces people to contemplate the idea of man take on the roles that were meant for Go d. Plastic Surgery – With the addiction and deaths attributed to a gross fixation on plastic surgery procedures, many people attribute the rise of prescription medicine addiction and deaths to plastic surgery. This is one topic that is steadily gaining momentum when it comes to argumentative essays. Human Trafficking – This is one topic where you just can’t go wrong when looking for controversy.

Friday, August 16, 2019

The Disobedient Angel Gabriel

Angels throughout history have been shown to have vital roles in the relationship between humans and God. In different religions such as Judaism, Islam, and Christianity, angels are shown to be the attendants and/or guardians of man and heralds of God. The Bible illustrates that angels appear most of the time as ministers of God will, though they make seldom appearances, angels' usually appear to reveal a forthcoming event (Briggs). One good example on this is when an angel is used to deliver the good news to Mary about the birth of Jesus Christ.Through a message of an angel, Mary was able to know that she will be conceived by the power of the Holy Spirit and give birth to the son of God. Though angels and demons are mainly in perceivable to human vision, artists often depict them as human beings with wings. Angels are argued to have no gender, therefore, most aesthetic interpretations, particularly on film, depict angels as androgynous beings. Theologians conversely argue that angel s do not have any physical form and only manifest their presence by taking human appearance.Angels are also said to believe like cherubim who only comes in head forms and has no body at all (Kreeft 23). Aesthetic interpretations with religious themes have varied over time. The product of human imagination has branched out to a more surrealistic state. From novels demoralizing the foundations of the Catholic Church to motion pictures concerning angels disobeying God, and devils aiding humans, these interpretations appear to have tendencies close to being blasphemic, if not, satanic. Nonetheless, it is important to scrutinize if such interpretations are reflections of personal belief or exercise of artistic license.The Bible in many accounts suggest angels are messengers of God, their prominence are evidently read on the birth and resurrection of Jesus Christ. The Bible also mentions of there is a certain angelic division: for the good and the bad angels. The good angels frequently me ntioned are Michael and Gabriel; evil angels meanwhile include Apollyon, Satan, and in some account Lucifer, who is believed to have once started an unsuccessful rebellion against God (Bamberger 23). In consideration to the aforementioned accounts, it is inevitable to ask, can angels disobey God?Interpretations of a rebellious Gabriel have been portrayed in motion pictures such as Constantine and The Prophecy. Though the two are different in the manner of how the archangel is presented, both films show Gabriel’s angst over humanity. The two films show different expression of hatred but are similar in motive that is anger over God's love toward humans. There are certain reasons why it has come to rebellion and disobedience of God’s will. In the motion picture Constantine, the protagonist speaks to a woman who goes by the name Gabriel (who happens to be the archangel) who rejects Constantine’s attempts to reconcile the angel with God.Gabriel in the motion picture refuses to go back to God's grace for the reason that she believes God's innate goodness has some selfish undertones. Gabriel is also driven to rebel because of apparent envy over humans, that God gives them salvation with ease. In her anger, Gabriel pledges to infect humanity with hell’s corruption stating that salvation should only be given to the noble and heroic, and that only happens in the time of disaster and terror. The Prophecy meanwhile revolves around Gabriel doing every means necessary to end the angelic standoff war in heaven.Gabriel's anger in the movie concerns the fact that humans have souls and angels do not, as such, humans can easily escape damnation. Gabriel in turn rages out on humanity by going down to earth and attempting to capture a dark soul. Simon, one of the good angels is however a few steps ahead of Gabriel as Simon captures the soul first and hides it in the body of innocent little Mary. Gabrielle then confronts Simon regarding the dark soul's w hereabouts, but the latter only answered that he hid it somewhere.Finally, Gabriel kills Simon by setting him on fire and ripping his heart out. This is one great sin against the will of God because taking away life from someone is indeed punishable and a clear manifestation of disobedience. The Prophecy and Constantine both disrupt the balance between heaven and hell or good and evil since primarily, angels and demons can wreak havoc without command from their respective superiors. In another note, the Bible and Christianity is focused on human obedience to the will of God and not on any unholy affairs.The films also defeat the purpose of harmony between God and Man, in such a way that God's entrusted attendants on earthly affairs become the very evil that they are fighting against. Angel Gabriel on both films appears as a very unsympathetic being, as if he is or was never a herald of God to begin with. Though the two depictions of Gabriel vary, in Constantine, Gabriel is androgyno us while in The Prophecy, Gabriel is a male. The film has implications of blasphemy given the extra-biblical ideas applied in the motion picture.In Constantine, the angel takes a human form; this however does not comply to any theological aspect since Gabriel in the film is genderless. In this regard, how can an angel assuming the figure of a woman be androgynous? Gabriel in Constantine and The Prophecy is also corrupted by envy and arrogance, primarily on her refusal to come back to God's grace. Apart from the obvious, Gabriel also shows despise for humans due to the gift of salvation. Humanity is made by God to be imperfect beings; hence, it is natural for man to sin because of such imperfection.Angels are supposed to be God's messengers or man's guide. In the Old Testament the expression â€Å"sons of God† always refers to angels (Job 1:6, 2:1; 38:7). However, the film Constantine suggests that Angels can simply go down from heaven and simply burst out their flaming emotio ns on the imperfect humans. Regardless if the movies' versions of Gabriel are fictitious or products of wild imagination it clearly defies biblical regard of angels. It is true that the bible indicates the existence of dark angels but why would filmmakers depict one of God's messengers in such a vile manner.In the two films, the depiction of Gabriel is a good symptom that human imagination has crossed its limit. Furthermore, Gabriel, and angels generally serve as guardians, if they are to be portrayed in such an account, then there would no longer be a need for the term demons. Since angels can turn bad willingly, and raise hell on earth, the concept of angels is surpassed by depictions such as the ones in Constantine and the Prophecy. The depiction of Gabriel in Constantine and the Prophecy defies the very foundation that defines the scriptural concept of angels (Donner). Constantine and The prophecy are also satanic to some extent.Primarily due to the films' portrayal of Satan in Constantine, Satan is set apart from the conventional depiction of the devil, though his act in the motion picture is still motivated by his corruption. Constantine imparts Satan as a helper, instead of a doom bringer as he helps Constantine hinder his son Mammon from conquering and bringing hell on earth. The reason of Satan's aid is based upon his greed of losing his power as the ruler and perpetrator of all evil. Upon learning of his son's (Mammon) plot, Satan immediately sets aside all personal grudge and conflicts with Constantine to stop Mammon.In spite of Satan's motive, the motion picture ultimately illustrates Satan as a helper, thereby giving him an element where he could be praised. It is considerably confusing for a demon to do such way of helping others. Since the first thing to enter in our mind when we hear the word is Satan is that there is no capacity for him to do any good at all. More Satanism implications and provocations are in the film Constantine particularly in the scene when time stopped upon Constantine's second commission of suicide, Constantine would have failed in his act of redemption without the help of Satan.It seems the motion picture is explicating that Satan has a similar power to that of God. He can also make things possible according to his own power. The Prophecy also represents Satan in an unconventional manner, but Satan's adversary in the film is through Gabriel. The motion picture illustrates Satan exerting efforts to save the world as the protagonist Thomas tries to stop Gabriel from bursting out his hatred of human beings thereby unleashing hell on the human realm. Satan also gives his ideas on how to defeat Gabriel in his devious plot of destruction.In The Prophecy, though Satan is driven by a threat, he still helps Thomas. Satan helps Thomas to prevent Lucifer from employing his plan because another angelic revolution will unleash another hell, and that makes two hells. The concept of two hells will disrupt the bal ance of good and evil. More importantly, Gabriel’s plans will destroy all creation; his presence on earth is already trespassing on the human realm, since he has no message to deliver. Then he plans to create a path of destruction? Why not simply create a character based on the natural order?It is clear that the makers of both films thrive for ingenuity by thinking of a concept that they think is original. However, they have failed to do so since they destroyed the true nature of an angel's purpose. They also ruined the true nature of Satan by giving him a different tendency and making the latter choose a lesser evil. The devil in the Prophecy persuades Thomas to use Gabriel’s lack of faith against him. The reason given by Gabriel in starting a war is that God no longer speaks to him, while in Constantine, Gabriel refuses to reconcile with God because pride and envy.The two conflict on their reasons but they still turned their backs on God. The Prophecy and Constantine is about a war concerning supernatural elements, in this case it is notable to feel the absence of God in both motion piheraldctures. The prophecy though has its implication on faith, specifically on the strategy the devil taught to the main character Thomas, it does not emphasize on God Himself. Constantine conversely insinuates God's intervention, particularly on the scene where Constantine is saved by a light upon his second commission of suicide.Constantine also gives reference to God as he is shown praying in one scene, though God's name is never mentioned in the prayer. In The Prophecy meanwhile has no particular mention of God's intervention on the angelic wars. The only remark on God in the Prophecy is on Gabriel's explanation that God does not speak to him anymore. The film in this case is biased since it has its emphasis on the archangel Gabriel and Satan, but does not have any representation of God, even any account of God's involvement in the motion picture's plot.In th e motion pictures' disregard for God, the film has managed to misunderstand God's will. Mammon's birth in the human realm requires to be willed by God, in this particular scenario, it appears that the film is insinuating that it is God's will for Mammon to be born on this earth to start creating a hellish kingdom. It is furthered by the fact that Gabriel prevented such horror from not happening since he murdered Constantine's assistant (Kramer) who is trying to stop Mammon's earthly cross over from happening.In Kramer's act, it is confusing if it is a dilemma whether is a good deed to stop Mammon from crossing over or defiance to the arguable will of God. The two motion pictures gave out manifestations of Angel Gabriel in a different perspective. The stereotypical notion about him as an angel who always does good deeds and is ever faithful to God is changed by the films. Gabriel’s image form the bible is one who always helps in delivering the good news.He is the angel entrust ed to reveal to the Jewish Pharisee and Priest Zechariah that he will have a son (John the Baptist), He was also responsible for â€Å"The Annunciation† revealing the birth of Jesus to Mary and according to later legend, he is also the unidentified angel in the book of Revelation who blows out the horn to announce the Judgment day. However, The Prophecy and Constantine gave out a different version of Gabriel who counterattacks God for his own sets of reasons. This is done through the intercession of the devil. In the prophecy Gabriel looses his faith on Thomas and he also stated the reason for starting the war.He felt useless because God no longer speaks to him. In Constantine, Gabriel’s pride and envy made it hard for him to have reconciliation with God. In any case, Constantine and the Prophecy have failed to acknowledge God by destroying the balance of good and evil, defeating the purpose of angels and demons, and giving a positive treatment of Satan. The films' gap s on the true sense of angels and God's will do not even concur to any perspective or belief that involves the two important elements. Moreover, the ambitious imaginative intents of the film only showed that human imagination have underlying satanic and tendencies of blasphemy.

In human communication, the spoken and unspoken words belong to both the sender and receiver Essay

Communication is the process of sharing meaning with others. The sender is the person who sends the massage and the receiver is the person who receives the massage. There are encoding and decoding processes that happen during this stage. The sender encodes his idea or thought into a massage. For instance, there is a policeman staring at you, and you somehow notice the action and panic. The exchange between sender and receiver occurs. As the receiver, when you notice his action, you will decode the body language and his serious facial expression and you will think that as a sign that you’re in trouble. This interpretation may due to your knowledge and experiences. These both encoding and decoding is very important. This kind of massage can be either in the form of verbal communication or non-verbal communication. Verbal communication or also known as spoken word can be divided into two types, oral verbal communication and non-oral verbal communication. Oral verbal communication is the usage moment when we utter the words or speaking whereas non oral verbal communication is the usage of alphabets system in a proper manner or in a simple word, writing form. Non-verbal communication or also known as unspoken word can also be divided into oral non-verbal communication and non-oral non-verbal communication. Non-verbal communication as a whole can be defined as’ those bodily actions and vocal quality that typically accompany a verbal massage and are usually interpreted as intentional’. A person who is standing on the basis to deliver a speech even though looks like he is only performing a verbal communication may also unintentionally performs non-verbal communication too. This can be seen through his body language for instances, body gestures, facial expressions and even eye contacts. This explains the theory given by Verderber that non-verbal communication and verbal communication can be both happen at the same time. In communicating with each other, language is one of the compulsory features that are required. According to Rudolph F. Verderber, language is the body of works and system for their use in communicating that are common to people of the same community or nation, the same geographical area, or the same cultural tradition. If the spoken language used by the sender is not as same as the receiver, it will lead to the problem in conveying the massage. Body language as opposite is universal and can be understood by almost everyone around the globe despite of their nationality, races, genders or even their mother’s tongue. Smile for an instance, sending the message that the doer is happy, friendly and also in a good mood. Shannon and Weaver are the creators of the first communication model. This model was first created to show how the radio and telephone is working. There are three major parts of this model which ate sender, channel and receiver. The sender will encodes and transmitted the messages in form of binary code or data through the channel. The receiver then will receive and decodes the data into understanding messages. Plus, during the process of sending the messages, there may be some interruption or noise happened either internally or externally. This may due to the imbalance hormone, lack of information, crowd noise or even health problem. Communication begins with self. This principle explains how one’s experiences and knowledge affects his or her ways in treating and communicating other people. Experts also agree that people are products of how others treat them and of the messages others send them. I quoted Carl Rogers, â€Å"every individual exists in a continually changing world of experience of which he is the center.† Someone who experienced either bad or good experiences in his past will have already prepared if the same situation occur again. For example Ali was once been scolded by his lecturer when he did nit hands in the assignment during the due date, this will become a turning point or lesson for him so that in the future he won’t repeat the same mistake again. Communication at the same time is also complicated. The combination of verbal, non-verbal, behavior and attitude of speakers, the intonation and other factors when they combine will make the messages hard to be understood. Moreover, the usage of high-level vocabularies, the complicated structures and uncommon term will make even the simplest message hard to comprehend. As conclusion, in ensuring the communication between two parties is successful, they must have the most important aspect of communication, which are mutual respect and mutual understanding.

Thursday, August 15, 2019

Evaluation of Different Pricing Strategies

The models are based on the average cost approach to price setting but differ slightly In detail. The paper Initially examines the models from an analytical point of view. The paper then describes a simulation model used to evaluate the effect of both decision approaches over time. While the models are analytically similar the simulation results show that the long run behavior of the firm is significantly different under each approach. This work is part of the author's PhD research and represents ongoing rather than completed work. Please do not quote without prior permission. IntroductionThis paper continues the author's examination of firm growth using analytical and simulation modeling methods and which has already been discussed in Brady (1999; AAA, b and c; 2001). This paper specifically examines firm growth under two different managerial policies both of which use the average cost including demand pricing assumption discussed in Brady (2001). Methodology Two models identical in all respects but one were used in this research. Both models used the average cost including demand approach IEEE. Firms produce product at a certain cost and then set out to sell that product at a marked up price.The models defer in the policy adopted by the firm when production exceeds demand for their product. The firm in model A sells whatever quantity it can at Its marked up price as documented In Brady (2001). The firm In model B sells the quantity It produces at the price the market will bear [e. It sells at the price determined by the firm's demand curve. Model A Is more realistic In that firms Immediately realism that they have exceeded their demand curve In that they are unable to sell product at the marked up price and either they Increase Inventory or goods perish.Model B Is less realistic In that firm's cannot determine price with certainty from the demand curve (they do not know their demand curve with certainty): in practice firms must determine this price by some ki nd of atonement mechanism. Note Tanat tons osculation does not model ten atonement process itself; instead it determines the new price directly from the demand curve. In summary, when production exceeds demand, under model A the firm sells less product than it anticipates but holds its price whereas under model B the firm sells all it produces but at a lower price.Specifically model B differs from model A as follows: the demand function (P = a – BC) used is the inverse function to that used in model A (Q = a – BP); these two expressions are functionally equivalent. The models also differ in that in model A units sold were equal to the units produced or units demanded, whichever is the lower; in model B the price at which goods are sold is equal to the marked up price or the demand price (e. The price given by the demand function), whichever is the lower. In all other respects, including the values of all parameters, the models are identical.In the case of both models d emand is held constant throughout the simulation ‘e. The demand curve does not shift upwards or downwards during the simulation. Also, depreciation has been set to zero during the simulation and fixed costs remain constant throughout the simulation (IEEE. There is no step increase in fixed costs as described in Brady, 2001). Results The results of the simulation for model A are shown in figures 1, 2, 3 and 4. Examining firstly firm size, as measured by capital, we see in figure 1 that the firm increases in size until approximately period 50 and then firm size remains more or sees constant.To see why this is so we examine firm retained earnings as shown in figure 2. Here we see retained earnings increase monotonically until period 42 and then decrease asymptotically to zero. Figure 3 shows both revenue and total cost and clearly demonstrates this decline in margin. Here we see the firm maintaining its margin percentage until period 42; margin then declines dramatically until ap proximately period 60; margin continues declining asymptotically to zero. 01 2 0 1 Capital Accumulated_loss 125021002 Time Figure 1. Model A: Capital Retained_earnings 0050100 Figure 2.Model A: retained earnings This decline in earnings is due to the fact that production exceeded demand in period 42 as shown in figure 4. From that period onwards the firm incurred an increasing cost of overproduction and gradually its margin eroded completely. Although the change in period 42 is abrupt the firm comes smoothly to an equilibrium state (although unfortunately for the firm this equilibrium state is one of zero profitability). On the positive side, the firm never makes a loss as it stops increasing production at a point before its price drops below cost.