Wednesday, October 30, 2019

No need for topic Essay Example | Topics and Well Written Essays - 2000 words

No need for topic - Essay Example The second stage of moral development intensifies the right/wrong and good/bad practices to encompass the notion of satisfying own needs. Based on the implications of the decision made by the decision maker, Weber argues that aspects of fairness and equal sharing can be interpreted in that context.3 For example, the above move by directors would have a consequential implication to organizational shareholders and the firm at large. Stage three is primarily based on personal behavior. Specifically, members of any given society are expected to behave and conduct themselves in a certain way. In so doing, participants derive behavior-based satisfaction with respect to that which is naturally acceptable to the society. Here, the rules of the majority are essentially in play. On the other hand, the identified fourth stage of moral development deals with societal perspectives of generalized morals. For example, bakers are generally held to be trustworthy and their behavior in and out of work should reflect this expectation. However, this many not always be the case with regard to both the third and fourth stages of moral development. Any given society in its entirety accords rights to its members. In this respect, stage five defines the right and the wrong based on the rights accorded to the members of the society. On the same note, a society’s standards are upheld through the said rights, subsequently influencing the moral factor in that society. When it comes to the final stage of moral development, the definition of what is right is personalized. In other words, an individual’s ethical and moral principles drive the right/wrong definition. In this respect, what is rightfully, ethically, and morally accepted by one individual or society may not necessary be accepted by another subject to the provisions of the last two stages of moral development. Part B Translating theory into practice takes diverse and dynamic approaches. This is because organizational operations, strategies, goals, and objectives differ from one organization to another. For this reason, the operationalization of Kohlberg’s model within an organization requires a strategic approach. On the same note, the taken approach must be aligned and consistent with organizational short term and long term prospects. The practice of Kohlberg’s model would, therefore, require managers to be sensitive to the organizational culture and operations in play. To start with, managers do not necessarily have to implement every aspect of Kohlberg’s model. This is because some of the aspects of Kohlberg’s model may or may not be relevant for some organizational practices. In this respect, managers need to evaluate the organizational culture in play against the Kohlberg’s model. In so doing, managers would note ineffective areas within the organization as far as Kohlberg’s model is concerned. Once this has been done, the chosen provisions of the model can now be implemented. For example, an organization’s definition of right and wrong may be primarily built on the general societal

Monday, October 28, 2019

Marketing Mix Essay Example for Free

Marketing Mix Essay Broadly speaking, in order to maximise profits, different firms use distinct tools to perform strategy and decisions, such as SWOT analysis, PESTEL analysis and marketing mix analysis. In terms of the marketing mix, as an important concept in the subject of business studies, it refers to â€Å"a balance between the four main elements of marketing [is] needed to carry out the marketing strategy. It consists of the ‘4ps’: product, price, promotion and place† (MarcouseÃŒ  and Surridge et al., 2011:141). Firms can build an effective marketing strategy by using the marketing mix as a tool, and it is possible that business will fail if the marketing mix is not correct. The aim of the essay is to analyse elements of the marketing mix. Initially, it will discuss four elements, which are the product, price, place and promotion respectively. Then, it will evaluate the most vital component in the marketing mix, which is the product. The first component of the marketing mix is the product. â€Å"A product is a good or service produced by a business or organization, and made available to the public for consumption† (Ashwin and Merrills et al., 2008). Each product has a different feature, which could be the unique selling points of them. Roams and Cota (2008:152) attempt to define this term is, â€Å"A unique selling point (USP) is a short statement that explains why a customer should buy from you instead of your competitorsin. For example, Apple Corporation has a unique and independent operation system for their iPhone. It has been argued that there are three levels of product, first of which is core or generic product (Levitt, 1986:361). This is the basic and general physical product, in other words, it is the product that has minimum features and the consumer would expect it to have. In a microwave oven example, it should have enough space inside to put food and it would be expected to work effectively. The second level of the product is known as actual or tangible product. This is, touchable and physical property of the product. Young (2008:130) suggests this level of product will contain the product’s name, style, brand name, label, packaging and quality level. This level of product provides a material and a clearer image of the product to customers. The next and last level is called augmented product. Leader and Kyritsis (1990:12) explain this product provides privileges and additional services to the consumer; it also can reflect the differentiation of the product. For instance, services such as free delivery, discounts and additional purchases. The second element of the marketing mix is price. There are two main factors can determine the price of product, which is price elasticity and pricing strategy respectively. Blythe (2012:154) examines the elasticity of demand will illustrate that different categories have different extent of sensitivity when the price changes. Consequently, it could help firms make a better decision when they set the price. Thompson and Machin (2003:65) support that, â€Å"a business must know how responsive their products are to price changes so that they can assess the potential impact of, say, special offers or a price increase†. The next factor is the pricing strategy. Also, it is more imperative than price elasticity when firms make their price decisions. Firms use a serious of pricing strategies, however, the pricing method of cost plus is used most commonly, which is the basic form of all pricing decisions. It refers to a business calculates the average cost and then add a mark-up to the final selling price. Ashwin and Merrills (2008:347) point out another price strategy is called discriminatory pricing; this means a firm set different price for different target groups. As the description from Thompson and Machin (2003:65), discriminatory price refers to â€Å"different price is charged to different group people at different times†. For instance, a cinema charges a different price for students and adults. Besides, it charges different for daytime and evening showings as well. In addition, psychology-pricing strategy is also used quite frequently in supermarkets. For example, Morrison’s sell a bottle of milk  £1.99 rather than  £2, hence customers will perceive the price as being lower. Levitt (1986) argues discriminatory pricing mainly relies on emotional responses from the consumer. The third component in the marketing mix is the place. It concerns the way in which a product is distributed. Stimpson (2005:16) points out â€Å"the ‘place’ decision involves making the product or service available to  consumers in the most appropriate way†. Distribution channel as the most important factor could affect the decision of the place. There are numbers of factors can determine how the product is distributed. Blythe (2012:173) suggests one of them is the marketing aim. The increasing scale raised enterprise intends to expand as wide a distribution as possible. Furthermore, legal restrictions should be regarded as well. Stone (2001) states there are numerous products are not permitted to sell in some places. For instance, it is forbidden to sell the alcohol at the petrol station. In general, direct distribution, retailers, wholesalers and agent are four core channels of distribution. Direct distribution is the producers sell products to customers directly without intermediaries. Blythe (2012:175) explains this, â€Å"direct distribution channels are typical of personal services such as hairdressing†. For retailers, it is an organization that offers goods to customers. Tesco and Wal-Mart, for example. In addition, Koter (2005) describes that, in many market, wholesalers act as a link between producers and consumers. Wholesalers usually buy goods from manufacturers then sell goods to the final consumers or retailers. In contrast, agents do not actually purchase goods; they only help manufacturers to sell. Thompson and Machin (2003:80) claim that, â€Å" agent never actually owns a product, they usually connect buyers and sellers and manage the transfer of the good†. The final element in the marketing mix is promotion. Promotion is not only advertising but also a communication tool between producers and consumers. â€Å"promotion is about communicating with customers and potential customers† (Ashwin and Merrills et al., 2008:331). Promotion is essential for a product because it is able to increase the demand for products. Young (2008) suggests promotion can raise emotion, concern or awareness for products or issues. In addition, promotion can protect and preserve the market share as well. The methods of above the line and below the line are two main types methods of promotion. As for above the line promotion, it refers to a firm uses the advertising media but does not has direct control. The most recognizable  face of advertising is television. Because of it can provide the introduction of product with colorful images. Wolinski and Coates (2008:373) state that, â€Å"television has the advantage of being memorable, as it can present both moving images and sound†. Thompson and Machin (2003:74) examines the below the line promotion includes promotional media over which the firm has control. For example, personal selling, it means a salesman or a sales team who regularly visits consumers in person. Having introduced each element of the marketing mix, the essay will now evaluate the most crucial element in the marketing mix – product. There are two principal reasons for product as the most important element in the marketing mix. First of all, product as the key component makes the entirely process of the link between customers and producers possible. Amount of sales promotion and price reduction will not help an enterprise to achieve their market target if the product is not appropriate and attractable. Stimpson (2005:24) agrees with this view that, â€Å" a balance and integrated mix is essential, but without a product that offers customers real and distinctive benefits, even the best-laid marketing plans can be wasted†. In the mean time, Kazmi (2007), in her work, Marketing Management, suggests that the product or service is the most vital element, without a good product, you have nothing. Furthermore, Adcock and Halborg (2001) sustains that the attention of customers will be attracted if a firm can develop a high quality product, hence, the profits that the firm makes will increase. As a result, the pote ntial for business success is significantly enhanced. The second reason is that products enable to decide a firm’s profits, sales, market share, image, reputation and stature. Additionally, product can also determine the scope and direction of a company’s activity. Product acts a heart in the whole marketing mix. Most of the scholars support that view. Stimpson (2005:24) points out that, â€Å"the product is usually considered to be the most important component of the marketing mix†. Stone (2001) believed that in most case the product itself is the key to a successful marketing mix. However, there will be instances that when other components dominate  the marketing mix. Wolinski and Coates (2008:346) argues that, â€Å" At a festival, only one type of bottled water might be available, so the place is the most important factor†. In contrast, Baker (1991) claims when consumer with limited money might choose the product with the lower price, this is due to consumer has insufficient resources to purchase additi onal products. In this case, price is the most significant component. To recapitulate, the essay has introduced and analysed four elements product, price, place and promotion in the marketing mix. Marketing mix as a tool is able to help firms make efficient business plan and strategy. Each element is playing a very vital role in the marketing mix. Furthermore, the essay has identified the product is the most crucial part since the product is the key component linking between the producers and consumers. It can be concluded that all the elements in the marketing are essential and necessary, while in the most case, product is the most essential component in the marketing mix. An enterprise should coordinate and integrate the four elements so that the firm can build an efficient marketing strategy and achieves more profits as possible. Reference list: Ashwin, A., Merrills, S. and Thompson, R. 2008. Collins biz/ed AS business studies. London: Collins Educational. Baker, M.(1991) Marketing, An Introductory Text, 5th edn. London: Macmillan Education Ltd. Blythe, J. 2012. Essentials of marketing. 5th edn. Harlow: Pearson. Felina C. Young and Cristobal M. Pagoso. 2008. Principles of Marketing 1st edn. Manila: Red Book Store. Kotler, P. 2005. Principles of marketing. 4th edn. Harlow, England: Prentice Hall/FinancialTimes. Leader, W. G. and Kyritsis, N. 1990. Fundamentals of marketing. New edn. Cheltenham: Stanley Thornes. Levitt,T.: 1986. The Marketing Imagination. New York: Free express. MarcouseÃŒ , I., Surridge, M. and Gillespie, A. 2011. Business studies for A level. Abingdon, Oxon [UK]: Hodder Education. Ramos, A. and Cota, S. 2008. Search Engine Marketing. New York: McGraw-Hill. Stimpson, P. 2005. Place. Business Review, 11:4-16 Stimpson, P. 2004. The Product Decision. Business Review, 11:1-24 Stone, P. 2001. Make Marketing Work for you. Oxford: How To Books. Thompson, R. and Machin, D. 2003. AS Business Studies.1st edn. London: Collins Educational Wolinski, J. and Coates, G. 2008. AQA AS business studies. 2nd edn. Deddington, Oxfordshire: Philip Allan Updates. a

Saturday, October 26, 2019

Critiques of Faulkner’s Sound and Fury Essay -- Faulkner’s The Sound a

Critiques of Faulkner’s Sound and Fury After reading through a large chunk of criticism, it seems clear to me how David Minter, editor of our edition, hopes to direct the readers’ attentions. I was rather dumbstruck by the number of essays included in the criticism of this edition that felt compelled to discuss Faulkner and the writing of The Sound and the Fury seemingly more than to discuss the text itself. Upon going back over the essay, I realized that Minter’s own contribution, â€Å"Faulkner, Childhood, and the Making of The Sound and the Fury,† is a prime example of such â€Å"criticism of the text† that focuses on the author, his creation of the text as a process, and the author’s self-professed opinions of the text. I have a number of problems with this idea. Although analyzing Faulkner and his process is not condemnable in of itself, it seems as though nearly every essay in this edition feels it necessary to include a lengthy quote by Faulkner addressing either his love of Caddy , his non-plan when writing the novel, or his deeming the novel a failure. After reading about these facts in essay after essay, one hopes Minter is satisfied in drilling them into the reader’s head. Another issue I have with these inclusions is the relevancy of an author’s statements concerning the writing process of a particular text after the text has been written. It seems that most of Faulkner’s comments about the novel and the writing process were recorded long after the fact, and I have trouble believing his statements concerning his writing process after publication. It seems more likely that his repeated desire to emphasize Caddy’s positive nature is a direct response to more negative receptions of the character upon the release of the book. Re... ...solely within the imaginations of her three brothers. For Benjy, she is a non-past memory; for Quentin, her spoiled virginity haunts him (along with the honeysuckle he associates with her); for Jason, Caddy haunts in the form of the lost job and subsequent material loss. Thus she becomes in actuality triply phenomenally constructed, for not only does she exist solely within the imaginations of her brothers (in whatever form they are haunted by), but also within the imaginations of Faulkner and the reader. Just as we are watching the watched watcher, readers conceive of Caddy solely through her watchers, the brothers, and their watcher, Faulkner. Caddy exists only in the imaginations of the three (brothers, Faulkner, reader), but she effectively and efficiently haunts them all, detached and delocated from her material body into the phenomenal body of the imagination.

Thursday, October 24, 2019

Letter to the Editor Essay -- Comment on World Poverty

Dear Editor, I was disgusted to read the letter from Mr I Amok, and the points he made on poverty. Where he said, â€Å"poverty isn’t that bad, only a few people are really poor†. I think that he hasn’t studied countries enough because countries in Africa have people that can’t even afford food, clean water and clothing as it is stated in the booklet where it said, "our water hole dried up". Where he said people just want us to â€Å"feel sorry for them†, they just want us to help them because it was our fault in most cases that they got in that situation, because when we were a empire they were self dependent but we told them to grow cotton but as the years have gone on the cotton market has crashed and they are no longer self dependent. He also said â€Å"charity begins at home because not everyone can afford a car†. A car is not important compared to food. People can live without cars, but people cant live without food it is not possible. World poverty is a growing issue I think mr I. Amok should be educated more on this situation. He may not realise all factors that are involved. In my opinion poverty is a massive factor in the third world countries and everywhere else that it affects and mr I. Amok does not understand it as he has shown in the letter. He goes that he heard somewhere that there is enough food in the world to feed everyone, this is true but the problem is the 20% of rich people in the world use 80% of the resources the... ...his. This would get them up and running so the could begin to plan for the future. Another way in which we could help if we were really desperate to help, is the could have a fair trade week were everywhere only sold products that fairly traded and this would help us to understand and it might even give the companies the urge to fair trade if they don’t all ready do so. I think our contribution to aid has helped the these countries but we cant just keep giving them it because could just stop everything and depend on our aid which would put them in a even worse position which we or they don’t wont to happen, although this may sound harsh we should give them aid if they are desperately in need of it so they don’t become dependent on the aid. I hope I have helped all the readers and especially Mr.Iamok. Yours truly,

Wednesday, October 23, 2019

The Effect of Deforestation to Human Lives

Deforestation is increasing as a global concern. In recent years deforestation has risen to dangerous levels. This reason is mainly due to the fact that most people have no idea what deforestation is. This lack of education has caused many changes in the global economy. The concerns no longer center on deforestation but in the effects it will have in our environment in the future. This issue has sparked national attention. It has caused a chain of recent plans and policies to be introduced. Also it has brought us together as a nation to fight a common problem. Deforestation is the clearing the land of forest or trees. Many people do not even know that this problem exists, although it may be occurring right in their own neighborhoods. The causes of deforestation are broad. It used to be thought that the lumber industry was much to blame, when in fact the industry is very low. Most of the land was used for various other reasons such as building and agricultural expansion. The land is used for growing crops and livestock grazing. In many cases the ?  §Slash and Burn? method is used. This is where the farmers cut down and burn forests to get to the land that is feasible for farming. Most of the tropical soils are very poor in nutrients and can only support crops for a few years. When the soil has been exhausted it is either abandoned or turned over for livestock grazing. The effects of deforestation on the environment are numerous. The reduction of forests upsets the entire ecological cycle. The forests are home to a number of plants and animals. When a forest is cut down, the whole cycle suffers. Most of all the forests act as a carbon ?  §sink?. That is they help to take in carbon, a green house gas, and offset its effect on the atmosphere. Also trees and plants on a forest can help to supply an alternative source of fossil fuels. Tree planting is also good for urban development. They help with heating and cooling costs to be lowered. There is evidence from the UN sponsored Intergovernmental Panel on Climate Change (IPCC) that came out in 1990. This organization records the change of climate control and has the best of these fields working for it. It predicted that if our economy keeps releasing emissions as we are that our annual temperature would increase at 0. degrees per decade over the next century. This is beyond what the earth has experienced over the past 10,000 years? (Muller Introduction). We currently are increasing at a rate of 0. 5 percent per year. To get these levels back to normal we would have to have a cut in emissions by over 60%worldwide. The greatest producer of these carbon gases is the burning of fossil fuels. ? § With just 5% of the worlds population, the United States currently accounts for 20%of both total warming commitment and carbon dioxide emissions? (Muller Intro. ). Congressional concern over ways to reduce deforestation has grown. They center mostly on developing countries where the deforestation is most rapid. Many new plans and programs are being introduced to help aid with the issue. The major organizations working on deforestation are: the Tropical Forestry action Program, the International Tropical Timber organization, the United Nations Conference on Environmental and Developmental Forest Principles and Agenda 21 chapter on forests, the U. S. Forests For the Future Initiative, and the World Bank. Some of these are centered strictly in tropical deforestation. The Tropical Forestry Action Program (TFAP) was started in June of 1985. Its purpose was to slow down the tropical deforestation and help countries develop plans to help with their management of such issues. It was a correlation of the World Resources Institute, the World Bank, the United Nations Developmental Program and work by the UN Food and Agricultural Organization (FAO). The program is developed to help aid tropical countries in the reduction of deforestation. Currently 90 developing countries are participating-38 African countries, 20 in Asia and the Pacific, and 32 in Latin America and the Caribbean. (Fletcher, Lyke 6) The objectives of the plan are as follows. They plan center on five major issues in tropical countries. These were defined by the 1987 TFAP. „h Forrest in land uses. Action is this area is at the interface between forestry and agriculture and would aim at integrating forestry into agricultural systems in order to conserve the resource base for agriculture, and, in general, achieve a more rational use of the land. h Forest based Industrial Development. Planning in this area would promote appropriate forest-based industries, reduce waste, and develop the marketing if forest industry products. Fuelwood and energy. Action in this area would aim at restoring fuelwood supplies in the countries affected by shortages through foreign assistance and support for national fuelwood and wood energy programs, development of wood-based energy systems for rural and industrial development, regional training and demonstration, and intensification of research and development. h Conservation of tropical forestry ecosystems. Action planned in this area would aim at conserving, managing and utilizing tropical plants and wild animal genetic resources through the development of national networks of protected areas, the planning, management and development of individual protected areas, and research into the management of tropical forests for sustainable production. „h Institutions. Goals would be actions to remove the institutional constraints impeding the conservation and wise use of tropical forest resources by strengthening public forest administration and related governmental agencies, to integrate forestry concerns into developmental planning, providing institutional support for private and local organizations developing professional, technical and vocational training, and to improve extension and research. (Fletcher, Lyke 6-7) The funding for the project is provided by governmental and private sources. It plans on spending roughly eight billion dollars over the next five years (1985-1991). It would be divided among the five areas just mentioned. There have been numerous criticisms about the plan. Mostly it has been that it is on the fact that it is concentrating mostly on the deforestation factor and failing to recognize other environmental issues. It has been said to isolate groups of people. Also, they fail to get to the real source of deforestation, which to some, are things such as over population and poverty. They say that it doesn? t give any incentives or sanctions. Although this centers more on the tropical regions, there are also many other plans to help out in our areas. The easiest way to combat deforestation is through reforestation. This is, planting new trees. This does not mean just going out and planting seeds, but actually planting grown trees. There needs to be educated environmentalist who know what they are doing to plant these trees. We can not just go and place them anywhere and expect then to work to their potential. They need to be strategically placed in areas where they can work the best that they can. This is not to say that everyday people can? t help. We can definitely all try. By planting a tree we can do our best, while making the world a more beautiful place. Deforestation is an increasing global concern. In recent years it has risen to dangerous levels. This is due to the fact that many people do not even know what it is. This lack of education has caused the problem to get to intense levels before there has been any plans to reverse its effects. Its effects are effecting the whole ecological cycle, and if not dealt with could lead to an ecological disaster. Although there are many companies out there to try and solve this problem, many people have a common misconception. They believe that we could all just plant trees, and save the world. Although tree planting would be great that is not true. There needs to be the right trees planted in the right areas, where they can work to their highest potential as carbon sinks. This way they can help to reduce carbon in the atmosphere, while looking beautiful. Wouldn? t it be nice if we could just have a world with normal carbon levels covered with beautiful trees? Personally I would rather look at a beautiful oak or maple rather than a cloud of smog. So, in conclusion, we can all try to help, plant a tree.

Tuesday, October 22, 2019

Best Careers for Your Personality Type

Best Careers for Your Personality Type As you hunt for a job, some things are crucially important: your resume and experience, your skills, and your interview game are all major parts. But don’t forget another huge element: your personality. Your personality is who you are, both on the job and off of it, and it’s majorly important to understand who you are before you pick a career. After all, you want to find a career path that makes you feel happy and productive, not one that fills you with dread because you feel like you’re constantly pulled out of your comfort zone. (A little discomfort can be good and galvanizing for your career as you try new things. Too much just makes you miserable.) If you haven’t already, take the Myers-Briggs Type Indicator (MBTI) personality assessment, which is the gold standard in personality tests. It’s a little more intense than the â€Å"Which Member of The Stranger Things Cast Are You?† quiz you just took on Facebook, but worth it to get a handle on what your personality and motivations are. Each test breaks you down into one of 16 types based on four categories:Introversion vs. ExtroversionIntuition vs. SensingFeeling vs. ThinkingPerceiving vs. JudgingThere’s an official version of the test that you can take for $49.95, but there are also lots of free version, like this one, that also get the job done. Once you know your type (or if you knew it before, you forward-thinker, you!), let’s move on to see what kind of careers you might want to look at to match your personality type.ISTJ (Introvert, Sensing, Thinking, Judging)ISTJs are duty-focused people who value hard work and career commitment. ISTJs love their rules. They like to have concrete goals and deadlines, and often prefer to work with hard data or specific processes. Seek jobs that celebrate these skills, and let you put them to good use.Jobs to consider:AccountantOffice ManagerIT AnalystLaw Enforcement OfficerLogisticianISFJ (Introvert, Sensing, Feelin g, Judging)ISFJs tend to be organized, calm, and practical professionals. They’re big on caretaking, and may not be the loudest voice in the room, but will often be the most logical. ISFJs are good at walking others through processes, and guiding team members toward a particular goal or result. You’re best-suited for positions that need a steady mind and head, even when the going gets tough.Jobs to consider:Elementary School TeacherLibrarianCustomer Service RepresentativeMedical SecretaryExecutive AssistantINFJ (introvert, Intuition, Feeling, Judging)INFJs can be creative types, but are also guided by their own sets of principles and feelings of fair play. Structure and compassion are the two most important career qualities for INFJs. Look for jobs that value these traits- you don’t want to have to hide them, you want to use them to their best potential.Jobs to consider:Social WorkerHR ManagerCounselor/TherapistWriterVeterinarianINTJ (Introvert, Intuition, Think ing, Judging)INTJs are the ones you want on your side when you need a confident, expert opinion. INTJs want what they want when (and how they want it), and demand perfection from themselves and others. Your standards are high, where it’s for you or your client. You won’t be happy unless you find a job where you can refine things to make them better.Jobs to consider:Software DeveloperSurgeonFinancial AdvisorBusiness ExecutiveMicrobiologistISTP (Introvert, Sensing, Thinking, Perceiving)ISTPs are movers and the shakers- they like to get things done now, because why wait when you can get results now? ISTPs are practical, dependable professionals who like to use strong methodology to get results. You’re a doer, not a bystander. Find a gig that lets you get in there and get your hands dirty.Jobs to consider: Police OfficerMechanicOperations AnalystCivil EngineerEconomistISFP (Introvert, Sensing, Feeling, Perceiving)ISFPs are helpers. They like to know that their work is directly and positively affecting others’ lives. They create products or provide services that people can use right away. ISFPs are often active members of their community, personally and professionally.Jobs to consider:Fashion DesignerHome Health AideMassage TherapistLandscape ArchitectStore OwnerINFP (Introvert, Intuition, Feeling, Perceiving)INFPs are optimists. They like to have careers that are making a difference to the world via creativity. INFPs are often motivated professionally by their strongly held personal values and beliefs. You’ll want to find a job that lets you channel your energy into making beautiful things and helping people realize their best potential.Jobs to consider:PsychologistArtist/Graphic DesignerWriterLibrarianHR TrainerINTP (Introvert, Intuition, Thinking, Perceiving)INTPs like hard evidence, and typically don’t operate on faith alone that something is true. INTPs like to constantly test theories and new ways of doing things, and continually re-evaluate their perspective. They are problem solvers. You’ll want to find a career thats largely cut-and-dry, with lots of facts and problems to be solved.Jobs to consider:MathematicianChemistPsychiatristProfessorArchitectESTP (Extrovert, Sensing, Thinking, Perceiving)ESTPs can be adrenaline junkies, thriving on process and systems in an uncertain world. They’re great in a crisis, providing practical skills and guidance no matter what chaos is going on around them. You need a steady head and temperament, even when things are crumbling around you.Jobs to consider:Construction ContractorDetectiveStock BrokerFinancial AdvisorSales ManagerESFP (Extrovert, Sensing, Feeling, Perceiving)ESFPs feel at home talking to (and working with) just about everyone. They are great team members, who know the value of working together to accomplish specific goals or keep everyone together on task. You’re the friendly face amidst the chaos.Jobs to consider:Receptioni stCustomer Service RepresentativeJuvenile Social WorkerRecreation DirectorActorENFP (Extrovert, Intuition, Feeling, Perceiving)ENFPs are curious about the world around them, and do best in jobs that allow them to interact with a lot of different people. They’re often passionate advocates in their fields. Find jobs that surround you with creativity, one where you’re on your feet and making things happen.Jobs to consider: Restaurant OwnerJournalistPreschool TeacherCreative DirectorEvent PlannerENTP (Extrovert, Intuition, Thinking, Perceiving)ENTPs are creative types who thrive on challenges and finding new solutions to old problems. Seek jobs that let you flex your artistic and problem-solving muscles on a daily basis.Jobs to consider:Real Estate AgentReporterUrban PlannerMarketing AssociateEntrepreneurESTJ (Extrovert, Sensing, Thinking, Judging)ESTJs are often the ones in charge, with their abilities to make quick, logical decisions. They are quickly able to interpret s ituations and apply information to arrive at the best way of doing something.Jobs to consider:Loan OfficerSchool AdministratorLawyerPharmacistProject ManagerESFJ (Extrovert, Sensing, Feeling, Judging)ESFJs are caretakers. They take pride in providing excellent care, and are often motivated by seeing direct results with their customers, patients, or stakeholders. You’ll ideally want to look for jobs where you work daily with people, otherwise you won’t be fulfilled.Jobs to consider:NurseSales RepresentativeSocial WorkerCosmetologistNutritionistENFJ (Extrovert, Intuitive, Feeling, Judging)ENFJs are the gurus. They provide helpful, authoritative guidance, often with the goal of making the world a better (or at least more straightforward) place. You have the gift of inspiring people- find a job where you can use these skills.Jobs to consider:Nonprofit WorkerTeacherPR SpecialistClergymemberHealth EducatorENTJ (Extrovert, Intuitive, Thinking, Judging)ENTJs are leaders. Theyà ¢â‚¬â„¢re driven by results, and feel comfortable leading teams and setting goals to get everyone on the same page.  You’re a natural leader, so look for a job where you can take charge and make things happen.Jobs to consider: EngineerAttorneyPhysicianExecutiveManagerKnowing your personality type and motivations can really help clarify your career path, especially if you’re not totally sure what you want to do next. What about you? We’d love to hear what your results were, and if you learned anything about your professional options in the process!

Monday, October 21, 2019

Free Essays on The Last Friend I Would Have Ever Expected

I was not a big fan of dogs after a chow bit me when I was six years old. Ever since then I have somewhat been afraid of all dogs until I met Rose. Rose is an English bulldog. Bulldogs do not look like they would be the nicest dogs out there and when I walked into my girlfriend’s house for the first time I was petrified of this bulldog. I felt as scared a mouse with no legs that is trying to get away from a cat. When Rose took off sprinting as if she were a lion after a gazelle, thought that I was going to be eaten alive. Much to my surprise instead of eating me alive she jumped onto me knocking me down and began to lick my face profusely, it felt like I was being drowned in a pool of dog slobber. When Rose finally decided to let me get up my girlfriend, her dad and her step mom were all horse laughing at me. All I could hear was, â€Å"Did you see his face, that is the most scared I have ever seen anyone, that is so funny.† Needless to say Rose and I set it of f to a pretty close relationship. Over the past few months I have gotten to know Rose quite well. Rose is an extremely loving dog, a very active dog, and a very paranoid dog. Rose showed me that dogs can be loving animals and she helped me get over my fear of dogs. My girlfriend told me that Rose is usually not fond of anyone at first and it usually takes her a long time to get used to them. It surprised everyone that Rose and I had such a close bond the first time I met her. Every time I walk in to the front door, somehow Rose knows it is me and like our first meeting she charges at me but over time I have found ways to trick her. As soon as I get there I usually end up taking Rose outside and play with her for at least half an hour if not more. Rose shows me love that no human can ever give. Every human has times where they want to be left alone and are at least a little unfriendly, but for Rose that is never true. Rose will always be willing to go outside a... Free Essays on The Last Friend I Would Have Ever Expected Free Essays on The Last Friend I Would Have Ever Expected I was not a big fan of dogs after a chow bit me when I was six years old. Ever since then I have somewhat been afraid of all dogs until I met Rose. Rose is an English bulldog. Bulldogs do not look like they would be the nicest dogs out there and when I walked into my girlfriend’s house for the first time I was petrified of this bulldog. I felt as scared a mouse with no legs that is trying to get away from a cat. When Rose took off sprinting as if she were a lion after a gazelle, thought that I was going to be eaten alive. Much to my surprise instead of eating me alive she jumped onto me knocking me down and began to lick my face profusely, it felt like I was being drowned in a pool of dog slobber. When Rose finally decided to let me get up my girlfriend, her dad and her step mom were all horse laughing at me. All I could hear was, â€Å"Did you see his face, that is the most scared I have ever seen anyone, that is so funny.† Needless to say Rose and I set it of f to a pretty close relationship. Over the past few months I have gotten to know Rose quite well. Rose is an extremely loving dog, a very active dog, and a very paranoid dog. Rose showed me that dogs can be loving animals and she helped me get over my fear of dogs. My girlfriend told me that Rose is usually not fond of anyone at first and it usually takes her a long time to get used to them. It surprised everyone that Rose and I had such a close bond the first time I met her. Every time I walk in to the front door, somehow Rose knows it is me and like our first meeting she charges at me but over time I have found ways to trick her. As soon as I get there I usually end up taking Rose outside and play with her for at least half an hour if not more. Rose shows me love that no human can ever give. Every human has times where they want to be left alone and are at least a little unfriendly, but for Rose that is never true. Rose will always be willing to go outside a...

Sunday, October 20, 2019

Rosalind Elsie Franklin essays

Rosalind Elsie Franklin essays Born on July 25, 1920 in London, England, Rosalind Elise Franklin was a catalyst to many other scientists in the field of genetics. Using coal and carbon as subjects, Franklin discovered the double helix of DNA, the shape that two linear strands of DNA assume when bonded together. In 1945, Franklin received her Ph. D in physical chemistry from Cambridge University. The next year she went to Paris and worked in the Laboratoire Central des Services Chimiques de LEtat until 1950 where she concentrated her studies on x-ray diffraction methods. In 1951, Franklin returned to England to work as an associate to John Randall at Kings College. While Maurice Wilkins, a scientist, was away, Franklin was put in charge of his DNA project. Wilkins returned to think that Franklin was a lowly technical assistant mainly because of the discrimination against women at that time. During her studies, Franklin took pictures of the DNA structure using her own technique discovering a helical structure. Through this technique, Franklin discovered that there were two types of DNA, dry A-form and wet b-form. B-form being the DNA that exist within our bodies. She also located the position of phosphate sugars in DNA. With this technique, the locations of atoms can be precisely mapped by looking at the crystal under an x-ray beam. Unfortunately, unlike with visible light, there is no known way to focus x-rays with a lens. This causes an x-ray microscope to be impossible to use unless someone finds a way of focusing x-rays. So it is necessary to use crystals to diffract x-rays and create a diffraction pattern. Crystals are important because by definition they have a repeated unit cell within them. The x-ray diffraction from one unit cell would not be significant. Fortunately, the repetition of unit cells within a crystal amplifies the diffraction enough to give results that can turn into a pictur ...

Saturday, October 19, 2019

IAE_Principles_Practices Essay Example | Topics and Well Written Essays - 250 words

IAE_Principles_Practices - Essay Example In some cases, children are vulnerable to certain adverts by virtue of being immature. Therefore, the advertisers must tailor their message in such a way that it does not negatively impact on this vulnerable group. 2. Principle 4 has been often ignored by advertisers which state that advertisers should disclose all material conditions such as receipt of payment of free product as well as identity of endorsers among other issues. In most cases, the advertisers are not at liberty to disclose this information in some of their adverts. 3. The comment on principle 7 is overstated. Whilst it is important for all advertising agents to abide by the federal law, the bottom line is that there is a regulatory body that oversees the operations of all these agencies. This body has a code of professional conduct and ethics that guides the operations of all the advertising agents. In other words, this body at law is responsible for administering the law to its members so that they conform to the expected standards. However, principle 5 is well articulated. Children should be protected from gullible advertisers since this group is comprised of vulnerable people. 4. I agree with the author who states that some adverts are distorted particularly those targeting children. Like the example given, the advert about the confectionary product is directly the opposite of what it claims. It can be seen that the advertisers are concerned about their profit oriented goals at the expense of the targeted consumers who are children. As noted, children may not be able to make meaningful decisions on their own by virtue of their young

Friday, October 18, 2019

The Implementation of Social Learning Theory by Anytowns Department of Essay

The Implementation of Social Learning Theory by Anytowns Department of Job and Family Services - Essay Example The forceful separation of a child from its parents will lead to the emotional turmoil of all the family members involved in the issue, no matter how legally and theoretically justified an organization is in doing so. However, the cases have to be studied closely because there are many instances where the parents can pose real threat to the physical existence and mental health of children. In such cases, there cannot be any other option than separating children from their homes. The key factors that should determine it has to be clear evidence, proper understanding of the situation and ensuring the well-being of the child who is taken to the care of the state or foster care services. It is possible that the department has misinterpreted/misappropriated the finding of Social Learning Theory, which states, â€Å"aggressive children have parents who use similar tactics when dealing with others. For example, the children of wife batterers are more likely to use aggressive tactics themselves than children in the general population, especially if the victims (their mothers) suffer psychological distress from the abuse†. The quantitative nature of the study makes it impossible to judge isolated cases where children who feel more secure with their parents who happened to be abusive on rare occasions, than to be brought up in an institutional ambience. Moreover, there could be instances of some parents losing their control over themselves under the influence of intense emotional turmoil due to extraneous affairs.

Business and Management Decision Making BZ Essay

Business and Management Decision Making BZ - Essay Example The hospitality services of the Glasgow University offers a wide range of catering service. The food products and other catering services are offered to a wide range of consumers starting from students, professors and other staffs. This as a result makes it a lucrative business for the University. Moreover, academic departments are also forbidden to outsource food from any other outlets. This as a result, has made them captive customers for the Glasgow University hospitality services. However, the institution also faces significant amount of competition from outlets outside the campus. These outlets include restaurants, pubs and other eateries which are in close proximities from the university campus. This as a result makes it easier for the students and staff to have an alternative option for eating outside the campus. This can be described from a theoretical stand point by highlighting the Porter’s five forces of competition. The Porter (2008) mentioned that the competitive force not only arise from the rivalry among existing firms, but also from four other direction. The Porter five force analyses will help to assess the level of competition faced by the Glasgow University hospitality service. This data will be then utilized to analyse the required changes that are required to make the service offering at par to the desired level. Power of Buyers: The power of buyers can be described in terms of their switching cost, which is indirectly proportional. If the switching cost of the buyers is low, then their bargaining power increases (Dalrymple, 2008). The availability of several restaurants and pubs in the close proximity of the university campus makes it easier for the customers to choose from several available options. However, outsourcings from outside eateries are not allowed in the campus. This as a result, reduces the buyers’ power slightly. Thus, the overall

Thursday, October 17, 2019

Schizophrenia Essay Example | Topics and Well Written Essays - 750 words

Schizophrenia - Essay Example People fail to understand that the behavior displayed by people suffering from schizophrenia is not a result of ‘madness’ but is a result of the mental problems they have. The case of Andrea Yates is an example of what people suffering from schizophrenia are capable of doing if help and support is not extended to them at the right time and in a right way. Diagnosis And Symptoms People suffering from schizophrenia display maladjusted behavior and thinking pattern. According to DSM-IV-TR, the diagnosis of schizophrenia is done on the basis of symptoms that are visible in the behavior and the thinking pattern of people who suffer from it (First & Tasman, 2010, p.245). People suffering from schizophrenia have delusions, hallucinations, incoherent and disorganized speech, excessively catatonic behavior and rigid physical movements (First & Tasman, 2010, p.245). According to Barch (2003), the defining aspect of schizophrenia is the deficits in cognitive functions and the distu rbed thought process (Weiten, Lloyd, Dunn & Hammer, 2009, p.502). This deteriorates patient’s daily routine and relationships with people as he talks in chaotic and illogical manner and there is no sense in his talk (Weiten et al., 2009, p.502). Most of the times, people suffering from schizophrenia have auditory hallucinations where they hear voices from non-existent or absent people and act accordingly (Weiten et al., 2009, p.502). ... a Yates Andrea Yates, a 37 year old woman from Texas, drowned her five young children to death, under the influence of severe mental illness (Greene, Fortune, Heilbrun & Nietzel, 2007, p.215). Andrea had a long history of mental illness. Andrea’s mental illness was hereditary as her father, two brothers and a sister, suffered from depression and other mental illness in different degrees (Wade & Tavris, 2006, p.600). Andrea was suffering from clinical depression and episodes of psychotic illness from years and was under treatment for the same (Wade & Tavris, 2006, p.600). After the numerous psychotic episodes, she was hospitalized and was diagnosed with schizophrenia and postpartum depression (Greene et al., 2007, p.215). According to â€Å"The Andrea Yates Case† (2005), she was hospitalized just one month prior to the killings as it was evident that if she is left alone without supervision, she might get violent (Greene et al., 2007, p. 215). Moreover, after having her fourth baby, her psychiatrist had suggested her and her husband not to have another baby saying that she will go deeper in depression if more responsibility comes her way (Wade & Tavris, 2006, p.600). However, according to Yardley (2001), her husband overlooked the warning and refused birth control saying that they â€Å"would like to have as many babies as nature will allow† (Wade & Tavris, 2006, p.600). The overwhelming responsibility of raising kids and doing their home schooling took its toll on Andrea and she went into severe depression and psychotic episodes (Wade & Tavris, 2006, p.600). On June 20, 2001, Andrea drowned each of her children one by one in a tub filled with water and later, laid them in bed and covered them with sheet (Greene et al., 2007, p.215). The eldest child was found floating

Apple Company Essay Example | Topics and Well Written Essays - 1000 words

Apple Company - Essay Example It took Apple only five years from 2003 to 2008 to have the market value of its shares increased by as many as 25 times, as the value of Apple’s share in 2003 was $7.5 which increased to $180 in the year 2008. â€Å"At July 2008 prices, before the US Financial Crisis, Apple stock market capitalization was $160 billion. In January 2010 Apple shares topped the $210 mark† (Vertygo Team, 2011). The case study of Apple Company provides an excellent practical example of how the theoretical marketing principles can be brought to life by incorporating them into the business strategies, and their benefits can thus be obtained. This paper discusses the potential ways of integration of the marketing theory with practice, and explores the comprehensive marketing strategy adopted by the Apple Company that has led it to the profound success. The secret of Apple’s success lies beyond the design standards of its products as well as the core philosophy of Apple which suggests tha t â€Å"the user doesn’t always know what they want† (Tiojanco, 2012). ... potential hurdles in the way of integrating marketing theory with practice, and recognition of the measures that can be taken to overcome those obstacles. Subjectivity in the knowledge of marketing theory is introduced by the conflicting and complimenting marketing theories of different scholars and educationalists. There is not a single established way of marketing that has gained mutual consensus of all scholars and authors. In fact, different good practices have been explained in different books and literatures depending upon the context, circumstances, organizational objectives, and internal and external environmental and cultural factors that vary from one case study to another. However, there is a need to generalize certain marketing practices and principles that have been approved by a vast majority of scholars. Such marketing principles include but are not limited to improving the brand image by fulfilling corporate social responsibility, incorporating innovation and diversit y in the product design so that the product addresses the needs of a vast majority and diverse population of consumers, and selecting the right medium and the right time to advertise the products. Application of the marketing theory in practice requires understanding of difference between the role of advertisement and promotion. â€Å"[A]dvertising-like messages are used for longerterm strategic efforts to build brand awareness and attitude while promotion-like messages are designed for shorter-term tactical needs to stimulate an immediate sales response† (Percy, 2008, p. 28). Some of the hurdles in the integration of marketing theory with practice include lack of consistency between the organizational structure and the scope of work and organizational objectives, lack of involvement of

Wednesday, October 16, 2019

Schizophrenia Essay Example | Topics and Well Written Essays - 750 words

Schizophrenia - Essay Example People fail to understand that the behavior displayed by people suffering from schizophrenia is not a result of ‘madness’ but is a result of the mental problems they have. The case of Andrea Yates is an example of what people suffering from schizophrenia are capable of doing if help and support is not extended to them at the right time and in a right way. Diagnosis And Symptoms People suffering from schizophrenia display maladjusted behavior and thinking pattern. According to DSM-IV-TR, the diagnosis of schizophrenia is done on the basis of symptoms that are visible in the behavior and the thinking pattern of people who suffer from it (First & Tasman, 2010, p.245). People suffering from schizophrenia have delusions, hallucinations, incoherent and disorganized speech, excessively catatonic behavior and rigid physical movements (First & Tasman, 2010, p.245). According to Barch (2003), the defining aspect of schizophrenia is the deficits in cognitive functions and the distu rbed thought process (Weiten, Lloyd, Dunn & Hammer, 2009, p.502). This deteriorates patient’s daily routine and relationships with people as he talks in chaotic and illogical manner and there is no sense in his talk (Weiten et al., 2009, p.502). Most of the times, people suffering from schizophrenia have auditory hallucinations where they hear voices from non-existent or absent people and act accordingly (Weiten et al., 2009, p.502). ... a Yates Andrea Yates, a 37 year old woman from Texas, drowned her five young children to death, under the influence of severe mental illness (Greene, Fortune, Heilbrun & Nietzel, 2007, p.215). Andrea had a long history of mental illness. Andrea’s mental illness was hereditary as her father, two brothers and a sister, suffered from depression and other mental illness in different degrees (Wade & Tavris, 2006, p.600). Andrea was suffering from clinical depression and episodes of psychotic illness from years and was under treatment for the same (Wade & Tavris, 2006, p.600). After the numerous psychotic episodes, she was hospitalized and was diagnosed with schizophrenia and postpartum depression (Greene et al., 2007, p.215). According to â€Å"The Andrea Yates Case† (2005), she was hospitalized just one month prior to the killings as it was evident that if she is left alone without supervision, she might get violent (Greene et al., 2007, p. 215). Moreover, after having her fourth baby, her psychiatrist had suggested her and her husband not to have another baby saying that she will go deeper in depression if more responsibility comes her way (Wade & Tavris, 2006, p.600). However, according to Yardley (2001), her husband overlooked the warning and refused birth control saying that they â€Å"would like to have as many babies as nature will allow† (Wade & Tavris, 2006, p.600). The overwhelming responsibility of raising kids and doing their home schooling took its toll on Andrea and she went into severe depression and psychotic episodes (Wade & Tavris, 2006, p.600). On June 20, 2001, Andrea drowned each of her children one by one in a tub filled with water and later, laid them in bed and covered them with sheet (Greene et al., 2007, p.215). The eldest child was found floating

Tuesday, October 15, 2019

Research papper about photographer Paper Example | Topics and Well Written Essays - 2500 words

Papper about photographer - Research Paper Example They cumulative effects of Araki’s images are great. Araki establishes the notion that everything strictly Japanese, by design, prohibits outsiders from participation. Japan has been, in the western perception, the very replica of the other even though it remains vague to what level this repeal is true (Sharp 23). Araki’s art should, in reality, fall in this group of the other for people now that the photographer hardly ever leaves Japan, that he did not go to a western university and that he strictly speaks Japanese (Searle 1). However, his works attain exactly the opposite effect. Westerners gain the adamant feeling that these images are addressed to them - not in the logic that they are reflections of western traditions or images - like the travesties of western cinema and art found in the parodies of the Japanese picture taker Morimura - but because they function in line with the rules established in western â€Å"modernist† discourse. This paper will dwell o n this photographer and give a brief biography of his life, as well as his works. Biography Nobuyoshi Araki was born on 25th May, 1940, in Tokyo, Japan. He studied cinematography in his college days and, after graduating, went to work at Dentsu, a Tokyo-based advertising company, where he met essayist Yoko Araki, who become his future wife. Araki was only 32 years when he quit his job at the advertising agency and, after that, his works remained nearly unrecognized in the Western world (Design Autopsy 1). Of the over 70 brochures and books that published his images, produced in Japan those days, none of them were available in America and even Europe. His initial solo show outside Japan was in 1992, in Graz, and then subsequently started appearing in Germany, Austria, Holland, Switzerland, Scandinavia and Scotland. This was from 1992 to 199 (Design Autopsy 1). The years were considered a success story for the photographer who was barely known outside his nation. However, he was not t he normal artist, who is introverted, painstaking or regional, unfairly neglected by the chaotic exhibition scene (Design Autopsy 1). Araki had long before become a star in Japan’s media and a person always bounded by an entourage just like the king of pop, Michael Jackson. Araki was a tough person, a classy maverick and an artist acknowledged for particular eroticisms albeit for extremely different images. Having transformed through the countless rumors and the astounding tales connected to his name, an observer is attracted to such comparisons(Searle 1)As hard as it is to imagine Araki the artist and the photographer, the objective of tracing the genesis of his ads and deciding the actual objective is not less elusive (Design Autopsy 1). Araki’s images are full of explicit sexual characters and also heavy sexual metaphors. However, the explicitness in Araki’s photos is not â€Å"hot† as the way as it is exhibited in the sex industry (Sharp 45). His meta phors also forge connections to many other, likewise corporeal images - interiors and cityscapes, which are normally devoid of individuals and have a figurative passion of their own (Searle 1). Araki draws from a vast store of pictures, which are extended endlessly – images that have neither titles nor dates – and eventually circles around a diminutive core of normally recurring

Different examples of power Essay Example for Free

Different examples of power Essay What is power? What are different examples of power? How can people gain and maintain power? Power is being able to make something happen or prevent something from happening. You know if someone has power if they are leaders or if they are respected. If you’re a good influence you can also gain power because people begin to follow in your footsteps. Examples of power are political, economic, and social. Political power is an authority held by a group within society that allows for the administration of public resources and implement policies for society. The President has political power and the governor has political power. Social power is the degree of influence that an individual or organization has among their peers and within their society as a whole. Martin Luther King had social power and Malcolm X also had social power. Economic power is organization of the money, industry, and trade of a country, region, or society. Jay Z has economic power because he has money. My essay is going to be about stop and frisk and how often it is being used by police officers and how it affects the people in neighborhoods it is constantly happening in and the statistics on the frisking. In New York City police officers have a program called stop and frisk which is when a person is stopped by a cop and patted down to examine if the person is carrying a weapon or if the person is engaging in illegal activity. This type of limited search occurs when police confront a suspicious person in an effort to prevent a crime from taking place. A stop is different from an arrest. An arrest is a lengthy process in which the suspect is taken to the police station or booked and a frisk is only a temporary search. If the officer uncovers further evidence during the frisk, the stop may lead to an actual arrest, but if no further evidence is found, the person is let go. Unlike a full search, a frisk is only limited to a patting down of the outer clothing. If the officer feels something like a weapon, the officer may then reach inside the persons clothing. If no weapon is felt, the search may not go any further than the outer clothing. In 2011, New Yorkers were stopped by police 685,724 times by police officers and 88 percent of them were totally innocent. 34 percent were African Americans 34 percent where Latinos. 51 percent were though age 14 to 24, only 9 percent were Caucasian.. In the first nine months of 2012, New Yorkers were stopped by police 443,422 times. 89 percent were completely innocent. 55 percent were  black and 32 percent were Latinos, 10 percent were white. Stop and frisk causes people to be afraid of the police because when they are around they have to worry about being frisked by them. â€Å"Stop-and-Frisk abuses corrode trust between the police and communities, which makes everyone less safe. I know people that get very scared when the police come around because he had been frisked a lot of times. Police officers also sometimes use physical force when frisking people. For example, if you are getting frisked and you try to resist, the police will sometimes use physical force on you because they may feel like you’re disobeying them. Stop and frisk is a violation of the Fourth Amendment. The Fourth Amendment says â€Å"people have the right to be secure in their persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be violated, and no Warrants shall issue, but upon probable cause, supported by Oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized.† Mayor Bloomberg and police say stop and frisk has helped New York reach a low crime rate. New York has the lowest crime rate among the nation’s biggest cities, said by the FBI. People call the stop and frisk practice racial discrimination. Aggressive stop-and-frisk practices are having a profound effect on individuals, groups and communities across the city. Residents of some New York City neighborhoods describe a police presence so pervasive and hostile that they feel like they are living in a state of siege. w deeply this practice impacts individuals and they document widespread civil and human rights abuses, including illegal profiling, improper arrests, inappropriate touching, sexual harassment, humiliation and violence at the hands of police officers.

Monday, October 14, 2019

Ineffective Unworkable Stability Growth Pact

Ineffective Unworkable Stability Growth Pact Abstract The paper presented provides a discussion and evaluation of the functioning of the fiscal discipline instrument; it was designed in the early 1990s for inclusion in the Maastricht Treaty, refined in 1997 with the creation of the Stability Growth Pact (hereafter, ‘SGP), and reformed in 2005. Assuming that we need it for reasons rehearsed in literature, the SGP will be evaluated and discussed in relation to its effectiveness to date. Although case law is not studied extensively, a brief overview of the SGP crisis in 2003 will be provided, followed by a legal/economic analytical framework perspective with the SGP examined under the lens of soft and hard law primarily. With the legal principles exposing the economics behind the SGP, the rules and discretion debate is followed supporting evidence that the current framework has proved to be inadequate. The methodology continues to analyse the SGP framework with a particular focus on the economic crisis of Greece. The lessons illumin ated from this particular case study will further provide possible recommendations to help the SGP become a more effective regime, in face of ageing populations and a need for growth enhancing forms. 1. Introduction While monetary policy is delegated to the European Central Bank (ECB) who face a challenge of convincing speculators that they are serious about the maintaining of exchange rate stability and that they will not use the option of devaluing (Jacquet 1998), fiscal policy remains in the hands of national authorities. Member States (MS) should however, according to the Treaty on European Union (hereafter, Maastricht) comply with the principle of sound public finances. To ensure this, the Treaty presents a no bail-out clause which prohibits the ECB, and other nations of rescuing a MS in financial trouble. This was further protected by the introduction of the Stability Growth Pact (SGP) which further specified rules and procedures. A primary source of European Union law is provided for by the power-giving EU treaties which set broad policy goals and establish institutions that, amongst other things, can enact legislation in order to achieve these goals. The SGP is precisely this further legislation that is required to give force and credibility to the Treaty. The legislative acts of the EU may come in two forms; directives and regulations. In the case of the SGP, it consists of two council regulations 1466/97 and 1467/97 which are directly applicable and binding in all MSs without the need for any further domestic legislation. The fundamental objective for the SGP is to identify excessive deficits and end them as soon as possible[1]. However, the SGP, in its original, reformed and current form is not effective. Whilst initiating debt and deficit cuts, it fails to stimulate and enhance growth. It has no end to criticisms in applying fiscal discipline. This has led to not only the SGP crisis facing the European Court of Justice in 2003 where the Economic and Financial Affairs Council (ECOFIN) failed to impose sanctions on delinquent MSs but more significantly the recent crisis of Greece, where the failure of the SGP to discipline their budgetary discipline has led to spiralling debts forcing the EU to possibly ‘eat its own words in relation to the ‘no bail-out clause. This not only undermines the credibility of the SGP as a framework, but calls into question the functioning of the European Monetary Union as a whole. With the pact being described as an operational recipe and repeatedly being consi dered as too weak, will this finally spur policy-makers into producing a much harder pact? 2. Designing, Building and Naming the Ship From Maastricht to SGP[2] The aim of the following chapter is to provide a brief focused review of how the SGP framework was formed. The debate leading up to the creation of the SGP began long before the Maastricht treaty was signed in 1992. After the experience of the 1970s and 1980s it became clear that a new focus was required on medium term stability and fiscal discipline, and it became certain that there was a need for institutional mechanisms. In particular, the absence of a fiscal rule meant that the free rider problem was feared as MS may be tempted to run excessive deficits in the expectation that the Monetary Union will bail them out (Begg Schelkle, 2005). Later, this became the one of the most compelling rationales for the SGP; to prevent the European Central Bank (ECB) from being pressurised for an inflationary bail out (Eichengreen Wyplosz, 1998). In 1989, The Delors Committee composed of central bankers reported that economic and fiscal decisions â€Å"would have to be placed within an agreed macroeconomic framework and be subject to binding procedures and rules† (Delors Report, 1989). This would also help to avoid differences in public sector borrowing requirements between MSs and present obligatory constraints on the size of budget debt and deficits (Delors Report, 1989), therefore limiting the use of fiscal policy itself. This not only combined but reflected both the Keynesian coordination and fiscal discipline arguments. The vital question was how? The European Union (EU) was faced with key players representing different rationales. Whilst France wanted an ‘economic government the Germans central focus was on price stability, and they were adamant that excessive deficits must be avoided. Thus the result was the Treaty on European Union 1992. Whilst Article 99 states that MSs shall regard their economic policies as a matter of common concern and shall coordinate them with the Council, Article 104 states that â€Å"Member States shall avoid excessive government deficits†. The Treaty requires MSs to satisfy two fiscal convergence criteria to qualify fully as EMU members: to keep general budget deficit/GDP below 3% and nominal gross debt/GDP below 60% (Article 104c Protocol) (hereafter the ‘rules of the SGP). Furthermore, the excessive deficit procedure (EDP) is defined and shaped by the interaction between the Council and the Commission. For Euro MSs, this can lead to financial sanctions because of possible negative spillover occurring throughout the Monetary Union as a result of established excessive deficits. However the procedure, as laid down by the Treaty, is in no sense mechanistic. Ultimately it leaves the discretion of whether to take action to the Economic and Financial Affairs Council (ECOFIN). The EDP protects MSs from action in the form of ‘forgiveness clauses which accommodate deviations from the rules, for example resulting from an idiosyncratic shock, given that MSs meet specified conditions. This means MSs are still able to participate in EMU (Article 104(c) 2a Article 104(c) 2b). For the debt ratio rule, the escape clause is ambiguous in its wording as the ‘satisfactory pace for approaching the reference value has not been defined and this has been interpret ed very freely and at the discretion of each MS. It has proved difficult to devise a formal rule covering all possible events. It was interesting to note, that the SGP provided a further detailed specification regarding the interpretation of the deficit ratio emphasising the importance placed on it, yet it remained silent on the debt criterion. This can be interpreted as the SGP effectively overlooking the debt/GDP ratio as being unimportant in the application of fiscal discipline. As Maastricht aimed at bringing into line the states whose fiscal history in previous periods had given rise to problems, Maastricht offered a great incentive of joining EMU successfully.[3] However, pessimists worried that ‘Maastricht fatigue would set in once countries were admitted to EMU. It was thought that countries had been forced to suck their stomachs in to squeeze into Maastrichts tightly tailored trousers, but upon EMU entry, they would expel their breath violently (Eichengreen 1997). Beyond doubt, a further mechanism was required to ensure that MSs sustained compliance. The EU faced two options; they could either continue to rely on voluntary agreements where MSs agreed to meet convergence criteria after EMU was fully operational or the EU could impose explicit rules that would elaborate on and give further instructions from Maastricht. Although the introduction of the SGP implied that the EU chose the latter, it soon came to light that in fact the EU had implicitly chosen the former. The Original Stability and Growth Pact Prior to the introduction of the Euro, the German government became extremely anxious about giving up the reputable Deutschmark in favour of the new single currency that would include fragile economies who lacked stability culture. Germany already maintained a low inflation policy, and through the SGP the German government hoped to limit the pressure other MSs could exert on the European economy. They hoped to remove the margin for discretion left by Article 104 of Maastricht by ensuring that the EDP would be implemented according to a predetermined timetable and the eventual sanctions would be levied according to a predetermined formula (Costello, 2001). However such an automatic sanctioning mechanism was considered inappropriate by some MSs. In 1996, the SGP was finally concluded[4] as being â€Å"far less mechanical than the initial proposal† (Fischer et al 2006). Based on two council regulations, it took the force of law, with decisions to be taken within the original standard legislative framework of the Treaty. Fiscal policy remained decentralised but the SGP hoped to combine restraint with flexibility, whilst representing a backbone of fiscal discipline in EMU to primarily address negative spill-overs from MSs (Fischer et al 2006). Although the Commission reserved its ‘right of initiative, the Council ultimately retained discretion in making decisions within an overall rule based framework. Whilst some argued that the SGP was â€Å"no more than a clear affirmation of Article 4† (Jacquet 1998), others suggested that the SGP builds on the Maastricht provisions (Fischer et al 2006), by presenting a monitoring process, based on Article 99, which combines surveillance through stability programmes and a quasi automatic warning system for countries suffering from excessive deficits based on Article 104, often referred to as the ‘preventive and ‘corrective arm. The preventive arm requires Euro members to submit stability programmes while non-Euro members present convergence programmes. Both are required to include the medium term objective (MTO), and if applicable, an adjustment path towards it. The MTO is required to be ‘close to balance or in surplus and the rationale is to ensure sustainable fiscal positions in the long run whilst also creating sufficient room for fiscal policy to smooth out fluctuations in the short run without violating the 3% deficit ceiling as specified in the SGP regulations. Furthermore, it is interesting to note that although the programmes must be submitted to the Commission, it may be examined by the ECOFIN Council which may choose to make its opinion public, and this can be understood as ‘naming and shaming. In addition, if the Council forecasts a deviance from the budgetary position it may choose to address a recommendation to the respective MS. However this is not obligatory, highlighting the Coun cils power as it can take it upon itself to apply peer pressure. The corrective arm however, in contrast to Maastricht, provides for a much stricter and formal procedure, designed with a rigorous course of action set with time limits, to enforce fiscal discipline in the SGP (Dutzler Hable 2005). Whilst an excessive deficit is established upon a breach of the 3% deficit or 60% debt rule under the Treaty provisions, the SGP nonetheless focuses on the 3% deficit ceiling. This is arguably, a mistake on the part of the SGP creators. The inability of monitoring deficits due to difficulty in time lags means that data is imprecise. It can take more than four years to detect disobedience reliably, which means that disciplining MSs is even more unlikely.[5] Therefore, focusing on the debt/GDP ratio would be more sensible. After all, it is the total debt stock that needs to be financed. Focusing on the short term requirement does not do much in preventing MSs from getting themselves into situations where they may need to be rescued as the Greek experience illustrates. Because debt is a persistent stock and not a flow, it can help policymakers in nation states to choose more suitable and reasonable plans, which will help lower the probability of nations facing a crisis such as the one faced by Greece. The persistence of a debt will help give governments an incentive to keep debt at lower levels in order to be able to adjust to unforeseen circumstances more ea sily. There is a question of how to set that debt limit; but that can easily be done using the empirical work of Reinhart and Rogoff (2009), and others, on the links between debt and growth rates. Nevertheless, the EDP clarified the following. Firstly, the ‘exceptional circumstances are defined as ‘an annual fall of real GDP of at least 2% meaning that countries will be automatically exempt from further action. Furthermore, a fall of between 0.75% and 2% may be deemed exceptional if MS provide evidence. The deadline for correction of excessive deficits should be completed in the year following its identification unless there are ‘special circumstances; these were not defined. As the rules in the SGP are insufficiently flexible, they allow for breaches that ultimately may undermine the operation of the SGP. However, because the procedural steps clarify that the timing between reporting a deficit above 3% GDP and imposition of sanctions should be no more than 10months, it means that, if no corrective action is taken in adequate time to correct the deficit by the year following its identification, sanctions will be imposed. Financial sanctions will be in the for m of non-remunerated deposits which will take the value of 0.2% of GDP and rise by one-tenth of the excess deficit up to a maximum of 0.5% of GDP. Additional deposits will be required each year until the excessive deficit is removed. If the excess is not corrected within two years the deposit will be converted into a fine; otherwise it will be returned. Ultimately, this means a MS can run excessive deficits for at least three years before their deposit is converted into a fine. Although the inability of monitoring deficits is unfortunate, the effect of legal and institutional weight given to the corrective arm means that the short term requirement of keeping government deficit below 3% is treated with much more seriousness than the preventive arm. This is ironic since in practice, the excessive deficit procedure is not properly enforced as no MS has yet been fined. The preventive arm on the other hand is enforced, yet its lack of formal and legal basis and no procedure to punish a failure to comply with the objective of a medium term balance further emphasises the lack of importance placed on the preventive arm. (Rostowski 2004). 3. Soft Law to Softer Law This chapter will provide a review of the SGP as a form of proper regulation up until the SGP crisis in 2003 which led to the consequent reforms. The hard versus soft law debate will be discussed. Difficulties facing the SGP after its Inception Whilst several Euro countries bettered their fiscal outcome by moving their budgetary positions into surplus, others such as Germany, France, Italy and Portugal remained trapped in high deficits (Fischer et al 2006). The implied emphasis on correcting deficits rather than preventing them (because on its sanctioning nature) induced a failure to achieve ‘medium term balance meaning that they had little scope to allow automatic stabilisers to operate once economic conditions deteriorated (Rostowski 2004). They were criticised as not being tuned into the pact and this failure of key MSs to respect the requirements of the SGP just a few years after its inception, triggered a heated debate regarding a potential reform on the architecture of the SGP (Fischer et al 2006). Though some may argue that countries would have faired worse had there not been a SGP[6], the operation of the pact brought to light issues which where nevertheless important. A continued period of low growth levels t riggered by the dot-com crisis in 2000, eroded budget balances to the point where fiscal policies had to become strongly pro-cyclical to respect the 3% limit (Wyplosz, 2008), highlighting the fact that the SGP encourages pro-cyclical behaviour. In addition, the SGP discouraged growth and economic reform, most importantly in the labour market. REFERENCE? Although these are major criticisms of the functioning nature of the SGP itself, whats more is that the SGP is perceived as being contradictory; although created as hard law it takes the effect of soft law. With a legally binding nature, there should be little room for discretion, however as mentioned the sanctioning is not automatically applied (Schelkle 2005) to countries who are in breach of the EDP but rather, the members of the Council are required to vote, and only by qualified majority can countries be declared to have excessive deficits (Rostowski 2004). The council composing of finance ministers from MSs, implies that not only is ECOFIN dependant but it is also partial (Schuknecht 2004). As concluded by Eichengreen and Wyplosz (1998), the SGP will in this respect have some, but not maximum, effect. As long as imposition of sanction remains a political decision in the hands of national governments, it is highly unlikely that large and influential states will be punished (Rost owski 2004). This was proven in the European Court of Justice (ECJ) crisis of 2003. Due to the fact that EU officials will be reluctant to levy fines and lose goodwill, EU decision makers will compromise, allowing the 3% deficit ceiling to be violated. MSs will be reluctant to incur fines and suffer embarrassment, and therefore governments will also compromise by modifying their fiscal policies just enough to obey the rules, and avoid forcing the EU to impose sanctions. Thus although the lack of hard law perhaps implies that the sanctions were to act as a deterrent for MSs from violating the rules, the presence of the sanctions which will ‘never be imposed provides no incentive whatsoever for countries to comply with fiscal discipline. This is not only in the best interests of the respective MS but for the best interests of EMU as a whole. Furthermore fines may adversely affect a MS, causing conditions to worsen, leading â€Å"to recrimination and dealing a blow to EU solidar ity† (Eichengreen Wyplosz 1998). It makes no sense to place emphasis on penalising MSs after the rules have been breached; rather the EU needs to do more to prevent these breaches from occurring. Not surprisingly, to date no country has yet incurred fines. Evidence suggests that the SGP has created divergence between different sized MSs (von Hagen 2005). With the three largest countries seemingly unwilling to push for underlying balance, the Pact seems to have worked well for a group of smaller countries (as well as Spain) (Annett, 2006).[7] This demonstrates that enforceability is not uniformly weak; generally small countries have respected the SGP provisions, the only exception being Portugal (Rostowski 2004). This suggests that either enforceability needs to be applied equally, or the pact must regain the support of the larger MSs, especially Germany and France who fought for the creation of the pact. Perhaps a more vital question is why the pact lost support of the key players in the EU. If governments do not believe fines will be imposed in bad times, what incentive do they have to run fiscal surpluses in good times? The following SGP crisis was therefore inevitable. The Original SGP Crisis In 2003, Germany and France established excessive deficits. However, the European Council (described as the ‘dozing watchdog in Heipertz Verdun 2004) voted to hold the EDP in abeyance as it is permitted to do so by the articles in the Maastricht Treaty, causing great uproar for the ‘existence of the pact. As described by Begg Schelkle (2004), â€Å"The ECOFIN council decision was widely interpreted as the death-knell for the Stability Growth Pact.† The Commission challenged this decision by presenting the case to the ECJ whose judgement[8] left many unanswered questions. This in turn led to legal uncertainty and the loss of credibility for the EU fiscal framework (Dutzler Hable 2005). More specifically the Council stated that France Germany had established excessive deficits. In the case of France, Council recommendations on basis of art 104(7) set a deadline for taking appropriate measures to reduce their deficit. Once the deadline was reached, the Commission observed France had not taken effective action upon the recommendations (Dutzler Hable 2005). The case of Germany differed slightly; although another deadline was established, in face of the economic slowdown facing Germany, the content of the recommendations was moderate. Upon reaching the deadline, Germany had, from the Commissions point of view, taken inadequate measures to implement Council recommendations. Thereafter the Commission issued further recommendations to the Council in order to advance with proceedings with regard to both MSs, and in particular, to take action in face of art 104(8) and art 104(9) EC respectively (Dutzler Hable 2005). Although, from the Commissions point of view, this shoul d have resulted in the Council immediately resuming the EDP (Dutzler Hable 2005), the Council upon voting, chose to suspend the EDP for both Germany and France. This decision was not unanimous; most of the smaller countries (who incidentally hold better fiscal positions) voted in favour of the Commissions recommendation, but the larger countries formed a blocking minority (Fischer et al 2006). As commented by Dutzler Hable (2005), in essence, the ECJ had to deal with two claims by the Commission. On one hand it was asked to annul the decision of the Council of not adopting the formal instruments contained in the Commissions recommendations pursuant to art 104(8) and 104 (9). On the other hand it was asked to annul the Councils conclusions, because it involved the decision to hold EDP in abeyance. The Court, in its judgement[9], demonstrated an appreciation of both parties. It ruled that the Council can and must hold the EDP in abeyance if the majority in Council does not vote to sanction the MS in question. However, it ruled in favour of the Commission in stating that the Council cannot adopt political conclusions (Dutzler Hable 2005).The judgement proved fatal to the existence of the pact as it failed to address important questions and clarify the institutional balance of powers between the Council and the Commission. It not only called into question the political willingness of countries to adhere to the prior agreed fiscal rules but it remains unsettled if the issue is to arise again in the future. Although Dutzler Hable (2005) comment that it remains unclear whether the EDP can be continued without the Councils approval, it is likely that the sanctions will never be applied without the backing of MSs as this would never be politically accepted. Therefore the question of whether the SGP effectively enforces MSs to obey fiscal rules is brought to light. The extent to which the system of fiscal surveillance and economic policy coordination binds the MSs and institutions remains unclear. The 2003 crisis called for a refocusing of the SGP and a need for political agreement opening the path to reform the SGP architecture (Begg Schelkle 2004), as supported by many of its critics. Question of Reform? To restore the credibility of the so called ‘hard-law fiscal coordination, in 2004 the Commission â€Å"suggested that an enriched common fiscal framework with a strong economic rationale would allow differences in economic situations across the enlarged EU to be better catered for and would contribute to greater credibility and ownership of the SGP in the MSs building on the culture of sound fiscal policy established in the EU over the last decade† (Commission 2006). In 2005 the reforms took place (legal provisions in EU Council (2005a,b)). The revised version arguably offers some answers to what was known as the inadequate SGP. There are changes in the preventive/corrective arms and the EDP, for example a variety of standards such as the position in the cycle, the nature of expenditure and the level of public debt must be taken into account to calculate whether a MS is in breach of the 3% deficit rule (Couere Pisani-Ferry, 2005), emphasising further flexibility. Contrastingly, there are no changes in governance. The voting methods and basic procedures remain the same, as changes to these would require modifications to the Maastricht treaty. Though the changes are welcomed (Fatas Mihov 2003), the SGP may still be identified as the ‘dog that would never bite (Heipertz Verdun 2004). For many critics, it was unruly that a softer pact was coming into existence, as a harder pact was desirable. However the Commission role has been strengthened considerably in that it can now give early policy advice and is under obligation to file a report if a budget deficit has been violated. The changes are summarized in Table 1. Original Pact Reformed Pact Preventive Rule: Medium-term Objective (MTO) All MS have an MTO of â€Å"close to balance or in surplus† Country-specific differentiation of MTO depending on debt level and potential growth, allows for 1% deficit if debt is low In case of Deviation from MTO No adjustment path or action Specified Commission can issue direct â€Å"early policy advice;† adjustment path specified as a minimum fiscal effort of 0.5% of GDP and countercyclical; structural reforms can be taken into account to allow for deviation Corrective Rule: Monitoring if Deficit Exceeds 3% No obligation for Commission to prepare report; no mitigating other relevant factors (ORF) specified Commission will always prepare report, taking into account whether deficit exceeds investment expenditure. ORF can justify temporary â€Å"excess† Debt Position No specific provisions â€Å"Sufficiently diminishing† debt can be taken into account qualitatively; Systemic pension reforms can be taken into account for five years if reform improves long-term debt position Excessive Deficit Procedure Excessive deficit must be fixed in year following identification; if not, a noninterest bearing deposit must be made with the Commission that is turned into an â€Å"appropriate size† fine if situation persists; No ‘minimal fiscal effort defined; No repetition of steps foreseen Correction can be postponed for one year if ORF applies; Minimal fiscal effort of 0.5% of GDP to reduce excessive deficit required; Deadlines for correcting deficit can be extended if necessary steps are taken or if unforeseen adverse circumstances occur Table 1: Schelkle 2007 Analysis Under Soft and Hard Law Hard law instruments can be distinguished from soft law in that they are fully binding. When MSs do not comply with these laws they are breaking the law and may be sanctioned accordingly. Contrastingly soft law instruments are negotiated in good faith and provide a new framework for cooperation between MSs. Whilst favouring openness and flexibility, policy processes follow a codified practice of benchmarking, target setting and peer review. This allows national policies to be directed towards certain common objectives. The essence of it is not to provide a single common framework but instead to share experiences and to encourage the spread of best practice. By avoiding regulatory requirements, it allows experimentation whilst fostering policy improvement and possibly policy convergence. These can be seen as managing techniques which provide means to promote policy coordination without further undermining sovereignty. An example in the general EU context is the OMC method used under t he Lisbon strategy. Whilst soft law is easy to agree on but hard to enforce, hard law instruments on the contrary are difficult to agree on but easy to enforce. According to Wessels and Linsenmann (2001), EMU introduced both hard coordination in fiscal policy in the form of the SGP and soft coordination in economic policy in the form of Broad Economic Policy guidelines (BEPG). If a country deviates from the guidelines the Council can as in the case of Ireland adopt a non-binding recommendation against the respective MS (Jacquet Pisani-Ferry 2005). Unlike the EDP, the guidelines are not supported by any sanction. However, there is a fixed format of reporting and a predetermined timetable is followed, rather than allowing for ad hoc decisions by policy makers that set the agenda for discussion and action. Therefore, upon this insight, it suggests the SGP takes the form of hard law in that it is legally binding, but soft law in that enforcement is not automatic. Of course there are m any shades of softness in the SGP framework. The preventive arm with its close to balance or surplus provision, without sanctions is rather soft. By contrast the corrective arm with the ultimate threat of sanctions comes much closer to hard law (ESB working paper 2004.)This is not effective as it implies that only when things are wrong, is it time to sanction and this is an ultimate downfall of the SGP design. It is therefore confusing that following the reforms, critics claimed that the ‘hard law institution for fiscal surveillance has become soft. Furthermore, critics claim that the SGP has become so soft that the functioning of the SGP is jeopardized (Schelkle 2007). Schelkle (2007) refutes this claim by arguing that the revised pact will be better suited in constraining MSs in their fiscal behaviour since the new rules will be perceived as binding constraints that shape domestic efforts. An apparent paradox exists; the weakening of obligation to the pact may in fact make it difficult to evade, although it implies a softening of the governance framework. Abbott et al (2000) have proposed that there are three dimensions of governance all of which characterise the degrees of legislation; obligation, delegation and precision. This allows one to compare and contrast the original SGP with the reformed version for effectiveness of instruments and for the relationship between these dimensions. Obligation has been defined as a commitment arising under rules. At the two ends of spectrum, hard law is defined as sanction-able obligations whereas soft law are norms which are too general to create specific duties. Delegation, whilst at the hard law end of spectrum would mean an international court or organization given powers to resolve a dispute, contrastingly with the soft law end, which implies diplomacy. Precision defines whether a rule indicates the type of action that needs to be taken and by whom it needs to be taken in order to comply with the rule. For example, the BEPG state the objectives, but not how these objectives could be met. As the following table summarises the changes from the original to the revised pact, it can be understood the changes were not a uniform move from hard to soft law. Original Pact Revised Pact Obligation high to medium: Quasi-automatic sanctions under EDP but political de

Sunday, October 13, 2019

The Final Act of The Crucible :: The Crucible Arthur Miller Essays

The Final Act of The Crucible The final act in the play, act four, fits into the plot three months later, after the court case and all the hangings of the condemned have taken place. It is a scene full of tragedy, defeat, misjudgement and misery. The audience should be left finding themselves asking questions, as 'The Crucible' is a reminder of how evil can be committed by everyday people. This final act shows all the journeys the characters have travelled, in some cases from beginning to end. The way in which some of the characters act reflects the society they live in where in some cases the characters will be of principles and in others they will not. This is evident in the play with two of the main characters, hale and parries who both prefer life to personal integrity. Hale sees this moral error and speaks to Elizabeth of it , 'Life women, life is god's most precious gift; no principle, however glorious, may justify the taking of it' parris does not see this error and mistakes principle for self protection of his life his authority and of those whom he suspects of despising him. Looking at the complete opposite, showing the different priorities within this society and community are the people that lose their lives as they realise the importance of their own principles and integrity. This is evident with the proctors when the play reaches its climax in act four with two of the main characters, john and Elizabeth proctor. John is deciding whether to confess to an accusation he didn't commit, or to deny it and die. John realises the importance of his own integrity and becomes a different man who would rather not lie but tell the truth and be executed. This shows strength and how he is a man of great principle. 'is it fraud.am I not that man.my honesty is broke,Elizabeth ;I am no good man.nothings spoiled by giving them this lie that were not rotten long before' with some strong advice from his wife he chooses honestly and goes to his death with a few others who also refused to confess. The audience will see that this shows commitment and dedication when a man would die rather than confess to a false accusation. In modern day life most societies would not behave like this because people would not be put in this life/death situation. In general I belive most people would rather tell the truth rather than lie and get a bad name for themselves. Elizabeth ends the play with a scene of tragedy. The stage directions have a ray of light fall upon her.