Thursday, October 31, 2019

Native and European Concept of Warfare Essay Example | Topics and Well Written Essays - 1750 words

Native and European Concept of Warfare - Essay Example The main reasons were to establish a trading empire, conquer and expand beyond their nations, increase religious following and for curiosity satisfaction.1 1 Allison, William T., Grey, Jeffrey G., and Valentine, Janet G. 2012. American Military History + Mysearchlab With Pearson Etext. Pearson College Div. European countries had an aggressive foreign policy that involved conquering other nations and attacking each other to expand their territories. This was coupled by acquiring more valuables, expanding one’s power base and increasing human labour force even in their military. From the large populations, more revenue could be raised through taxing and income for their churches through forced tithes. This wish of making countries richer and stronger than its neighbors lead to the arms of military, court and the clergy exploring the sea and land beyond Europe. European countries viewed North America as a better trading route since it could be accessed easily by ships compared to other trading routes. In their previous routes, they had experienced technical challenges that seemed to be solved by America’s accessibility after discovery of Christopher Columbus. In previous experiences in Asia and Africa, poor development of road network posed the biggest challenge to trade; the traders could not access the inner part easily and goods transported by animals were less compared to the ships. In addition, the overland routes were dangerous and this led to loss of goods when traders were attacked by robbers and geographical features such as rivers and mountains interrupted smooth passage of goods and traders. Christianity, which had its route in Europe, was a driving force to explore new lands. Christians viewed non-Christians as heathen and they took it as their duty to convert them and save their souls from eternal damnation. In bid to march economic and political powers, the churches in Europe sent missionaries to North America and other parts of the wor ld Colonization Christopher Columbus led a Spanish expedition in 1492 which led to discovery of Americas. It opened conquest, colonization and exploration that expanded with time after discovery of this new world that was unknown to many European nations before this era. Due to economic reasons, religious reasons and political prosecutions that were happening in Europe, many people sought refuge in the new found America.2 Columbus's voyages opened up the entire Western Hemisphere to European powers. They led to wars of invasion where these powers competed against each other to achieve more control than any other nation. This led to profound changes on the North America landscape, demographics and plant and animal life. American Colonial Leaders Because of the cost of running external states in North America, the British government gave charters to companies to establish leadership in this region. These companies formed Royal provinces that had a similar system of governance as the m other nation Britain. The chief executives, who were called governors, were responsible for administering justice, appointing judicial and administrative officers, and executing colonial rules.2 They were responsible for the security in the provinces and relationship with the natives and other colonies. They

Tuesday, October 29, 2019

Foundations of Conflict Resolution MODULE 3 CASE ASSIGNMENT Essay

Foundations of Conflict Resolution MODULE 3 CASE ASSIGNMENT - Essay Example The cooperation showed by the parties was an over ridding principle which allowed the two parties to continue on with the discussion. In the case there is a strong possibility of a Pareto – Optimal settlement. The case meets a number of the conditions like: â€Å"Despite conflicting interests, the parties recognize that they also share a problem of some urgency which, if not promptly resolved, may have adverse consequences for them all. Despite differences of perspective, the parties communicate easily with one another. No psychological problems or hidden motivations stunt or disturb the flow of communication. The parties and their attorneys are genuinely interested in possibilities of settlement without the distractions of posturing or jockeying for strategic advantage. Neither party is able or "willing to exercise overwhelming power or influence in the negotiations to force a decision in his or her favor." Each party understands the others arguments and interests, and neith er party is willing to risk the possibility of a judgment adverse to it in a court of law. Objectively based criteria can be identified on which to build a settlement. The dialogue of negotiation discovers win/ win possibilities via "expansion of the resource to be traded." The parties may have an actual or potential relationship that each perceives as worth maintaining or cultivating. Both parties are willing to coordinate their actions in order to implement win/win solutions† (Selig, 2002). Practical points that can derived from this case is that if the disputants have a strong understanding and ability to communicate and resolve the issue among themselves, it can prove to be very beneficial for all the parties and can create a win – win situation for all. Also if all the aspects of the case are considered, it is seen that the cooperative behaviour along with the need for and willingness to genuinely have a need for settlement.

Sunday, October 27, 2019

Effect of the Financial Crisis on Islamic Banks

Effect of the Financial Crisis on Islamic Banks Islamic banking is a very young concept even though it has already been implemented as the only system in two Muslim countries; there are Islamic banks in many Muslim countries, and a few in non-Muslim countries as well. Despite the successful acceptance there are problems. These problems are mainly in the area of financing. Dubai Islamic Bank was the first private interest free bank and was set up by a group of Muslim business men from different countries in 1975. in 1977 two more private banks under the name of Faisal Islamic bank were founded in Sudan and Egypt. Since the establishment of the Dubai Islamic Bank, more than 50 interest free banks have been set up. Most of them are in Muslim countries but there are others in Western Europe as well as Denmark, UK, and also Switzerland. All the interest free banks use basic principles that are agreed upon but individual banks have different ways of implementing and applying the principles. These differences are brought about by a countries laws, the circumstances facing the bank, its objectives and experience as well as its interaction with other banks. The features of the Islamic banks The interest free banks have three kinds of deposits, namely; current accounts, savings accounts and investment accounts. The current accounts operate just like the other conventional banks. In the savings accounts are treated differently depending on the banks policies. In some cases, the banks are allowed to use the clients money but they have to guarantee to give back full the full amount. In this cases, no capital is promised. On the other hand, savings accounts are treated as if they were investment accounts but they have less stringent withdrawal and minimum balance conditions. In these cases the expected profits level are usually low and only a portion of the average minimum balance is awarded. With the investment accounts, deposits are accepted for a given period of time and the investors make an agreement in advance on how the profits will be shared with the banks. For this accounts, a capital is not guaranteed. MODES OF FINANCING The mode of financing in the Islamic banks is carried out in three ways; investment financing, trade financing, and also lending. Investment financing has three perspectives; musharaka, mudharaba and estimated rates on return basis investment. In mushraka, the bank joins another bank to set up a joint venture with both parties participating in their different activities. The profit or loss made from the venture business is shares among the banks in accordance to a pre arranged agreement. This venture is usually an independent legal entity and the bank has the right to gradually withdraw after the initial period. In mudarabha, a bank contributes finances required for an investment and the client sources and provides the needed expertise, labor as well as the management to oversee things. The profit gained from these investment is shared between the bank and the client according to a pre arranged plan. Incase losses are made, the bank takes responsibility. Financing on the basis of an estimated rate of return. The bank makes an estimation of the expected rate of returns on an investment on project that it has been requested by a client to finance. The bank then provides the financing on the condition that the rate is payable to the bank in a given time period or intervals. Incase the expected rate on return is higher than the estimated rate, the client takes the excess profits but if it is less than the estimated rate, the bank accepts the lower rates. In case of a loss, the bank shares in it. Trade financing Trade financing is also carried out in several ways; mark up, leasing, hire purchase, sell an buy back, and letters of credit. In the mark up approach, the bank buys an asset for the client and is to be paid at a certain time for a certain price and some profit. In leasing, the bank simply purchase an item and leases to a client for an agreed time. At the end of this time period, the client pays the balance and becomes the owner of the item. Hire purchase is similar to leasing only that the item purchased by the bank is hired to the client for a given period and when the ends, the client automatically becomes the owner if the item. The buy and sell back approach entails a client selling an asset to the bank at a price payable immediately and promises to buy it back from the bank after an agreed time period and for a pre determined price. Letters of credit involves international trade. In this case, the bank uses its funds to guarantee the import of an item in place of the client, on condition that the profits made from the sale of the item will be shared between the bank and the client. LENDING The third mode of financing used in the Islamic banks is lending and it has three forms namely; loans with service charge, no cost loans and bank overdrafts. Loans with service charge are loans that are given to the clients with no interest but a service charge is levied to cover the expenses incurred by the bank during the transaction. No cost loans are loans offered by the bank and no interest or service charge is required. The bank is required to set aside funds to enable it to grant these loans that are aimed at helping the needy people and also the small businesses. Bank overdrafts are also allowed in the Islamic banks and free of charge but they are subject to a certain maximum. Other services offered by the Islamic banks are; money transfers, bill collections as well as foreign currency trade which is at a spot rate. Islamic bankers treat their depositors as partners, in the sense that they have invested their money in the bank and the profits and losses should be shared accordingly The effects of financial crisis on Islamic banking Islamic banks looks at the sharia law for guidance in its activities and bans interest gaining activities and trading debt. Islamic finance is being promoted as way of dealing with the financial crises that is global. This year is said to be a mile stone for Islamic banking in the sense that the global financial crises has provided the Islamic banking with a golden opportunity globally re establish itself as a main stream and a financier and provider for equity and debt. The main reason as to why Islamic financing is said to be a good remedy for the current market is the fact that one can only promise what they have. For the first time, Islamic banking has been considered as a choice among the present structures and the current systems in reference to products and solutions to the financial crisis. It is therefore important for nations to adopt the Islamic banking techniques and principles in running their economies. Islamic banking industry is facing challenges and most of these challenges are in real estate and stock prices, according to advocates the system has built-in protection from the kind of runaway collapse that has afflicted so many institutions. The use of financial instruments like derivatives, which are said to contribute highly to the down fall of banks, insurance and investment giants, is banned. The dealing of Islamic banks is directly linked to economic activities that involve assets or the provision of services. This banking system is also distinguished from other financial systems fo it commitment in upholding integrity and its way of avoiding risky business activities. The reason as to why this global financial crises has greatly affected other banks especially the world bank is their involvement in debt buying and accounts enlargement without evident or tangible transactions being carried out. The fact that the Islamic banking has been the least affected by the financial crisis has made it more attractive. Islamic Banking portrays many new and unique ideas that present the Islamic Banking system as a way of ensuring full employment, equitability of wealth, prices stability, income distribution, and sustained growth. The Islamic bank also carries out investigations on the nature and functions of money in interest free banking system and then, integrates money in capital theory. The lack of debt in the Islamic financial systems has saved it from many financial problems that are brought about by bad credit and this has seen its survival through rough financial periods. Also its prohibition of a risk free interest on return and trading permission has made the financial activities in an Islamic financial set up to be real estate backed and this gives it the ability to bring about value addition. The success of the Islamic banking regardless of the global financial crises is attributed to its capitalist financial system. The reason as to why Islamic banks have remained immune to the mortgage problem acing the international finance systems is because of their inherent factors. These factors include ; taking precautionary measures against money laundering, prohibiting trading in debt and also the professional and official restraints on taking up risky projects. There were complains that the Islamic banks were not offering genuine Islamic banking products they offered products similar to those in other commercial banks and gave them an Islamic name with the aim of attracting commercial banks customers who did not want to pay interests. The effects of the global financial crisis on the Islamic banks was not known since the Islamic banks received a lot of support from many other governments. Instead, the Islamic banks have taken precautionary measures and diversified their economic activities so as to avoid the financial crises consequences. It is argued that the global crises might continue for the next two years but the Islamic banks have secured liquidity which places it at a better position in facing the financial crisis in comparison to other financial systems. This success has led to serious considerations of using Islamic banking principles as it has continued to realize more achievements and has proved to be resilient an d viable to the currently crisis hit financial system

Friday, October 25, 2019

Global Workforce Integration Essay -- Labor Outsourcing Integrating Es

Global Workforce Integration Outsourcing, offshoring, and workforce globalization. Those words were voiced late 1999 in Seattle inside and outside the World Trade Organization meeting. Damages in Seattle amounted to $2.5 million, and 500 plus protesters were arrested. 3 In those days, outsourcing was about moving manufacturing jobs to developing countries to take advantage of the lower salary there. The affected blue-collar US workers were acting violently out of anger and frustration since their jobs were taken away. White collar population didn ¡Ã‚ ¯t voice any opinions about the issue back then, since US had the largest demand for white collar workers. Today, white collar workers are feeling the pressure of outsourcing in America and starting to discuss the matter seriously. According to researchers at UC Berkeley, 1 in 10 current job positions in the US can be outsourced, while 1 in 6 Silicon Valley jobs are vulnerable to outsourcing. 4 Since software facilitates the white collar job outsourcing and software development is one field most prone to outsourcing, I will focus on the outsourcing issues related to software. I have chosen three specific computer companies  ¨C Peoplesoft, Oracle, HP  ¨C to discuss their outsourcing trends and make inferences about the global effects. In the end, I hope to arrive at a decision about outsourcing from the ethical analysis of the outsourcing issue. But first, let ¡Ã‚ ¯s have a look at why outsourcing is being applied to white collar job positions today. Why Outsource? A major reason for outsourcing is pay difference. Even though we have currency exchange rates between different countries ¡Ã‚ ¯ currencies, the exchange rates are only for monetary values and don ¡Ã‚ ¯t sh... ... d=20040221 3. Seattle Post-Intelligencer, The WTO Legacy, http://seattlepi.nwsource.com/wto/ 4. San Francisco Chronicle, Looking Offshore, Feb 7th, 2004, http://www.sfgate.com/cgi- bin/article.cgi?file=/chronicle/archive/2004/03/07/BUGMJ5FA9G1.DTL 5. Yahoo Currency, http://finance.yahoo.com/m5?a=1&s=USD&t=CNY 6. SFC 7. SFC 8. A. Aneesh, Programming Globalization: Technological Modes of Labor Integration, forthcoming 9. WebEx, http://www.webex.com 10. SFC 11. SFC 12. SFC 13. SFC 14. SFC 15. NEELESH MISRA, Associated Press Writer, Yahoo News, March 12th, 2004, http://story.news.yahoo.com/news? tmpl=story&u=/ap/20040312/ap_on_bi_ge/india_outsourcing_1 16. SFC 17. SFC 18. SCU, Engineering Handbook - Ethics, http://cseserv.engr.scu.edu/NQuinn/COEN288/EngrHandbook_Ethics.pdf 19. SCU 20. SCU

Thursday, October 24, 2019

What Do You Understand – Managed Inventory?

Process of Vendor Managed Inventory can be defined as a mechanism where the supplier creates the purchase orders based on the demand information exchanged by the retailer or customers. It implies that the supplier does the demand creation and the fulfillment, instead of the retailers or customers managing the inventory. Under the typical business model an order is placed to the manufacturer when the product is needed by the distributor. The inventory plan is maintained by the distributor as he is in control of the timing and size of the order being placed.Creating the responsibility of manpower team, space and inventory management, increased administration work and conflict between responsibility ownership in case of quality issue. Under Vendor-Managed Inventory model the order is generated by the manufacturer without being the change of ownership of inventory. The inventory plan is maintained and created by the manufacturer as he receives the data that tell him about the distributor ’s sales and stock levels.This model eliminates the case of emerging conflict in case of quality issues, save manpower, space and inventory management and administration work as sole responsibility is with the system supplier. The goal of Vendor-Managed Inventory is to align the business objectives and streamline supply chain operations for both suppliers and their customers, by using a streamlined approach to inventory management and order fulfillment.It involves collaboration between suppliers and their customers (e. g. retailer, distributor, or product end user) which changes the traditional ordering process. This process works only if expectations are clarified between the organization and the supplier, they both need to agree on how to share information regarding the restocking in a timely and synchronized manner and keep their communication channels open.

Wednesday, October 23, 2019

A Detailed Lesson Plan in MAPEH Essay

Before we start with our lesson for Today, let us have first an action songentitled â€Å"Its I who build community†Ready?Yes sir!Okay, let us do it all  together.Its I ( 3x) who build community(4x)*You*WeRoll over the ocean, roll over the seaRoll over the ocean and the deep blue sea.(The students willdo the action song)Very good!Do you like it?Yes sir! 2. Review Class, what was our lesson lastmeeting? Sir, our lesson last meetingwas all about the meaning,source and form of drugs.Very good! Where does the term drugderived?The term drug derivedfrom the Dutch word droog  which means dry.Well said! What do you mean by theword drug in the filed of medicine? In the field of medicine, drug  is any chemicalsubstance intended for use indiagnosis, cure, mitigation,treatment and prevention of diseases in animals. 3. Motivation Class, I am going to show you a short video clip.What you are going to do is to observe andafterwards I’m going to ask your reactions basedfrom the video presented.Am I understood class?Yes, sir!Now, what have had you observed fromthe video presented?We observed that the personsuffered a severe headache,He is hallucinating andexperienced difficulty inbreathing.What do you think are the reasons whythese particular situations happen?These situations happenbecause of the effects of taking or abusing drugs.Very good! B. Developmental Activities1. Presentation This morning, we are going to discussall about the classification of drugs according touse and effect. a. Setting of Standards But before that, what will you do while yourteacher is discussing in front?Listen, behave, sitproperly, understandthe lesson, cooperate,and participate.Can I expect that from you?Yes, sir! 2. Lesson Proper Class, I will group you into three. This willbe the group 1, 2 and 3. I have here some strips/photocopied materials containing the three classificationof drugs according to uses and effect. All you have to dois to discuss the topic, note/lists and write the importantdetails on your manila paper.Am I understood?Yes, sir!I will give you 5 minutes to do it. After yourgroup discussion, you are going to select 1 representativeto report it in the  class.Am I understood?Yes, sir!Go to your respective groups now. GROUP 1GROUP 2GROUP 3 Teacher supervises his students in every group.Students report what they have had discussed in their group.Teacher gives additional information and makes some clarifications asregards to the topic presented. IV. Evaluation In a  ½ crosswise of pad paper, explain briefly.1. What are the effects of abusing stimulants, depressants, and hallucinogensto:a. oneself b. familyc. community V. Assignment Have an advance reading about the topic â€Å"Prevention of drug abuse†.MAPEH-I textbook, pp. 378-380

Tuesday, October 22, 2019

Pond Ecosystem Report

Pond Ecosystem Report Free Online Research Papers The experimental pond ecosystem was polluted with oil to see what the effects would be. Every week our team added three drops of Pennzoil 5w/30 to our experimental pond ecosystem. We took a count of living organisms from our control and experimental groups at two different levels to see what effect the oil had on them. The results were dramatic on the upper level of our experimental pond ecosystem. Many if not most of the living organisms were destroyed, while the lower level was somewhat less impacted. The experimental pond ecosystem showed that pollution by oil is mainly limited to the upper portion of the ecosystem itself. The cause for this unusual circumstance is because of the hydrophobic property of the oil. Introduction: The ideas of pollution in our ponds and lakes are all to real in this day and age. Even in Alaska our streams and lakes are polluted to some degree. The Alaska Department of Natural Resources (2007) has reported that fecal coli-form bacteria, sediment, and petroleum products are the primary source of pollutants of the surface waters in Alaska. With man made natural disasters such as the oil spill of the Exxon Valdez in 1989, our environment has sustained major damage. This accident alone killed many animals and destroyed the natural ecosystem of the region. Greenpeace (2001) has reported that 250,000 to 500,000 sea animals died immediately, not to mention billions of salmon and herring eggs. The effects of the spill are still being felt with lower birth rates and stunted growth of nearly all of the animals impacted. The University of North Carolina (2002) has found that the effects of the Exxon Valdez oil spill are lasting longer than expected. The team estimates that some shoreline habitats may take another thirty years to recover. Before we go any further we should learn a little about what a pond ecosystem is. According to Wikipedia (2006), a pond ecosystem is a specific type of fresh water ecosystem that is largely based on autotroph algae which provide the base trophic level for all life in the area. The largest predator in a pond ecosystem will normally be a fish and in between ranges smaller insects and microorganisms. It may have a scale of organisms from small bacteria to larger creatures. Aquatic ecosystems perform many important environmental functions. For example, they recycle nutrients, purify water, ease flooding, and provide habitats for wildlife. Mini Pond (2004) reports that a pond ecosystem degrades when the ecosystem’s ability to absorb stress has been exceeded. A stress on these ecosystems can be the result of physical, chemical, or biological alterations to the environment. Usually in the pond ecosystem there are two types of organisms. The first is called Autotrophic. These organisms are the producers that generate organic compounds from inorganic material. Algae use solar energy to generate biomass from carbon dioxide and are the most important autotrophic organisms in an aquatic environment. The second type of organism is referred to as Heterotrophic. These are the organisms that consume autotrophic organisms and use the organic compounds in their bodies as an energy source. Our group thought it would be interesting as well as educational to see first hand what the effects of motor oil in a pond ecosystem would have. We believe that the motor oil will have a detrimental effect on the pond ecosystem. We also believe that the upper levels consisting of the algae and Cyan bacteria will be most affected since they are near the top and oil has hydrophobic relationship with water. We do not believe that the organisms in the lower portions of the ecosystem will be impacted as much because the oil will have a harder time reaching them. We also believe that given enough time that the ecosystem as a whole will die due to the lack of algae. Materials and Methods: The material we used in this experiment consists of living organisms and their food stuff. First, I will list the organisms, followed by the amount of food. We used half a pipette for the living organisms and the five milliliter rule for the food. They are as follows. Gloetrichia, Oscillatoria, Anabaena, Chilonas, Paramecium Caudatum, Stentor, and a few drops of Amoeba. The addition of food is as follows; 5g Mgso4 solution, 15g KH2PO4 solution, 10g K2HPO4 solution, 2.5g NaCI solution, 2.5g NaNO3 solution and 2.5g CaCI solution. These materials were added to two separate two liter glass containers filled with purified water and a measured scoop of dirt and gravel respectively. We then labeled each of the two glass jars, one control and the other experiment. During the four week period we introduced Pennzoil 5w/30 to our experimental group once a week using three drops from a dropper. We were careful not to disturb the water as we put the oil in because we did not want the oil to mix, but instead stay on top of the ecosystem. After our first week, we started collecting data from our pond ecosystem. We did this by taking samples with a dropper from the upper and lower regions of the control and the experimental groups. We made wet mount slides of each region and looked at them with the microscopes provided by the laboratory. The process we did for counting the organisms was a simple yet affective approach. We used the field of view approach that is noted in our Introductory Biology Lab book (2007). The book states that you have one field of view per slide. Within this field of view there are five points of interest; top left, top right, middle, bottom left, and bottom right. With the microscope set at 45X, we went to each of the points of interest and did a count of all living organisms. We did this weekly for the control group as well as the experimental group. Results: The results of our pond ecosystem experiment did produce some unusual findings. This may be the direct result of contamination that happened during the first week or to other factors that are unknown. The first graph reveals the results of counting the top layer of the control group. As you can see the Chilomonas were very productive after one week of being in the ecosystem. Likewise, the Amoeba’s were proficient in the second week. By the end of the fourth week all organisms excluding the Oscillatoria had declined. The next slide shows the four week results of the bottom level of the control group. All of the organisms in this group seemed to enjoy a steady increase of offspring. The counts during the fourth week indicate that the Paramecium’s were having a population explosion. The next sets of graphs are from the experimental group. If you remember our experimental ecosystem had 3 drops of oil introduced each week after the first week. As you can see the Oscillatoria and Chilomonas seem to have had a strong growth in population, but by week three everything seemed to be dead or greatly reduced. The last graph shows the bottom count for the experimental ecosystem. As you can see, there was dramatic growth in the second week by the Chilomonas as well as the Oscillatoria. This may be due in fact to an incident of contamination that we will discuss later. By the third week, everything seems to have returned to normal except for the rapid growth of the Stentor group. Discussion: Now that the experiment is over I would like to discuss some of the findings our group came up with. By looking at the graph for the experimental upper level versus the control upper level, one can clearly see that the oil had a negative effect on all of the living organisms in this region. Likewise, the experimental bottom level compared to the control bottom level shows a somewhat lesser amount of organisms. This could be caused by two factors, either the oil was penetrating to the lower level or the organisms were running out of food to consume due to the pollution of the oil on the surface of the ecosystem. Either way, it is clear that oil in the pond ecosystem has an overall effect of pollution causing death. One factor that may explain the substantial rise of organisms in our experimental ecosystem during the second week, was the inadvertent addition of Tetra Fauna Reptoman fish food on October 12, 2007 by a participant in another study. The contents of the fish food are as follows: 42.5% crude protein, 8.5% crude fat, 2% fiber, 8% moisture, 1.8% phosphorus, 25mg calcium and 100mg ascorbic acid. One can tell by comparing the charts from the control and experimental groups that the fish food had a rather dramatic effect on some of the organisms causing a population burst of sorts. In the end, the growth spurt was short lived and the oil had an even more profound effect on the experimental ecosystem. After some debate by my colleagues and me we came to the conclusion that our experimental design should have included the mixing of the oil with the water in the experimental ecosystem. We feel that this would be more representative of what would happen in the natural world. I believe this experiment, even with the introduction of the fish food, was a success. The data clearly shows that the introduction of the motor oil had a detrimental effect on the microorganisms that lived in our experimental group, more so on the upper level than the lower level. I would have to conclude that our original hypothesis was correct. : Alaska Department of natural Resources, division of mining, land and water. (2007). Retrieved on 10/05/2007, from http://dnr.state.ak.us. Greenpeace, The Exxon Valdez oil spill fifteen years later. (2004) Retrieved on 10/22/2007, from greenpeace.org. Mini-Ponds. To investigate diversity in a pond water ecosystem. (2004). Retrieved on 10/15/2007, from science-class.net. University of Anchorage Alaska, (2007). Introductory Biology lab book, wet mount micro-slide. Pg. PE4. Wikipedia. (2004) Aquatic Organisms. Retrieved on 11/25/2007, from http://en.wikipedia.org/wiki/Aquatic_ecosystem. Research Papers on Pond Ecosystem ReportGenetic EngineeringBionic Assembly System: A New Concept of SelfThe Spring and AutumnDefinition of Export QuotasResearch Process Part OnePETSTEL analysis of IndiaIncorporating Risk and Uncertainty Factor in CapitalEffects of Television Violence on ChildrenMarketing of Lifeboy Soap A Unilever ProductInfluences of Socio-Economic Status of Married Males

Monday, October 21, 2019

citizenship in the world merit badge prerequisites 1-4 essays

citizenship in the world merit badge prerequisites 1-4 essays Citizenship in the World Merit Badge 1. (a) Citizenship is, as defined my Merriam Webster is the quality of an individual's response to membership in a community. A person can become a citizen of the United States by more than one way. A citizen of the United States is a native-born, foreign-born, or naturalized person who owes allegiance to the United States and who is entitled to its protection. In addition to the naturalization process, the United States recognizes the U.S. citizenship of individuals according to two fundamental principles: right of birthplace, or right of blood. If a person is born in the United States, then that person becomes a citizen by right of birthplace, unless they are the child of a head of another state or a foreign diplomat. If a person is born outside of the United States, and that persons parent/parents are citizens of the United States, then the child will become a citizen of the U.S. by right of blood. The US Congress decides how citizenship is passed on by a U.S. citizen parent or parents according to right of blood. Another way to become a U.S. citizen is by the naturalization process. To become a citizen if a person is from another country they must fulfill the requirements established by Congress in the Immigration and Nationality Act (INA). The general requirements for administrative naturalization include: a period of continuous residence and physical presence in the United States; residence in a particular INS District prior to filing; an ability to read, write and speak English; a knowledge and understanding of U.S. history and government; attachment to the principles of the U.S. Constitution; and, favorable disposition toward the United States. One can become a citizen in other countries by either becoming a citizen by right of birthplace, right of blood or naturalization, as in the United States, although ...

Sunday, October 20, 2019

Briefly describe the laws of the UK and the ethical rules of the CFA and their effectiveness in ‘keeping the markets clean’.

Profits are cause of violated rule of investment, so the markets have many problems which lead to the market abuse. This essay is about the significant problem that is insider dealing, lead to unfair trading. This problem spreads to the worldwide. Moreover, this essay focus in why insider dealing is wrong, history of insider dealing, CFA standard, process and development for solving the insider dealing in UK, mosaic theory and defense of legitimate research. To begin with definition of insider dealing, following from FSA Handbook 2006, is behaviors of someone who attempts to trade in related investment base on inside information or nonpublic information. The reasons of why insider dealing is wrong, firstly, insider dealing can prejudice the efficiency of the markets, for example it reduces liquidity of the markets and Raise cost of capital. The stock prices should reflect from all available information and hence provide trustworthy signals on based of investment decisions, if a stock market is efficiency. Moreover, the insider dealing endangers the fair market development and organized markets, so it demoralize confidence of investors. It can menace to damage confidence by decline investors’ beliefs for the fairing market, affect them to take out their money from investment. Furthermore, the insider dealing is immoral because unfair dealing base on unequal in information access. Lastly, it is conflict to business ethics, for example, it destroys companies and their shareholders and recently, many cases in US have significantly broken the fiduciary duty by employees using inside information which belongs to a company. Move to the historical of insider dealing, at the end of World War II, stocks buying and selling in a firm base on information only known in the firm or its directors. This behavior is widespread and legitimate. It was considered wrong for individual benefits for the expense of the main shareholders in a firm between the end of World War II and late decade1950. Although, between the decade 1960 and early decade 1979, the exercise became widespread and often using knowledge for take over. In 1973, the Sunday Times was describing the insider dealing as the â€Å"crime of being something in the City†. A joint statement for criminal sanctions was released by the Takeover Panel and the Stock Exchange in 1973. After that, a number of legislation was passed through Parliament, but it was aborted. The sections 69-73, Part V of the Companies Act 1980 was released for force insider dealing as a criminal offence on 23 June 1980.So the historical of insider dealing shown the insider deali ng was concerned long time ago but it quit difficult and take a long time to release the regulations or laws for force and punishment, because the insider dealing is difficult to define. This behavior should concern by ethic of investor (Cole, 2007). The most important institute of investment which is Chartered Financial Analyst Institute (CFA) also concern about the insider dealing. CFA was issuing Standards of Professional Conduct. The insider dealing was mention in term of material nonpublic information in Standard II (Integrity of Capital Market). In the standard II A. said â€Å"Members and candidate who possess material nonpublic information that could affect the value of an investment must not act or cause others to act on the information†. CFA present reason of acting on nonpublic information wrong because capital markets, institutions and investment professionals was eroded confident because the idea from special access and inside information able to get unfair advantage from investors or organizations who use public information for investment. In UK, the financial regulatory system is self regulation. The self-regulatory arrangements have not been adequate. It was pressured from global factors more than domestic factors. The global factors are significantly changing company law and financial regulations (Gilligan, 1999). The problem of punishable lead to poor market, because the regulations was issued by only authorized persons and key employees in some cases. Hence, the Finance Services and Market Act 2000 (FSMA) presented the chance to create a single regulator, renovate and consolidate the law of UK financial services and right of enhanced regulatory powers for the regulator. So, FSMA provide the FSA to make rule with wide range. Moreover, the FSA also has ability for investigatory and enforcement powers, including the capability to act for avoid market abuse and accuse offenders who are dealing with insider materials. In July 2005, the Market Abuse Directive (MAD) came into largely force. The MAD provisions and the market abuse regime were similar. Nearly five years ago, the Market Conduct in Code of FSA was published in original. In detail, the standards should be examined by everyone who involves in the significant part of UK’s financial markets such as someone who are trading in The UK, including from overseas. The standards are clear in particular, so it is expected to see through descriptions for defining and definition for example, what is and what is not market abuse. The Code gives obviousness for users who involve in financial markets. Furthermore, it brings everyone know about between trading on UK markets, what standards able to be expected. The FSA is not a regulator for enforcement. Otherwise, its purposes to retain clean the markets and discourage abuse through combine enforcement action and prevent measurements. Therefore, improvement of the FSA’s securities transactions checking system lead to heavy investment. The FSA will improve their ability to detect track market abuse (Cole, 2007). The major difficult for enforcing insider dealing regulation in UK are detection, jurisdiction, difficulty of proof, limited enforcement resources such as high cost of prosecution, and ambivalence about censure and general issues of legitimacy. Sometime, insider dealing can be comparatively easy to identify in financial market in some cases. Especially, if there are radical an abnormal fluctuations in the stock value, which are pursued shortly later by publication of take-over or similar scheme. On the other hand, the identification for defining someone who use inside information, is the most difficult for practical enforcement. These problems are aggravated in the market which functions due to increasingly unidentified, global and complicated markets and so precise measurement of the situation of insider dealing is almost impossible. The distorted nature of information from inside and widespread use of useful possession of securities compound these finding problems. The finding pro blems in UK are perhaps greater than in other countries as a result of the greater amount of secondary trading that mirrors UK market. In all possibility there is a potentially massive dirty amount of insider dealing since new technologies and global markets enlarge the insider dealing abuse scope (Gilligan, 1999). The CFA institute promotes the method for solving of using non-public materials in legitimate way, which is mosaic theory. Definition of the mosaic theory, which was mention in the standard II A., is an analyst method to assemble and interpret information about a corporation from many sources. Mosaic theory may was regarded for analytical significant conclusions from public material and non-public material information. For example, a firm so as to determine the underlying firm’s securities value and provides recommendations to customers or investors on the basis of that information. In CFA magazine March-April 2011, Kurt Schacht, CFA, who is managing director of Standards and Financial Market Integrity Division of CFA Institute, was mention about Defense of Legitimate Research, which is about research method, using expert networks and respected in mosaic theory were attacked by insider dealing. In US, federal agents have started charging players in financial market, who are firm insiders, investment fund managers and executive directors, for research firms, which were called â€Å"expert networks†. The expert networks available investors to enter in inside information in exchange for a charge. Some case of research firms were charged for obtain benefit and other non-public materials straight from publicly traded firm employees. Allegation of the cases was approached by federal government, the firm employees, who create the specialists network, were more ways for sample of insider information. From all indications, the wave of insider dealing cases is the starting of more expanding round of insider dealing probes. Media reporting has watched to overstate the circumstance to the detection of casting doubt on the model of expert network and anyone who exercise the service. Furthermore, many still have question, if the U.S. Securities and Exchange Commission (SEC) or other regulators define insider trading again, possibly to comprise a number of legitimate and research methods employed by firm analysts. The allegation has argued that someone who was basically employing standard primary research methods and approaching the mosaic theory in at least one of the cases. The effect has been analysis of this well-established exercise. The reporting has confused the businesses, prompting many lawful analysts and investors to query the exercise of research networks and other completely exercises for horror of reaching caught up in the detection. Regarded from CFA’s analysis, some cases did not about legitimate the mosaic approach using and occur to be clear insider dealing examples. CFA has supported the techniques of thorough, hard working, and honest research. The most great analysts can show their distinction in many ways, including the talent to transcend the significant point and search for disappear fact and situation the boost the investment. Ethical analysts have adequate opportunities to discriminate themselves exclude intentionally getting nonpublic information from someone who should not share this information. For analysts, hedge fund managers and network experts who violate the rule, will attempt to defend their behavior. They might try to justify their violation of using inside materials by regarding the mosaic theory, however illegitimate effort should not reduce appropriateness of the mosaic theory when practical correctly. Significantly, as an institute committed to supporting the greatest ethical con duct standards, CFA strongly sustain the attempts of federal investors and SEC to control insider dealing. Since the investigation continues to improve, CFA will be closely detecting any activities attack on legitimate research. Moreover, CFA have extended to SEC for further explanation and guarantee that the process of legitimate research is not threaten. Furthermore, CFA has developed a task force, including other business experts and CFA charter holders to evaluate any activities resulting from regulatory probe. Overall, the insider dealing seem to the serious problem which was concerned and attempt to solve long time ago, but this problem still appear now, because the problem is difficult to detect the behavior. Both in UK and CFA have considered the problem and try to develop their regulations and standards, including forcing someone who is violate the regulations and standards. The major factors of difficulty enforcement are detection, jurisdiction, difficulty of proof, limited enforcement resources and ambivalence about censure and general issues of legitimacy. The method for solving of using non-public materials in legitimate way, which is mosaic theory, was promoted by CFA Institute. This theory also has threat from someone, who use insider information, try to justify their behavior. However, Illegitimate effort should not reduce appropriateness of the mosaic theory when practical correctly. In addition, CFA has developed a task force, including other business. Bibliography CFA Institute. (2010) Material Nonpublic Information. In: Standard II Integrity of Capital Markets. Ethical and Professional Standards and Quantitative Methods, Person, pp.36-45 Cole, M. (2007) Insider Dealing in the City. Available: http://www.fsa.gov.uk/pages/Library/Communication/Speeches/2007/0317_mc.shtml [Accessed 9 April 2011] Ferguson, R. B. and Page, A. C. (1992) Enforcement. Investor Protection London, Weidenfeld and Nicolson, pp. 106-120 FSA (2011) Market Abuse. In: The Code of Market Conduct. FSA Hand Book. Available: http://www.fsa.gov.uk/pubs/hb-releases/rel111/rel111mar.pdf [Accessed 5 April 2011] Gilligan, G. P. (1999) The Enforcement of UK Insider Dealing Regulation. In: Regulating Insider Dealing. Regulating the Financial Services Sector, pp.183-191 Gilligan, G. P. (1999) The Need for Continuing Review of Financial Services Regulation. In: White Collar Crime and Financial Services Regulation. Regulating the Financial Services Sector, pp.21-36 Schacht, K. (2011) In Defense of Legitimate Research. CFA Magazine, March-April, pp.21 Briefly describe the laws of the UK and the ethical rules of the CFA and their effectiveness in ‘keeping the markets clean’. Profits are cause of violated rule of investment, so the markets have many problems which lead to the market abuse. This essay is about the significant problem that is insider dealing, lead to unfair trading. This problem spreads to the worldwide. Moreover, this essay focus in why insider dealing is wrong, history of insider dealing, CFA standard, process and development for solving the insider dealing in UK, mosaic theory and defense of legitimate research. To begin with definition of insider dealing, following from FSA Handbook 2006, is behaviors of someone who attempts to trade in related investment base on inside information or nonpublic information. The reasons of why insider dealing is wrong, firstly, insider dealing can prejudice the efficiency of the markets, for example it reduces liquidity of the markets and Raise cost of capital. The stock prices should reflect from all available information and hence provide trustworthy signals on based of investment decisions, if a stock market is efficiency. Moreover, the insider dealing endangers the fair market development and organized markets, so it demoralize confidence of investors. It can menace to damage confidence by decline investors’ beliefs for the fairing market, affect them to take out their money from investment. Furthermore, the insider dealing is immoral because unfair dealing base on unequal in information access. Lastly, it is conflict to business ethics, for example, it destroys companies and their shareholders and recently, many cases in US have significantly broken the fiduciary duty by employees using inside information which belongs to a company. Move to the historical of insider dealing, at the end of World War II, stocks buying and selling in a firm base on information only known in the firm or its directors. This behavior is widespread and legitimate. It was considered wrong for individual benefits for the expense of the main shareholders in a firm between the end of World War II and late decade1950. Although, between the decade 1960 and early decade 1979, the exercise became widespread and often using knowledge for take over. In 1973, the Sunday Times was describing the insider dealing as the â€Å"crime of being something in the City†. A joint statement for criminal sanctions was released by the Takeover Panel and the Stock Exchange in 1973. After that, a number of legislation was passed through Parliament, but it was aborted. The sections 69-73, Part V of the Companies Act 1980 was released for force insider dealing as a criminal offence on 23 June 1980.So the historical of insider dealing shown the insider deali ng was concerned long time ago but it quit difficult and take a long time to release the regulations or laws for force and punishment, because the insider dealing is difficult to define. This behavior should concern by ethic of investor (Cole, 2007). The most important institute of investment which is Chartered Financial Analyst Institute (CFA) also concern about the insider dealing. CFA was issuing Standards of Professional Conduct. The insider dealing was mention in term of material nonpublic information in Standard II (Integrity of Capital Market). In the standard II A. said â€Å"Members and candidate who possess material nonpublic information that could affect the value of an investment must not act or cause others to act on the information†. CFA present reason of acting on nonpublic information wrong because capital markets, institutions and investment professionals was eroded confident because the idea from special access and inside information able to get unfair advantage from investors or organizations who use public information for investment. In UK, the financial regulatory system is self regulation. The self-regulatory arrangements have not been adequate. It was pressured from global factors more than domestic factors. The global factors are significantly changing company law and financial regulations (Gilligan, 1999). The problem of punishable lead to poor market, because the regulations was issued by only authorized persons and key employees in some cases. Hence, the Finance Services and Market Act 2000 (FSMA) presented the chance to create a single regulator, renovate and consolidate the law of UK financial services and right of enhanced regulatory powers for the regulator. So, FSMA provide the FSA to make rule with wide range. Moreover, the FSA also has ability for investigatory and enforcement powers, including the capability to act for avoid market abuse and accuse offenders who are dealing with insider materials. In July 2005, the Market Abuse Directive (MAD) came into largely force. The MAD provisions and the market abuse regime were similar. Nearly five years ago, the Market Conduct in Code of FSA was published in original. In detail, the standards should be examined by everyone who involves in the significant part of UK’s financial markets such as someone who are trading in The UK, including from overseas. The standards are clear in particular, so it is expected to see through descriptions for defining and definition for example, what is and what is not market abuse. The Code gives obviousness for users who involve in financial markets. Furthermore, it brings everyone know about between trading on UK markets, what standards able to be expected. The FSA is not a regulator for enforcement. Otherwise, its purposes to retain clean the markets and discourage abuse through combine enforcement action and prevent measurements. Therefore, improvement of the FSA’s securities transactions checking system lead to heavy investment. The FSA will improve their ability to detect track market abuse (Cole, 2007). The major difficult for enforcing insider dealing regulation in UK are detection, jurisdiction, difficulty of proof, limited enforcement resources such as high cost of prosecution, and ambivalence about censure and general issues of legitimacy. Sometime, insider dealing can be comparatively easy to identify in financial market in some cases. Especially, if there are radical an abnormal fluctuations in the stock value, which are pursued shortly later by publication of take-over or similar scheme. On the other hand, the identification for defining someone who use inside information, is the most difficult for practical enforcement. These problems are aggravated in the market which functions due to increasingly unidentified, global and complicated markets and so precise measurement of the situation of insider dealing is almost impossible. The distorted nature of information from inside and widespread use of useful possession of securities compound these finding problems. The finding pro blems in UK are perhaps greater than in other countries as a result of the greater amount of secondary trading that mirrors UK market. In all possibility there is a potentially massive dirty amount of insider dealing since new technologies and global markets enlarge the insider dealing abuse scope (Gilligan, 1999). The CFA institute promotes the method for solving of using non-public materials in legitimate way, which is mosaic theory. Definition of the mosaic theory, which was mention in the standard II A., is an analyst method to assemble and interpret information about a corporation from many sources. Mosaic theory may was regarded for analytical significant conclusions from public material and non-public material information. For example, a firm so as to determine the underlying firm’s securities value and provides recommendations to customers or investors on the basis of that information. In CFA magazine March-April 2011, Kurt Schacht, CFA, who is managing director of Standards and Financial Market Integrity Division of CFA Institute, was mention about Defense of Legitimate Research, which is about research method, using expert networks and respected in mosaic theory were attacked by insider dealing. In US, federal agents have started charging players in financial market, who are firm insiders, investment fund managers and executive directors, for research firms, which were called â€Å"expert networks†. The expert networks available investors to enter in inside information in exchange for a charge. Some case of research firms were charged for obtain benefit and other non-public materials straight from publicly traded firm employees. Allegation of the cases was approached by federal government, the firm employees, who create the specialists network, were more ways for sample of insider information. From all indications, the wave of insider dealing cases is the starting of more expanding round of insider dealing probes. Media reporting has watched to overstate the circumstance to the detection of casting doubt on the model of expert network and anyone who exercise the service. Furthermore, many still have question, if the U.S. Securities and Exchange Commission (SEC) or other regulators define insider trading again, possibly to comprise a number of legitimate and research methods employed by firm analysts. The allegation has argued that someone who was basically employing standard primary research methods and approaching the mosaic theory in at least one of the cases. The effect has been analysis of this well-established exercise. The reporting has confused the businesses, prompting many lawful analysts and investors to query the exercise of research networks and other completely exercises for horror of reaching caught up in the detection. Regarded from CFA’s analysis, some cases did not about legitimate the mosaic approach using and occur to be clear insider dealing examples. CFA has supported the techniques of thorough, hard working, and honest research. The most great analysts can show their distinction in many ways, including the talent to transcend the significant point and search for disappear fact and situation the boost the investment. Ethical analysts have adequate opportunities to discriminate themselves exclude intentionally getting nonpublic information from someone who should not share this information. For analysts, hedge fund managers and network experts who violate the rule, will attempt to defend their behavior. They might try to justify their violation of using inside materials by regarding the mosaic theory, however illegitimate effort should not reduce appropriateness of the mosaic theory when practical correctly. Significantly, as an institute committed to supporting the greatest ethical con duct standards, CFA strongly sustain the attempts of federal investors and SEC to control insider dealing. Since the investigation continues to improve, CFA will be closely detecting any activities attack on legitimate research. Moreover, CFA have extended to SEC for further explanation and guarantee that the process of legitimate research is not threaten. Furthermore, CFA has developed a task force, including other business experts and CFA charter holders to evaluate any activities resulting from regulatory probe. Overall, the insider dealing seem to the serious problem which was concerned and attempt to solve long time ago, but this problem still appear now, because the problem is difficult to detect the behavior. Both in UK and CFA have considered the problem and try to develop their regulations and standards, including forcing someone who is violate the regulations and standards. The major factors of difficulty enforcement are detection, jurisdiction, difficulty of proof, limited enforcement resources and ambivalence about censure and general issues of legitimacy. The method for solving of using non-public materials in legitimate way, which is mosaic theory, was promoted by CFA Institute. This theory also has threat from someone, who use insider information, try to justify their behavior. However, Illegitimate effort should not reduce appropriateness of the mosaic theory when practical correctly. In addition, CFA has developed a task force, including other business. Bibliography CFA Institute. (2010) Material Nonpublic Information. In: Standard II Integrity of Capital Markets. Ethical and Professional Standards and Quantitative Methods, Person, pp.36-45 Cole, M. (2007) Insider Dealing in the City. Available: http://www.fsa.gov.uk/pages/Library/Communication/Speeches/2007/0317_mc.shtml [Accessed 9 April 2011] Ferguson, R. B. and Page, A. C. (1992) Enforcement. Investor Protection London, Weidenfeld and Nicolson, pp. 106-120 FSA (2011) Market Abuse. In: The Code of Market Conduct. FSA Hand Book. Available: http://www.fsa.gov.uk/pubs/hb-releases/rel111/rel111mar.pdf [Accessed 5 April 2011] Gilligan, G. P. (1999) The Enforcement of UK Insider Dealing Regulation. In: Regulating Insider Dealing. Regulating the Financial Services Sector, pp.183-191 Gilligan, G. P. (1999) The Need for Continuing Review of Financial Services Regulation. In: White Collar Crime and Financial Services Regulation. Regulating the Financial Services Sector, pp.21-36 Schacht, K. (2011) In Defense of Legitimate Research. CFA Magazine, March-April, pp.21

Friday, October 18, 2019

Coca-Cola and the Evolution of Advertising Research Paper

Coca-Cola and the Evolution of Advertising - Research Paper Example Christened Coca-Cola by Pemberton’s accountant, the bookkeeper spelled out the product’s name in his distinctive script, which remains an integral part of the brand to this day. (heritage.coca-cola.com)Christened Coca-Cola by Pemberton’s accountant, the bookkeeper spelled out the product’s name in his distinctive script, which remains an integral part of the brand to this day. (heritage.coca-cola.com) Bought by local tycoon Asa Candler in 1886, the formula was bottled and marketed across the nation.   Early ads featured ladies and children to an inordinate degree.   The subjects were bright-eyed and cherub-cheeked, conservative images even for the time.   The first â€Å"celebrity spokesperson† was a Boston actress named Hilda Clark.   This is an early example of the use of famous persons as company spokespeople (http://www.dirjournal.com). Aside from their visual components, each ad also touted the merits of the drink.   The word that app eared over and over was â€Å"refreshed.†   The website    http://www.dirjournal.comhas a display of Coke images over the years that show this.   An ad from the 1890s features both a grown man and a young boy sipping the soft drink at a lunch counter.   Beneath this are the words â€Å"It satisfies the thirsty and helps the weary.†    A second one from the same era shows gaily dressed women at a restaurant table.   On a sign behind them, the message â€Å"Coca-Cola revives and sustains† is presented.   Developing this theme, later advertisements urged drinkers to â€Å"shop refreshed,† â€Å"lunch refreshed,† and â€Å"drive refreshed.† Appeals to the drink’s invigorating power are likely references to its high caffeine content.   This is known in marketing circles as â€Å"transformational appeal.† (Advertising appeal)   The underlying message is that using the promoted product will effect positive change in the consumer.   This same strategy used today in commercials for makeup, skin care products, and home exercise equipment.   In the late 1800s, the pitch of choice for Coca-Cola is that it would transform weary, worn out people into ones bursting with vigor and pep.

Analysing the industrial relations pressure in an industry or Research Paper

Analysing the industrial relations pressure in an industry or organisation in Australia - Research Paper Example The paper tells that the latter half of the twentieth century saw a progression of elite sports in Australia from the amateur and weekend pursuits towards the full time multi-million dollar enterprises. Along with the increasing professionalism in this industry the labour and industrial relations too has begun to resemble the traditional industries in various sectors. The sector has faced constant pressure to provide high wages to these elite players as they have taken up a more serious attitude towards negotiating and bargaining industrial relations issues. Sports are regarded as a lucrative business in which the players’ lifestyles can be determinant of the financial contracts that they can negotiate. Development of the enterprise bargaining (EB) in Australian sports bears relevance to bargaining in Australia. Negotiation occurring between the different parties occurs at the individual as well as the enterprise levels. However, the position of players’ associations as well as the sporting leagues in the bargaining process remains week and demands attention. The professional sporting players associations or unions have a chequered history. Out of thirty three attempts to form the players associations in the professional sports team in Australia only six remain in existence till date. Another important issue in the professional sports sector in Australia is that it is found to be very oppressive in terms of the employees’ labour rights. It is seen that players belonging to the major professional team sports remain strictly restricted by the league mandated labour regulations or industrial relations regulations.... Mobilising of members actually provides unions with the power to use their voice collectively to influence their employers and actions of institutions to benefit the cause of employees (Brooks, Callen, Singh, Felman & Thimann). The players associations particularly use such industrial actions in the same way and have successfully strengthened their positions in the industry which poses threat to this sector. Literature reveals that these associations capacity to engage in such industrial actions actually determines their success in the industry in terms of wages and salaries. These have yielded positive gains for these players in terms of their wages and other conditions of employments (Hanley & Rogers, 2004, p.4). There has been the generation of organizational conflicts in this industry. Common causes of conflicts identified are in terms of revenue sharing, refusal to compromise, welfare of players, and administrative incompetence. The failure to arrive at common objectives by the negotiating parties for the IR processes coupled with the reluctance of such parties to compromise on self interests are identified as two of the major reasons for organizational conflicts in this industry (Hanley & Rogers, 2004, p.5). Industry/ organisation The Australian sports industry has proceeded a long way since the last fifteen years. There are great entry of funds via such avenues as coaching, facility development, sports sciences, national sporting schemes, institute establishments, sport management and talent identification program. Being a relatively new industry in the market, this sector is quite unregulated and is yet to define its boundaries completely. Lack of minimum salary structures, dispute resolution procedures or

One page reflective Ecercise and 10 pages for case study questions Essay

One page reflective Ecercise and 10 pages for case study questions - Essay Example Adult years Had become a professional Mining Engineer. Had travelled and worked in Portugal, Greece, Finland, Morocco, Algeria and Mozambique. Had been fluent in 11 different languages. Had been a successful single parent of 2 Children, acting practically both as father and mother. 1988 Had migrated to WA with his kids filled with high hopes for a better life for his children. Had been out of worked and was forced to receive handouts of second hand clothes and food. Had suffered racism at work, while his kids were isolated in the school. His dream turned into a curse. Had felt miserably a failure. Had felt trapped. Had felt completely isolated and disillusioned. Had felt despair, unwelcome and betrayed. 1- Formulation Form Client: Julio Nunes Nesto UMRN: ....................................... Date: ........ / ........ / ........ Predisposing Factors: Possible Sources of Biological Vulnerability Neurological development or other neurological problem: Had polio at the age of two, had become partially paralysed and unable to speak and walk Maternal viral infection during pregnancy: N/A Family history: N/A Birth trauma: Born stigmatized to be an inferior race equivalent to a slave. Possible Sources of Physiological Vulnerability Physical abuse experienced or threatened: Grew up in an environment of oppression and inequality Witnessed family violence: N/A Emotional/psychological abuse: Work discrimination; unwelcomed; frightened; betrayed; disillusioned Sexual abuse: N/A Physical or emotional neglect: Single parent of two; without wife to care for him; without relatives to run to Other trauma: Culture shock in WA; living alone in a foreign cruel society Bullying in school/community: Isolation of children in the school; lack of social support in the community possible Sources of Social Vulnerability: Poverty/deprivation: Uncertain life in a foreign highly discriminating land Alcohol and other drug use (self/others prior teens): N/A Migration (international or intra- national): Migrated to Western Australia Cultural conflict/ alienation/stigma/ lack of supports: Experiences worse condition in WA Racism: Suffered racism in the workforce, in social settings and his 2 children suffered racism at school. Other forms of discrimination: No assistance to single father parent making it almost impossible for him to find work; his children are isolated because of their skin color. Precipitating Factors: (what stressors were happening prior to becoming unwell) Oppression and discrimination in his own land Stigmatized by his Portuguese name Single parent of two growing kids Perpetuating Factors: (what stressors are still operating or what helps keep the stress going). Racial discrimination of his family in a foreign land Joblessness and lack of opportunity for a decent living for a black single-father parent in WA Shattered dream for his two kids Humiliated and frustrated Trapped in a cruelly discriminating society Current Problem List as Identified by Clie nt: 1. Depression 2. Anxiety due to joblessness 3. Prejudice due to racial experienced discrimination 4. Frustration and anger because of failed high expectation Thoughts: This society is so cruel; it could treat children too unfairly. Racism is a large factor in mental health deterioration. I am trapped; we can no longer go back to Mozambique. Feelings: He felt completely isolated, unwelcome and betrayed. He felt despair, angry, helpless, depressed and disillusioned. He felt humiliated and a miserable failure. Behaviour:

Thursday, October 17, 2019

Study Skills Essay Example | Topics and Well Written Essays - 1000 words

Study Skills - Essay Example With such an attitude, you can never achieve anything since you will feel that you are studying just to please someone else. Freeman (2002, p.44) suggests that the first thing you should instill within yourself is a positive attitude towards studying by setting your study goals, and developing appropriate means on how to achieve them. When I joined this institution as a first year student, I can confess that I too had a negative attitude towards studies because, I hated the act of going to class, listening to a lecturer, and then exams (Jones, 2003, p.102). I thought that if we only came to school to spend our time with friends and sharing our life experiences, then all could have been well. Unfortunately, the thought of exams and assessment tests really upset me. I already had developed a negative attitude as I attended lectures to wait for the lecturer to do his part, without even caring about what I had gained from the lecture. I rarely carried out my own research unless when orde red by a lecturer to do so. Moreover, I only studied for exams through cramming after which everything was gone and forgotten (Armstrong & Lampe, 2000, p. 64). Little did I know that school was preparing us for the challenging life out there, and it is meant for our own good. The education and training I have been exposed to in this institution has really changed my attitude as well as my perception towards studying. First, here you are introduced to an environment of freedom where you are expected to be responsible for your own actions (Freeman, 2002, p.44). At first, I felt that it was the best feeling ever since I was now of age and my parents/teachers had no full control over my life. I thought that life had presented to me a perfect opportunity to do all the craziest stuff I have been longing for in my life. Fortunately, with the endless words of advice from my lecturers and parents, I have learnt that society expects us to be morally and socially responsible individuals. I hav e been taught how to communicate, interact and live with other people effectively without any form of conflict among us. Furthermore, I have widened my knowledge and skills through the technical skills I have gained, to ensure that I will cope well with working in the real field out there (Jones, 2003, p.142). Whichever way you may look at it, it all streams to one thing; when my effort is demanded rather than required, I will struggle through to see that I have provided it no matter how I feel (Armstrong & Lampe, 2000, p. 88). This can looked at as an effort of trying to get things done, and it might not be the best way of doing things. I have learnt that the key thing into getting things done without much effort and struggle is motivation. Through motivation, everything you engage in will be enjoyable as you are likely to gain some satisfaction upon accomplishing it. However, before you get motivated you have to find your purpose in life. As a student my ambition is to be a great person in the future who the young generation will strive to emulate. Freeman (2002, p.67) asserts that this calls for a proper setting of priorities right from this moment. I have to know that I study to acquire more knowledge and skills so as to know how to face challenging situations that come my way, but not just for exams. I can clearly admit that personal

Recruitment Process Essay Example | Topics and Well Written Essays - 500 words - 1

Recruitment Process - Essay Example The USA Staffing recruiting system has been designed by the federal government to cater for the special and unique requirements as determined by the federal recruitment and staffing. The application process is done online and the applicants can use USAJOBS and the DEA Career Gateway by USA Staffing recruiting system (DEA, 2015). The advantage of the application process is that it is convinient and the applicants can contact the application manager in the event that they have encountered some problems. On the other hand, the applicationprocess to Join Los Angeles Police force begins by downloading an application form which needs to be completed by the applicant. This process is comprised of seven steps. According to Los angeles Police Force website, the first step in the application process involves Preliminary Background Application (PBA) and Job Preview Questionnaire (JPQ) which is completed online. This aims to help the applicant identify issues that help them better understand the force and check if they have the potential to qualify. The second step is The Personal Qualifications Essay (PQE) which is comprised of essay questions related to judgment and decision making and behavioral flexibility and the applicant’s communication skills are also evaluated. The third step involves background investigation and poligraphy examination. This is meant to obtain the applicant’s background information and family members may also be interviewed to obtain this information. The fourth step involves Physical Abilities Test to measure strength as well as capability in terms of performance. The fifth stage involves interviews where the panelists seek to assess your personal accomplishments, motivation communication skills as well as interpersonal skills to see if you are capable of doing the job. The sixth step involves medical and

Wednesday, October 16, 2019

Consumerism in Contemporary America Essay Example | Topics and Well Written Essays - 1000 words - 2

Consumerism in Contemporary America - Essay Example The paper entails a personal perspective in regards to the lessons learned from â€Å"The Year Without Toilet Paper† and â€Å"Thoreau’s Worst Nightmare† articles. The â€Å"Year Without Toilet† Paper falls within the article of â€Å"No Impact Man†, which is about Beavan, a man desiring to conserve the environment by neglecting commodities produced through modern technology. Beavan decides to live on earth and ensures there is a use of affirmative commodities for the safety of nature. The â€Å"Thoreau’s Worst Nightmare† describes how different the early life of Walden is compared to the life of his children. Consumerism refers to a situation where states desire to safeguard the interest of consumers pertaining to the products they (consumers) access, commodity pricing, and content of adverts. Consumerism in America entails an interest in improving consumption of manufactured products. Cornyn states that changes in American’s economic status led to a concern in the economic sector. Poor quality production in the manufacturing industries contributes to changes in customer preferences and hence decreases in the product demand. Services offered to customers determine the desire to go for other products of lesser costs to satisfy individual’s taste. Low incomes in the market industry disabling the processing departments result from a decrease in the selling of products. The belief that security required during business transactions is by government officers, company accountants, and organization inspectors seized to be truly certain grounds. The reason for the belief being false is because of increase in knowledge of people owning business entities. People with diversity in professional knowledge operate in different departments to guarantee growth of organizations under less expense.

Recruitment Process Essay Example | Topics and Well Written Essays - 500 words - 1

Recruitment Process - Essay Example The USA Staffing recruiting system has been designed by the federal government to cater for the special and unique requirements as determined by the federal recruitment and staffing. The application process is done online and the applicants can use USAJOBS and the DEA Career Gateway by USA Staffing recruiting system (DEA, 2015). The advantage of the application process is that it is convinient and the applicants can contact the application manager in the event that they have encountered some problems. On the other hand, the applicationprocess to Join Los Angeles Police force begins by downloading an application form which needs to be completed by the applicant. This process is comprised of seven steps. According to Los angeles Police Force website, the first step in the application process involves Preliminary Background Application (PBA) and Job Preview Questionnaire (JPQ) which is completed online. This aims to help the applicant identify issues that help them better understand the force and check if they have the potential to qualify. The second step is The Personal Qualifications Essay (PQE) which is comprised of essay questions related to judgment and decision making and behavioral flexibility and the applicant’s communication skills are also evaluated. The third step involves background investigation and poligraphy examination. This is meant to obtain the applicant’s background information and family members may also be interviewed to obtain this information. The fourth step involves Physical Abilities Test to measure strength as well as capability in terms of performance. The fifth stage involves interviews where the panelists seek to assess your personal accomplishments, motivation communication skills as well as interpersonal skills to see if you are capable of doing the job. The sixth step involves medical and

Tuesday, October 15, 2019

Utilitarianism and Happiness Essay Example for Free

Utilitarianism and Happiness Essay This theory advocates that the actions worth is determined by maximizing utility (pleasure or happiness). it looks at the consequence of an action as to whether the outcome is good to the majority of people affected by it. According to Bentham, utilitarianism is the greatest happiness or greatest felicity principle. There are many types of this theory which include act vs. rule, two level, motive, negative and average vs. total. (Clifford G. , John C.2009). In act utilitarianism, when people have to make choices, they should consider the consequences of each choice and then choose that which will generate much pleasure. The rule utilitarianism looks at the rules of actions which are potential and looks at what would happen if a certain rule is followed and decides on following it if the outcomes are pleasurable. In the two-level utilitarianism, one uses intuition and they maximize the happiness. Motive utilitarianism deals with how people in reality function psychologically. In negative utilitarianism, one acts such that the least evil is promoted. Total utilitarianism allows the measurement of people’s utility depending on the total utility of those members while average utilitarianism allows measurement of utility of people by the basis of average utility of those people. (David L, 1965) Utilitarianism gives a very good conception of morality. This theory aims at achieving success and happiness and those who go to war want success and this is calculable in the theory. Utility can be looked at as increasing or decreasing in the world but it is not as easy as to be measured. For example, one can not measure happiness or pleasure of somebody. In war, what is most focused on is the security of the people and the freedom from any form of pain. If happiness is taken as a rule and not an act, we can then give ourselves the basis of measuring utility as per the theory. Peace and security of the people should be measured in the process of war and determined whether the outcome of any action is indeed fruitful. If these two lacks, there will be lack of respect for human right and the economic status will decrease. Utility measurement should not be restricted to a nation or a group but to all mankind. It this theory all actions are assessed depending on the outcome they give at the end. A utilitarian acts in such a way that everything he does is towards achieving an outcome which is good for it to be termed moral. Some wars however do not give good results and this is why a pacifist will not advocate for such. These include self-defense and those wars that are toward protecting genocides. The consequentiality prohibitions given against war are contingent for most parts. Utilitarianism view of pacifism is grounded in some rule-utilitarianism. A utilitarian pacifist argues that a rule against war or other sorts of violence will tend to promote the greatest happiness for majority of the people involved. Also this prohibition against violence can give greatest happiness and this takes into account the sentient beings happiness other than humans. From history, war produces more harm than what people view as good. There is one problem however for consequentalists as to whether war could cause more suffering that solving the problem. Utilitarian defenders then say that some of these wars increased pain and suffering. If people will go against wars then, happiness will be the ultimate result. In this theory, killing is justified if it will eventually give happiness in the end. An individual can act the way he wants but should be careful not to harm others. (William H. ,1999) Man should develop and exercise his capabilities so as to exist because man is a progressive being. Censorship and paternalism should be rejected so as to achieve knowledge and develop one in their capabilities. This theory agrees with the antiwar pacifist in that the actions of the war sometimes do not favor the outcome of happiness and pleasure as it advocate. Therefore there should be a drive against wars because instead of people solving that problem which had led them into war, they create pain in the same process. (Jeremy B. , 1979) However, if by going to war will bring pleasure to the majority involved, then wars should gear themselves towards this goal. This theory of utilitarianism is so convincing on its stand on antiwar pacifist because it argues its stand convincingly leaving those in it satisfied and feeling so moral in the sense that it presents as we have discussed. It clearly puts is stand on what it advocates for and this should not be assumed when it comes to wars. This is the ultimate goal of happiness and pleasure to the people according to Mill. (Mark P. , 1991) REFERENCES. :- Clifford G. , John C. Ethical Communication: Five Moral Stances in Human Dialogue. Columbia, MO. : University of Missouri Press, 2009. David L, Forms and Limits of Utilitarianism, 1965. Jeremy B. , An introduction to the principles of morals and legislation, 1789. Mark P. , Moral Philosophy of John Stuart Mill,Longwood Academic 1991. Wakefield, New Hampshire. ISBN 0-89341-681-9. William H. Contemporary Ethics: taking account of utilitarianism. Oxford: Blackwell Publishers Inc. , 1999.

Monday, October 14, 2019

Colonization And Neo Colonization History Essay

Colonization And Neo Colonization History Essay Colonization is the extension of political and economic control over an area by a state, whose nationals have occupied the area and usually possesses organizational or technological superiority over the native population. MOTIVES OF COLONIZATION: Colonization has occurred through out the history in Europe. Three most influential colonizers work British, Spanish, French. These three countries had three basic motives: Material gain Desire to spread religion. Desire expend territory. Using these motives they created long term effects in the culture religion and economy of areas that they colonize. EARLY COLONIZATION: As early as the 10th cent. B.C., the Phoenicians founded trading posts throughout the Mediterranean area and later exercised political dominion over these commercial colonies. The Greeks, from a desire for wealth or as a result of the expulsion of a political faction or the defeated inhabitants of a city, established colonies in Asia Minor and Italy, spreading Hellenic culture and stimulating trade. BIGGEST COLONIZATION OF HISTORY: Colonization of India Colonization of Africa Colonization of America COLONIZATION IN AFRICA: From the seventh century, Arab trade with sub-Saharan Africa led to a gradual colonization of East Africa, around Zanzibar and other bases. After that Africa remained colonized under French, British Portuguese. French established equality, interracial marriages, rights support. British didnt support equality they considered others lower didnt liked it if they adopted British culture. Portuguese allowed interracial marriages but considered blood related Portuguese as superior Finally struggle was made by Africans to gain independence get rid off colonization. COLONIZATION IN AMERICA During the sixteenth century the work of colonizing America was left almost entirely to the people of Spain. Colonies were established on the coasts of South and Central America. in 1519 Cortez began that memorable expedition which soon subjected the Aztec empire of Mexico to his sway. In a comparatively short time the whole of western South America from the lower boundary of Chili to the Caribbean coast was Spanish territory. COLONIZATION IN INDIA : When the British colonize India they modernized and make conveniences only for themselves. India suffered, destruction of education system, economies ancient monuments and lively hood of people. Living standards, sanitation, water resources and other facilities were barely provided. The East India Company established trading posts on different parts along the India coast. IMPACT OF COLONIZATION SELF IMAGE IDENTITY: New cultures religion was introduced but tradition culture was destroyed. Example : British brought English language but destroyed traditions. DECISION MAKING LEADERSHIP: Colonization weakens decision making leaders. Example: Tribal leadership system in Africa was destroyed. RIGHTS: No equality or rights were given to the natives. Example: Indians were forced to labor on constructions of road buildings but were kept from benefiting from such. WEALTH RESOURCES: Exploitation of resources occurred. Example: Tons of silver gold were transported from America to Spain. Similarly British took valuable jewels from India etc. NEO COLONIZATION: As long as imperialism exists it will, by definition, exert its domination over other countries. Today that domination is called neocolonialism.   Che Guevara,  Marxist  revolutionary, 1965 Neo Colonization is used for the exploitation rather than for development of less developed parts of world.   Kwame Nkrumah, who in 1957 became leader of newly independent  Ghana, was one of the most notable figures to use the term. HOW NEO-COLONIZATION OCCURS TODAY: The essence of neo-colonialism is that the State which is subject to neo colonization is in theory, independent and has all the outward trappings of international power. In reality its economic system and thus its political policy is directed from outside. METHODS AND FORMS OF NEO COLONIZATION: In an extreme case the troops of the imperial power may occupy the territory of the neo-colonial State and control the government of it. More often, however, neo-colonialist control is exercised through economic or monetary means. Control over government policy in the neo-colonial State may be secured by payments towards the cost of running the State and by monetary control over foreign exchange through the imposition of a banking system controlled by the imperial power. RESULT OF NEO COLONIZATION: The result of neo-colonialism is that foreign capital is used for the exploitation rather than for the development of the less developed parts of the world. Investment under neo-colonialism increases rather than decreases the gap between the rich and the poor countries of the world. STRUGGLES AGAINST NEO COLONIZATION: The struggle against neo-colonialism is not aimed at excluding the resources of the developed world from operating in less developed countries. It is aimed at preventing the financial power of the developed countries being used in such a way as to weaken the less developed. EXAMPLE: Non-alignment, as practiced by Ghana and many other countries, is based on co-operation with all States. Such a policy, therefore, involves foreign investment from capitalist countries, but it must be invested in accordance with a national plan drawn up by the government of the non-aligned State. NEO COLONIZISM A THREAT: The growth of nuclear weapons has made, the old-fashioned balance of power out dated. Historically the mutual mass destruction prevented countries from threatening each other. But now the case is different. Rich and technologically developed countries aim to have better and more dangerous nuclear power, whereas poor countries may be low at these resources and may not be able to compete with the richer developed states. The evil of neo-colonialism is that it prevents the formation of those large units which would make impossible limited war. To give one example: if Africa was united, no major power community would attempt to control it by limited war. Neo-colonialism is also the worst form of imperialism. For those who practice it, it means power without responsibility and for those who suffer from it, it means exploitation without redress. In the days of old-fashioned colonialism, the imperial power had at least to explain and justify at home the actions it was taking abroad. In the colony those who served the ruling imperial power could at least look to its protection against any violent move by their opponents. With neo-colonialism neither is the case. Neo-colonialism is based upon the principle of breaking up former large united states into a number of small non-viable States which are incapable of independent development and must rely upon the former imperial power for defense and even internal security. THE DIFFERENCE BETWEEN THE OLD IMPERIALISM [COLONIZATION] AND THE NEW GLOBALIZATION PROCESS [NEO COLONIZATION]: In old colonialism you at least knew who your enemy was, you felt the knife on the back. You knew what had to be done if you wanted a better life. In globalization you are captive and unaware. When the prisoners are unaware of their chains then its hopeless. The US is freely threatening other countries. After Iraq war, nearly 2.5 million people are out of their country, one million plus have been killed, 75% are without electricity and drinking water. In the U.S. it has touched the lives of African-Americans who have had lives caught in street violence and are fighting for their lives. Suddenly Islam comes to them and they find peace, dignity and a faith they can believe in. The underlying value of globalization is material. In this proliferation of unnecessary necessities, as Mark Twain said, result in the enrichment of the rich and the greater impoverishment of the poor, in every country. Globally, the numbers of the poor are increasing fast, the concentration of wealth is greater. That is an unlivable position. The U.S. governments need for an enemy, its search for new enemies is really a way of uniting the country, covering its real motives and appealing for patriotism that is called the last refuge of the scoundrel. Patriotism is not the real motive. The real motive is domination and exploitation, and to get away with it you have to have a rallying ground, an enemy. That is where the military comes in. The U.S. spends more on arms than all other countries combined.

Sunday, October 13, 2019

Best Time to Visit India Essay --

India is one of the few countries in the world that experiences varied weather conditions at different times of the year. The major seasons in the Indian subcontinent are summer, monsoon and winter. An important aspect of India’s climatic conditions is that the weather does not remain the same throughout the length of the nation. As such one can expect high precipitation in the southern fringes of the country when the northern regions are experiencing snowfall. Thus, the best time to visit India is determined by the places that one selects to travel and the weather of those particular places. Best Time to Visit the Famous Cities in India The following list contains information about the climatic conditions and the top tourist attractions of the famous cities in India: †¢ Delhi: Topping the list of the famous cities is Delhi, owing to a large number of tourist spots that include the Red Fort, Qutub Minar, Rashtrapati Bhawan and the Lotus Temple. However, it must be noted that this city experiences an extreme climate with very hot summers and harsh winter. Therefore the most apt time to visit Delhi would be between October and March, when the weather is moderate. †¢ Mumbai: Touted as the â€Å"City of Dreams† that boasts of an array of tourist attractions like the Nariman Point, the Gateway of India, Church Gate and the Film City, Mumbai is among the top favorites of travelers. The climatic conditions prevalent in this city are typically Indian, with hot and humid summers and cool winters. The best time to visit this city would be between October and March. †¢ Hyderabad: If you want to explore the wonders of Southern India, Hyderabad must be at the top of your list. This city that is rife of tourist destinations like the Char Minar and t... ...e and Eden Gardens, Kolkata is one of the most visited cities in India. However, Kolkata experiences tropical weather conditions due to which the best time to visit t would be between October and March. †¢ Bangalore: Bestowed with different names like Garden City and Silicon City, the city of Bangalore is regarded as the technological hub of India. Although typically, Bangalore has a very pleasant weather at all times, September to February is very appropriate for sightseeing. Lal Bagh, Tipu Sultan’s Palace and Bannerghata National Park are among the most visited sites by the tourists. Important Points to Remember Since India has varied climatic conditions, one must regard the weather of the place to be visited. Since major cities in India have hot summers and cool or chilly winters, it is suggested that travel plans are made between the months of October and March.

Saturday, October 12, 2019

John Locke’s Views on Property and Liberty, as Outlined in His Second T

John Locke’s Views on Property and Liberty, as Outlined in His Second Treatise of Government John Locke’s views on property and liberty, as outlined in his Second Treatise of Government (1690), have had varying interpretations and treatments by subsequent generations of authors. At one extreme, Locke has been claimed as one of the early originators of Western liberalism, who had sought to lay the foundations for civil government, based on universal consent and the natural rights of individuals. [1] Others have charged that what Locke had really done, whether intentionally or unintentionally, was to provide a justification for the entrenched inequality and privileges of the bourgeoisie, in the emerging capitalist society of seventeenth century England. The crux of these arguments either way have centered on Chapter 5 in the Second Treatise, entitled ‘Of Property’. John Locke’s ‘Of Property’: Locke was dissatisfied with explanations given by such authors as Robert Filmer, which had sought to rationalize the absolutism of monarchs by establishing that God had given all property to Adam and his heirs (based on the claims of Monarchs that they were indeed his descendents). Rather, his aim at the beginning of Chapter 5 is â€Å"to show how men might come to have a property in several parts of that which God gave to mankind in common, and that without any express compact of all the commoners.† [2] Locke’s first assumption is that although God gave â€Å"the world to men in common,† all men have a ‘right’, in the first instance, â€Å"to their preservation, and consequently to meat and drink and such other things as nature affords for their subsistence.† [3] Each individual has also been given â€Å"reason to make use of it to the best advan... ...London, Allen & Unwin, 1976. Bibliography: Gough, J.W. John Locke’s Political Philosophy: Eight Studies, London, Oxford University Press, 1950, Ch. 4. Hundert, E.J. ‘Market Society and Meaning in Locke’s Political Philosophy’ in Journal of the History of Philosophy, XV (1977) Locke, John (edited by Peardon, Thomas, P.) The Second Treatise of Government, New York, Bobbs-Merrill, 1952 [1690], Ch. 5. Macpherson, C.B. The Political Theory of Possessive Individualism: Hobbes to Locke, London, Oxford University Press, 1962, Part 5. Ryan, A. ‘Locke and the Dictatorship of the Bourgeoisie’ in Political Studies, XIII:2 (June, 1965) Ryan, A. Property and Political Theory, London, Oxford University Press, 1987, Ch. 1. Weber, Max, (trans. Talcott Parsons), The Protestant Ethic and the Spirit of Capitalism, (2nd edn.), London, Allen & Unwin, 1976. John Locke’s Views on Property and Liberty, as Outlined in His Second T John Locke’s Views on Property and Liberty, as Outlined in His Second Treatise of Government John Locke’s views on property and liberty, as outlined in his Second Treatise of Government (1690), have had varying interpretations and treatments by subsequent generations of authors. At one extreme, Locke has been claimed as one of the early originators of Western liberalism, who had sought to lay the foundations for civil government, based on universal consent and the natural rights of individuals. [1] Others have charged that what Locke had really done, whether intentionally or unintentionally, was to provide a justification for the entrenched inequality and privileges of the bourgeoisie, in the emerging capitalist society of seventeenth century England. The crux of these arguments either way have centered on Chapter 5 in the Second Treatise, entitled ‘Of Property’. John Locke’s ‘Of Property’: Locke was dissatisfied with explanations given by such authors as Robert Filmer, which had sought to rationalize the absolutism of monarchs by establishing that God had given all property to Adam and his heirs (based on the claims of Monarchs that they were indeed his descendents). Rather, his aim at the beginning of Chapter 5 is â€Å"to show how men might come to have a property in several parts of that which God gave to mankind in common, and that without any express compact of all the commoners.† [2] Locke’s first assumption is that although God gave â€Å"the world to men in common,† all men have a ‘right’, in the first instance, â€Å"to their preservation, and consequently to meat and drink and such other things as nature affords for their subsistence.† [3] Each individual has also been given â€Å"reason to make use of it to the best advan... ...London, Allen & Unwin, 1976. Bibliography: Gough, J.W. John Locke’s Political Philosophy: Eight Studies, London, Oxford University Press, 1950, Ch. 4. Hundert, E.J. ‘Market Society and Meaning in Locke’s Political Philosophy’ in Journal of the History of Philosophy, XV (1977) Locke, John (edited by Peardon, Thomas, P.) The Second Treatise of Government, New York, Bobbs-Merrill, 1952 [1690], Ch. 5. Macpherson, C.B. The Political Theory of Possessive Individualism: Hobbes to Locke, London, Oxford University Press, 1962, Part 5. Ryan, A. ‘Locke and the Dictatorship of the Bourgeoisie’ in Political Studies, XIII:2 (June, 1965) Ryan, A. Property and Political Theory, London, Oxford University Press, 1987, Ch. 1. Weber, Max, (trans. Talcott Parsons), The Protestant Ethic and the Spirit of Capitalism, (2nd edn.), London, Allen & Unwin, 1976.