Wednesday, July 31, 2019

Genetically Modified (Gm) Foods Essay

The Term â€Å"Genetically Modified (GM) foods† refers to crops produced for human or animal consumption using the recombinant DNA techniques. The world population is growing in a fast pace such that it is expected to double in the next 50 years. Supplying food to this growing population is a major challenge. GM foods can be considered as the major solution for the food security. These foods are produced by the modification of crop plants in the laboratory to enhance desired traits, mainly biotic and abiotic stress tolerance, improved nutritional content, etc. These traits were earlier carried out through conventional plant breeding, but these breeding methods are very time-consuming and often not very accurate. However, with recombinant DNA technology, plants with the desired traits can be produced, very rapidly and with greater accuracy. Process Recombinant DNA technology begins with the identification and isolation of a gene which expresses a desirable trait, with the aid of restriction enzymes. Then a recipient plant or animal is selected, and the gene is inserted and incorporated into its genome through a vector such as agrobacterium, through a gene gun shooting an elemental particle covered in plasmid DNA, electro oration, or a virus. Once part of the recipient, the newly inserted gene becomes part of the genome of the recipient and is regulated in the same way as its other genes. For example, we can isolate a gene responsible for conferring drought tolerance, introduce that gene into a plant, and make it drought tolerant. Crops can also be transformed using non-plant genes such as the use of Bt genes, in cotton and many other crops. Bt, or Bacillus thuringiensis, is a naturally occurring bacterium that produces crystal proteins that are lethal only to insect larvae. Bt crystal protein genes have been transferred into cotton, soya, corn, brinjal, enabling the plants to produce its own pesticides against insects such as the American bollworm, European corn borer. Bt genes are lethal only in the acidic medium, insect gut environment and do not get activated in an alkaline environment, prevalent in humans and other animals that feed on these plants. BENEFITS OF GM FOODS Drought tolerance/salinity tolerance: As the world population grows and more land is converted for housing instead of food production, farmers need to grow crops in non-arable land, previously unsuited for plant cultivation. Creating plants that can withstand long periods of drought or high salinity in soil and groundwater will help people to grow crops in large, barren wetlands/dry lands in our country. Pest resistance: Insect Pests are causing devastating financial loss for farmers, sometimes starvation. Indiscriminate use of pesticides is also a potential health hazard, and the run-off of agricultural wastes from excessive use of pesticides and fertilizers poisons the water supply and harms the environment. Ex: Growing GM foods such as Bt brinjal helps reduce the application of pesticides substantially, as 80 per cent of brinjal crop are infested with pests. Disease resistance: There are many viruses, fungi and bacteria that cause plant diseases and thereby contribute to yield loss. Plant biologists are working to create genetically engineered plants with resistance to these diseases. Ex: Developing sheath blight resistance in rice. Cold/heat tolerance: Farmers are facing the vagaries of weather, like unexpected frost or excess heat due to climate change. Researchers have identified an antifreeze gene from cold-water fish and introduced it into plants such as tobacco and potato to study the efficacy of the plant to withstand extreme temperatures. Also, research is on to identify plants that can survive excess heat, submergence tolerance etc. Nutrition: People in our country suffer from various nutrient deficiency diseases due to malnutrition. Most of the people rely on rice as a major staple food. But rice does not contain adequate amounts of all necessary micro and macronutrients. If rice could be genetically engineered to contain additional vitamins, iron and/or minerals, nutrient deficiencies could be alleviated. For example, MSSRF (M. S. Swaminathan Research Foundation) are working on improving the iron content. Phytoremediation: Soil and groundwater pollution continues to be a problem in many parts of the world. Plants such as poplar trees, brassica spp are being genetically engineered to clean up heavy metal pollution from soil contaminated with metals like lead, arsenic, and cadmium. Concerns Most concerns about GM foods fall into three categories Environmental hazards: Unintended harm to other organisms; reduced effectiveness of pesticides; gene transfer to non-target species are some of the concerns of the environmental concerns of GM crops. Human health risks: Allergenecity, unknown effects on human health are some of the main health concerns. For example, Pioneer Hi-Bred tested the allergenicity of a transgenic soybean that expressed a Brazil nut seed storage protein in hope that the seeds would have increased levels of the amino acid methionine. The tests (radio allergosorbent testing, immunoblotting, and skin-prick testing) showed that individuals allergic to Brazil nuts were also allergic to the new GM soybean. Economic concerns Environmental activists, religious organizations, non-governmental organizations have criticized agribusiness for concentrating on profits through GM Foods without concern for potential hazards. They also criticized the government for failing to start a regulatory body. All GM crops should be subjected to thorough regulatory processes and toxicology and allergenicity tests data needs to be shared with the regulatory authorities prior to commercialization. Government Role Many new plant genetic engineering technologies and GM plants have been patented, and patent infringement is a big concern of agribusiness. So, bringing GM food to market is a lengthy and costly process. This is a genuine concern and therefore it is important for the government to fund and support public sector research in reputed universities or agriculture institutes to ensure quality research and also keep prices under check. Conclusion Government should check all the hazards, environmental, health and economic concerns and then decisions should be taken to commercialize a GM product. Though ambiguity during the process, once they get regulatory approve, it implies that they have been subjected to stringent scrutiny and are safe for commercial release. So, the governments around the world are hard at work to establish an effective regulatory process to monitor the effects of and approve new varieties of GM plants. According to M S Swaminathan, the chairman of the National Commission on Farmers, GM foods have the potential to solve many of the world’s hunger and malnutrition problems, and can protect and preserve the environment by increasing yield and reducing reliance upon chemical pesticides. Yet there are many challenges ahead for governments, especially in the areas of safety testing, regulation, international policy and food labeling.

Tuesday, July 30, 2019

Mobile Phones Should Be Banned While Driving Essay

The risk of getting into a car accident while talking on a mobile phone while driving is growing as the number of mobile phone subscribers increases. Engaging in a phone conversation on a mobile phone while driving distracts the brain and delays reaction times which are more likely to cause drivers to swerve between lanes, slow down and miss important signs. Mobile phones should be banned while driving because they are risky. An Australian study conducted in 2005, estimated that the risk of a collision when using a mobile phone was four times higher than the risk when a mobile phone was not being used. 456 drivers who owned phones, were involved in crashes. By collecting these drivers’ mobile phone records, scientists determined those who made telephone calls just before the time of the crash. Case crossover analysis of mobile phone habits enabled the scientists to calculate the increase in risk. Even hands-free devices were not that safer. An earlier study in 2003, integrated data from questionnaires, mobile phone companies and crash records kept by the police. It found that the overall relative risk (RR) of having an accident for mobile phone users when compared to non-mobile phone users averaged 1.38 across all groups. The RR was then adjusted for kilometers driven per year and other crash exposures. When this was done RR was 1.11 for men and 1.21 for women. The study also revealed that increased mobile phone use correlated with an increase in RR. However, there are some objections to the call for the ban of mobile phone use while driving. According to the Associated Press, CTIA – The Wireless Association, a mobile phone trade group in America, objected to a complete ban. Its vice-president, John Walls, is reported as saying, â€Å" we think that you can sensibly and safely use a mobile phone to make a brief call.† Although there are objections, there is sufficient evidence to prove that using a mobile phone while driving is risky. Using a mobile phone while driving, taxes the cognitive skills of the brain at the expense of driving. The vast majority of drivers have no idea that using the mobile phone while driving is risky. >argumentative essay<

Monday, July 29, 2019

A Christmas Carol Essay Example for Free (#13)

A Christmas Carol Essay Christ (509) , Charles Dickens (378) , Christmas (159) , A Christmas Carol (87) , Christmas Carol (60) , Bob Cratchit (35) , good extended (7) , Powerful (1) company About StudyMoose Contact Careers Help Center Donate a Paper Legal Terms & Conditions Privacy Policy Complaints ? The Ghost of Christmas Past is the epitome of the contradictions of youth and age as well as winter and spring. The ghost has a beam of light jetting from his head and Scrooge extinguishes the light when he feels that he is unable to bear any of the other memories that the ghost is showing him. By showing Scrooge his past, the ghost has makes him realize that he has changed drastically from who he was when he was young and that his interests have turned from people to money. The Ghost of Christmas Present is a friendly, generous giant who shows Scrooge the homes of Bob Cratchit as well as Scrooge’s nephew, Fred. In both homes, good will is extended toward Scrooge although he has never shown the same good will to either his clerk, or his nephew. As the time passes the ghost, who was young when he first appeared to Scrooge, seems to age in the way that the present changes to the past with the passing of time. Then, just as he is approaching his last moments, the ghost shows Scrooge that want and ignorance are two products of society that will destroy it if not combated against by those who can prevent both social ills. The Ghost of Christmas Yet to Come is a dark phantom, and the only part of this ghost that Scrooge sees, beyond his black robe, is a hand with which he points at the things Scrooge is to take notice of. This ghost shows Scrooge how he will die, and it is a sad scene. Scrooge begs the ghost to tell him that this fate can be changed if he changes his ways, but the ghost doesn’t answer him. Scrooge is left only with the knowledge that he must change and become a more charitable person if he is to alter the fate that the ghost revealed to him. Last of the major characters is Tiny Tim who is Bob Cratchit’s youngest son. He is a lame boy with a cheerful nature despite his ailments and symbolises hope. At the Christmas church service, Tim hopes that people will look at his ailment and be reminded of how Christ healed the lame and blind. Tiny Tim’s guileless nature impresses Scrooge, and when he learns from the Ghost of Christmas Present that Tiny Tim will die soon, Scrooge is saddened. The Ghost of Christmas Yet to Come also shows the Cratchit house without Tiny Tim, and the vision is a sad one. Scrooge is touched by the gentleness of the little boy and wishes to prevent this fate from occurring. There are also some minor characters in ‘A Christmas Carol’ but who also play an important part of the story. Firstly there is Fred, Scrooge’s nephew (his deceased sister’s son), is a pauper, but a cheerful man nonetheless. He comes to the counting house to wish Scrooge a merry Christmas and invite his uncle to dine with himself and his wife on Christmas Day. Scrooge, however, refuses to associate with his nephew. Fred actually pities his miserly uncle because although he has all that money, he is still alone and unhappy. Fred insists that he will visit Scrooge at Christmas every year no matter whether or not Scrooge ever agrees to dine with Fred and his wife. After his visitation by the three ghosts of Christmas, Scrooge attends the Christmas dinner at Fred’s home and enjoys himself immensely. Secondly there is Mr. Fezziwig who was Scrooge’s kind and generous employer. He revisits the memory of his employment with Fezziwig when the Ghost of Christmas Past shows him Fezziwig’s great Christmas party. The memory of this kind employer makes Scrooge feel a twinge of regret at how poorly he treats Bob Cratchit, his own employee. Last of the minor but nonetheless important characters is Belle, the young woman who once loved and was loved by Scrooge. Unfortunately, his love for her was replaced by his love for money, and she did not want to be second in favour to gold. She left him and went her own way after that and married. Scrooge remained alone. The Ghost of Christmas Past reminds him of why Belle left him and shows him where his life began going the wrong direction While reciting ‘A Christmas Carol’ I noticed some themes that were entwined within the story, the most important themes of the story are stated more or less clearly by characters in it. The first of these might be Marley’s saying, â€Å"Business†¦ Mankind was my business†. Where Scrooge sees business in the familiar sense of trade and finance, Marley now sees that one’s â€Å"business† is what one should do in life, duty or obligation. Mankind is or was not just Marley’s business of course, but Scrooge’s business, your business and mine, in fact, everyone’s. Secondly, Scrooge’s unkind remark that poor people should die and â€Å"reduce the surplus population† brings us to another theme of the story. When Scrooge asks if Tiny Tim will die he is reminded of these words. Why? Because the â€Å"surplus population† is not an abstraction but real individuals. Scrooge is told by the Ghost of Christmas Present to find out â€Å"What the surplus is, and where it is† before making such statements. Another theme is that change is possible however set we are in our ways. Dickens imagines the most miserable and hard-hearted man he can, and shows how he can be reformed if he sees his responsibilities. The message that Dickens is trying to get across is one of happiness. If you live your life in seclusion, only speaking to those who you must and always being nasty, you can never be truly happy. Dickens uses Scrooge as the epitome of selfishness and we are supposed to realise this and contrast it with Tiny Tim’s attitude of caring and sharing. Tiny Tim is the epitome of joy and hope; he is the person in the book with who we are supposed to learn from. The ghosts are the conduit from which we are to understand the past, present, and future of an unhappy man. A Christmas Carol. (2017, Sep 23).

Sunday, July 28, 2019

Scottish Education Essay Example | Topics and Well Written Essays - 2750 words

Scottish Education - Essay Example The government was, at least in terms of its rhetoric, attempting to shatter what it regarded as the cozy relationships which had developed within the education community since 1945. As the public sector had expanded, so had the role and influence of professionals within the welfare bureaucracies (Prowle, (2000). Prevailing assumptions about the organization and the management of the schooling system were to be challenged. The Conservative governments promised that local government and educational professionals would no longer be left to determine the management of the schooling system. Central government would take a more direct role in shaping the management of schools at local level than had been the case in the forty years or so following the Education Acts of 1944 (England) and 1945 (Scotland). In both Scotland and England, these Acts had established a national system, locally administered. Responsibility for the administration of the system was devolved to the educational professionals. Within the public sector, the term 'administration' was used, whereas the term 'management' was judged to be more applicable to the private sector. That central government from the late 1970s increasingly referred to the 'management' of the education system rather than to its 'administration' was not just a symbolic change. It signaled a shift in attitude by central government towards the post-war 'partnership' which had existed between central government, local government and the teaching profession. Broadly speaking, the roles adopted by these three partners had been as follows: that central government in consultation with the educational professionals would enact legislation and provide resourcing; local authorities... During the 1980s and 1990s, managing the system of state schooling became an increasingly politicized issue in the United Kingdom (UK). The government was, at least in terms of its rhetoric, attempting to shatter what it regarded as the cozy relationships which had developed within the education community since 1945. As the public sector had expanded, so had the role and influence of professionals within the welfare bureaucracies (Prowle, (2000). Prevailing assumptions about the organization and the management of the schooling system were to be challenged. The Conservative governments promised that local government and educational professionals would no longer be left to determine the management of the schooling system. Central government would take a more direct role in shaping the management of schools at local level than had been the case in the forty years or so following the Education Acts of 1944 (England) and 1945 (Scotland).In both Scotland and England, these Acts had establi shed a national system, locally administered. Responsibility for the administration of the system was devolved to the educational professionals. Within the public sector, the term ‘administration’ was used, whereas the term ‘management’ was judged to be more applicable to the private sector. That central government from the late 1970s increasingly referred to the ‘management’ of the education system rather than to its ‘administration’ was not just a symbolic change. Strain was evident among the partners in England from the mid-1970s onwards.

OReilly v Mackman Essay Example | Topics and Well Written Essays - 1500 words

OReilly v Mackman - Essay Example This case is primarily one which was concerned with the procedural niceties of judicial review, laying out the principle that public law claims were to be dealt with exclusively by judicial review and private law claims were to be dealt with by Writ. Therefore this decision set a precedent in that it resulted in a locking of the remedies of injunction and the declaration that had entered the realm of the public domain by Common law, permanently into that domain. This does not appear to have been the original intent behind Lord Diplock’s judgment, for he has clearly stated that the â€Å"Order 53 does not expressly provide that procedure by way of application for judicial review shall be the exclusive procedure available† for obtaining remedy by injunction or declaration for infringement of rights under public law2. However, the fact that in this case, the invocation of a Writ was deemed to be an abuse of the process of the Court resulted in the subsequent position in law that only through the invoking of public law procedure could the remedies of declaration and injunction be obtained under judicial review. The orthodox approach to judicial review is based upon the absolute and indivisible sovereignty of the British Parliament3. The O’Reilly case also established that if the nature of the claim that is being made is that the public body acted ultra vires or outside the scope of its statutory powers, then this is a matter for judicial review. The ultra vires doctrine is based on the principle that all legal duties are created by Parliament4, therefore, the judicial function extends to the scope of controlling of the exercise of such statutory powers.  

Saturday, July 27, 2019

Describe the empirical and rationalistic arguments for the existence Essay

Describe the empirical and rationalistic arguments for the existence of God - Essay Example Using this framework, rationalists argue that although no one can claims to have ‘seen’ God, there is enough circumstantial evidence to prove his/her existence. For example, the beauty and splendor of the natural world with its own myriad of complexity and design suggests the existence of a benevolent creator. This is the argument some creationists employ to counter evolutionary biologists’ theories of random genetic mutations. The regularity of natural phenomena such as the rising of the Sun, the waxing and waning of the moon, the presence of other life-forms on earth, are all examples of the work of the omnipresent (yet unobservable) creator or God. Rationalists further argue that the tendency for higher animals to exhibit altruistic behaviour and unconditional love can be taken as more proof. At a broader level, the evil forces in the world need a countervailing positive force in the form of God. Empiricists, on the other hand, present complementary lines of th ought. According to Empiricists, some of the transcendental experiences that occur to humans, whereby the realm of consciousness if elevated to another higher level is proof enough of God’s existence. Indeed, most such transcendental experiences coincide with a religious event such as prayer or divine music, making the associations between the two quite strong. These divine experiences of God’s presence are not usually grasped through sense organs in the course of daily life, but require special dedication to the faith and divinity for the revelation to occur.

Friday, July 26, 2019

Heart of Darkness Essay Example | Topics and Well Written Essays - 1000 words - 2

Heart of Darkness - Essay Example At this point the fact to be admitted is that when Joseph Conrad wrote Heart of Darkness, and even at the time presented in the story, the British colonial empire was at its zenith. It enjoyed colonies in Hong Kong, Malaya, India, and Africa. On the one hand, the work allows the reader to look into Congo through the eyes of an imperialist. For example, the very beginning of the novel points out that Thames is â€Å"a waterway leading to the uttermost ends of the earth† (Conrad 6). Thus, some critics argue that this point itself reveals how racist Joseph Conrad is. However, the mere fact is that the novel puts forward the message that even the notion of civilization is an illusion. To illustrate: for Marlow, reaching Congo is a realization of the hollowness of his own notion of civilization. He fails to understand why the cannibals employed on his ship should not eat the other passengers (Conrad 57). Also, he feels that the cannibals possess no morality and conscience so that t hey can control their own basic animal desires. However, in the same situation, Marlow reaches the conclusion that the people along with him on the ship must not look so appetizing. It is ironic here to note that the same civilized Marlow who believes that the cannibals have no moral values proves that if he were in the position of the Africans, he would do the same, too. In other words, Conrad effectively portrays that the concept of civilization and enlightenment are rather superficial in nature. Despite the so-called civility, there is an underlying beast in humans that just comes out in the right circumstances. In other words, in the case of Marlow, the trip to Africa made him understand the basic animal-like tendencies in humans that thrive in the wild. Also, he realizes the fact that the civility the Europeans try to introduce in the wild is rather phony in nature because the cruelties of the wild are not crueler than the cruelties of imperialism. Admittedly, one cannot deny t he fact that Conrad was an imperialist. It becomes evident from the fact that Marlow is highly careful to ensure that he does not fall prey to the charms of the wild as happened to Kurtz. While Kurtz admitted the rules of the wild, Marlow is not ready to descend into that darkness. Thus, one gets the insight that instead of rejecting Western culture and ideals, the purpose of Conrad is to point out that most of the time; the Western society is not functioning in the way it is supposed to function. In other words, the Western ideals fail to perform in a more human way than the ideals of the savages. Another perfect example is the way the slaves are treated by the West. He says â€Å"they were dying slowly---it was very clear. They were not enemies, they were not criminals, they were nothing earthly now† (Conrad 42). Again, one has to remember the fact that Conrad resorted to such a statement at a time when imperialism was at the zenith of its power around the world. Though it is possible for critics to claim that one can find fragments of imperialist ideologies in the work of Conrad, they cannot forget the fact that Conrad expresses in clear terms as to how ones morality and conscience will condemn the savagery committed by European imperialism as much as one condemns the savagery of the wild. Here, one gains the insight that Marlow - the conscience of Conrad - is in constant conflict with the

Thursday, July 25, 2019

Individual Project Essay Example | Topics and Well Written Essays - 2750 words

Individual Project - Essay Example In international business, it is interesting the very many diverse cultures that one can find in such forums; it is thus impossible that cultures from one’s own country can be carried and applied to the interaction with these other countries with the expectation of success (Hill, 2008). Management cannot be undertaken exclusively without a proper understanding of culture because it is only in this way that people from diverse cultures can truly work together. Part 1 Explain each model and how it can be used to investigate national preferences. Models of cultural dimension have been developed by several organizational experts namely Hofstede and Trompenaars who through a series of research studies developed dimensional perspectives that would enable people understand how to work with other people from different cultures and ensure that business is completed. The first dimension sought to allow for the comprehension of the two cultures of individualism and collectivism (Johnson & Turner, 2009). They stated that people from individualistic cultures had an inclination to choosing their own affiliations within the workplace and often preferring to work alone. Alternatively, those people from the collectivist cultures were often found working in varied groups aligning themselves to one another based on age and religion among other interests (Edwards & Rees, 2006). The second dimension sought to measure the element of how people within the organization perceived power differences (Johnson & Turner, 2009). There are those people who come from cultures where there are small power differences and are thus more inclined to a consultative and democratic method of handling issues. These types of people have been known to relate to their peers and others with equality and respect and when placed in subordinate positions, demand the right to contribute to decision making. In contrast, those from cultures with a large power distance have got great fear and respect for t hose in authority (Edwards & Rees, 2006). People have different ways of preparing themselves for unknown events; as such, the weak verses strong uncertainty avoidance was another dimension that Hofstede determined. Some people come from cultures where there are explicit rules on avoidance that allow them to cope with aspects of the unknown (Keeley, 2001). These people have got specific routines and structures for accomplishing tasks and in the context of employment, have got a much higher ability of sticking with one employer for a longer time that their counterparts. They have also been known to identify danger from a distance and often accredited for the development of safety regulations and guidelines within an organization. Those people who come from communities that have got weak uncertainty avoidance have got a more flexible and care free lifestyle with an inclination for engaging in life threatening and informal activities. Within the context of employment, these people often have an inclination to change not only their employers but also their employment status from time to time (Edwards & Rees, 2006). They are also more accommodative of other people’s ideas and concepts often allowing more than one concept to run simultaneously with another one allowing for variety of fresh thoughts, ideas and change within the organization. Various values are embedded into these cultures with emphasis being placed in different areas that vary from one culture to another. Sensitivity to masculinity and femininity

Wednesday, July 24, 2019

Life of slaves in the Caribbean Essay Example | Topics and Well Written Essays - 750 words

Life of slaves in the Caribbean - Essay Example According to Shepherd (25), slavery, colonialism effects and several cultures diversely represent Caribbean. Slavery as an establishment was based on the platform of submission and dominance. The occurrence of slavery is experienced in a developed society’s notably the United States. When the Europeans arrived in the Caribbean Islands, constant change was effected. Introduction of the plantation system and inhabitants loss amounted to repercussions in the islands. The systems of plantation consisted of a powerful class, lower class, and a wealthy class. This is because the plantation systems and labor were required for prosperity. Slavery was a solution to the labor force for the capitalist class. According to Engerman & Barbara (43) Slavery played a fundamental function in the economy of the island hence sugar became the chief economic ingredient. During slavery, the economy of the Caribbean islands expanded leading to increased families disposable income from farming activit ies. Triangle trade was caused by demand in slaves who were required to cultivate crops such as sugarcane. European ships stopped in the African oceans to trade in metals, liquor, weapons, and ammunitions that were taken from captives in during raids and wars; furthermore, sugar and salt were exchangeable for slaves. Approximately fifteen million slaves were transported through the Oceans later settling into the Caribbean Islands. Conditions in the ship were not favorable. A lot of concentration was on the healthiest and young people because of their worth in America. History of slavery Slavery in the Caribbean islands dates from the time when population was required to manufacture sugar being the main trade. The white servants had earlier come before the African slaves. Although the white servants did not come in huge numbers, they were rewarded after contracts. During this period, workers who came from Barbados were kidnapped. Women acted as house cleaners while men operated as se rvants to the slave owners. Most Jamaicans and Irish girls went to work in the island. Rules were set for slaves as a tool for control purposes in the agricultural fields. The owners of plantations allowed slaves to undergo marriage and baptism. Effects of slavery in the Caribbean Human suffering increased because the harsh living conditions. Slaves were kept in dirty rooms and had nothing to eat and drink. Many people suffered from increased violence. Several slaves captured died along the journey. During this period, people were kidnapped in their fortified houses. Before Europeans got involved in exporting slaves, the African continent was made of smaller tribes, which warred during conflicts hence animosity between factions. The groups involved in war switched from the old habits of fighting with the coming of the Europeans. Most people lost their lives in the process of working in the European firms. According to Kiple (89), the harsh weather conditions made the Africans sick h ence causing death. In the plantation fields, Africans were often subject to attacks and were eaten by wild animals. African women were subjects of rape and this caused psychologically depression. Poverty affected Africans because of lack opportunity for enrichment through working for the Europeans. Slavery created an opportunity for underdevelopment because no African could attain formal education. The Europeans regarded Africans as monkeys. Frustrations became a benchmark in the Caribbean Island. People resorted to drugs, which could console during the working periods. Slavery created enmity between the Europeans and Africans because the Africans were recipients of improper treatment. Decrease in population was evident because most Africans died in the process of working for the Europeans in their bushes. If one did not work as per required by the bosses, punishment was the recipe. The end of slavery According to Kiple (67), after all the suffering of the Africans in the Caribbean and Western

Tuesday, July 23, 2019

Statement of purpose Essay Example | Topics and Well Written Essays - 500 words - 11

Statement of purpose - Essay Example This will add onto my competence as a member of the society because the family is the basic unit of the society. Clinically, my pursuit of this program is meant to advance my knowledge of health assessment. Prior studies and internships have underscored to me the need to have the highest level of competence in examining a patient’s medical issue in order to pick on the most suitable intervention that addresses that issue. Additionally, I seek to advance my knowledge of research methods in nursing because I reckon that as a registered nurse, I have a responsibility to generate knowledge, share it with other nurses and contribute to the overall growth and development of the profession of nursing (Codina 266). I seek to pursue this program with an interest of augmenting the skills of identifying and utilizing best practices in my work as a committed registered nurse. The other interest I have in pursuing in this program is to acquire knowledge of managing acute and chronic illnesses. I developed this interest after witnessing how disruptive the effects of such illnesses are to the family. A sizeable portion of scarce family resources goes to the care of chronically ill family members. Besides this economic impact, caregivers of the chronically who lack strong defences can develop depression. My endeavour is to use the knowledge I will get from this course to devise affordable and accessible interventions that can help address the economic, social and psychological toll that acute and chronic illnesses have on both patients and their families (Codina 262). It would be fulfilling to me to see families living happily without being put down by the sickness of one of the members. My value and high esteem for the family unit is one of the things that justify my fitness for the Family Nurse Practitioner program. The clinical hours I have handled in the previous educational levels and in my internships have

The Development and Use of the Six Markets Model Essay Example for Free

The Development and Use of the Six Markets Model Essay Introduction The idea that business organisations have a range of stakeholders other than shareholders is obvious. Yet stakeholder theory has not guided mainstream marketing practice to any great extent (Polonsky, 1995). To use the theory/practice distinction provided by Argyris and Schon (1978), it is a theory espoused rather more than a theory practiced in action. Research by Freeman and Reed (1983) traced the origins of the stakeholder concept to the Stanford Research Institute. They suggest a SRI internal document of 1963 is the earliest example of the term’s usage. This document included customers, shareowners, employees, suppliers, lenders and society in its list of stakeholders. The stakeholder concept has attracted considerable interest in the strategic management literature, especially since the publication of an influential text (Freeman, 1984) that contained a deceptively simple but broad definition of stakeholders (p. 46), namely: â€Å". . . all of those groups and individuals that can affect, or are affected by, the accomplishment of organizational purpose†. An important dialogue on stakeholder theory has emerged over the past decade, especially in articles and contributions to the Academy of Management Review, starting with a critique from Donaldson and Preston (1995) that argued that three associated strands of theory might converge within a justifiable stakeholder theory, namely descriptive accuracy, instrumental power and normative validity. Stakeholder theory is clearly an important issue in strategy (e.g. Carroll, 1989; Donaldson and Preston, 1995; Harrison and St John, 1996; Useem, 1996; Campbell, 1997; Harrison and Freeman, 1999). However, within the strategy field there is not a great deal of agreement on the scope of stakeholder theory (Harrison and Freeman, 1999). In particular, there is still a debate regarding which constituent groups an organisation should consider as stakeholders. For example, Argenti (1997) suggested an infinite number of potential groups while Freeman (1984) has argued that there is excessive breadth in identification of stakeholders. Recently Polonsky et al. (2003) concluded that there are â€Å"no universally accepted definitions of stakeholder theory or even what constitutes a  stakeholder† (p. 351). However, they see two rival perspectives: one where stakeholder intent means â€Å"improving corporate performance†, and another where it means â€Å"maximising social welfare and minimising the level of harm produced within the exchange process† (p. 351). While these aims may never be entirely reconciled in practice (Gioia, 1999), the dominant assumption that the pursuit of â€Å"profit† is for the shareholders effectively denies legitimacy to other claims to the meaning of profit as a â€Å"shared benefit†, or as aâ€Å"shared good† (Smithee and Lee, 2004). Relationship-based approaches to marketing offer a reformist stakeholder agenda with an emphasis on stakeholder collaboration beyond the immediacy of market transactions. According to different authors, this involves creating exchanges of mutually beneficial value (Christopher et al., 2002), interactions within networks of relationships (Gummesson, 1999), or mutual commitment and trust that may or may not be achievable (Morgan and Hunt, 1994). Relating is connecting, and at its simplest level, a relationship is a state of being connected. A critical question arises: â€Å"With whom are you connected, and why?†. These questions require judgments about particular relationships – and strategic value choices. This article explores the development, extension and use of the â€Å"six markets† stakeholder model (Christopher et al., 1991) and proposes a framework for analyzing stakeholder relationships and planning stakeholder strategy. The article is structured as follows. First, we review the role of stakeholders in relationship marketing. Second, we discuss the development and refinement of the six markets model, and describe how the model has been operationalised and refined as a result of testing and experience in use with managers. Next, we discuss the development of a stakeholder relationship planning model that enables strategies to be developed for each stakeholder group. Finally, we discuss the managerial and research issues associated with stakeholder theory in marketing and review some future research opportunities. Our objective is to explain how a conceptual stakeholder model has practical application in marketing management and in this way make a contribution  towards eliminating the current gap between stakeholder theories and marketing practice. Relationship marketing and the role of stakeholders Marketing interest in relationship based strategic approaches has increased strongly over the last decade in line with expanding global markets, the ongoing deregulation of many industries and the application of new information and communication technologies. Notwithstanding, practitioners and academics alike can overlook the fact that business and industrial relationships are of many kinds (Wilkinson and Young, 1994), and that an understanding of the value generating processes is required (Anderson and Narus, 1999; Donaldson and O’Toole, 2002; Gro ¨nroos, 1997; Payne and Holt, 1999; Ravald and Gro ¨nroos, 1996; Tzokas and Saren, 1999; Wilson and Jantrania, 1994). Understanding the role of long-term relationships with both customer and other stakeholder groups has been largely neglected in the mainstream marketing literature but is acknowledged in the relationship marketing literature (e.g. Gro ¨nroos, 1994; Gummesson, 1995; Hennig-Thurau and Hansen, 2000; Ha °kansson, 1982; Mo ¨ller, 1992, 1994; Parvatiyar and Sheth, 1997; Sheth and Parvatiyar, 1995). Kotler (1992) has on occasion called for a broadening of marketing interests to take into account the relationships between an organisation and its publics. However, it is the relationship marketing literature in particular that has stressed the importance of stakeholder relationships (e.g. Christopher et al., 1991; Morgan and Hunt, 1994; Doyle, 1995; Gummesson, 1995; Buttle, 1999). Gummesson (2002b) has provided a comparison of four of the better known approaches to classifying multiple stakeholders, including Christopher et al. (1991), Kotler (1992),Morgan and Hunt (1994), and also Gummesson (1994). While the first three of these models are concerned with the relationships that an organisation has with its more traditional stakeholders, the approach of Gummesson (1994) goes beyond the focus of this article in that it includes criminal network relationships, para-social relationships and supranational mega-alliances. The Christopher et al. (1991) framework has six stakeholder market domains, each of which comprises a number of  Ã¢â‚¬Å"sub-markets†, while that of Kotler (1992) identifies ten specific constituents. Morgan and Hunt (1994) suggest ten relationship exchanges with four partnership groups. Other models include the SCOPE model (Buttle, 1999) and a framework by Doyle (1995). The conceptual model and the related planning framework described in this article are the result of recursive research and development over a number of years. Our initial conceptual work on the model was later supplemented with learning from field-based interactions with marketing managers and other executives in order to further refine it and to develop the conceptual planning framework reported here. This follows what Gummesson (2002a) terms â€Å"interactive research†. This research approach emphasizes that interaction and communication play a crucial part in research and that testing concepts, ideas and results through interaction with different target groups is an integral part of the theory development and indeed the whole research process (Gummesson, 2002a, pp. 344-6). Managers’ observations and suggestions were found to be invaluable in developing and refining the model, supporting Gioia and Pitre’s (1990) proposals that multiple perspectives yield a more comprehensive view of organizational phenomena and where assumptions about the processes under enquiry can be modified by further consultation with informants. Research objectives and approach The objective of the research was to develop and refine the six markets model through testing its applicability in a wide range of organisational contexts. More specifically, we wished to develop a categorization scheme that enabled key constituent stakeholder groups within each market domain to be identified and classified and to develop a stakeholder planning framework. This was motivated, in part, by managers in these companies who expressed the need for both a classification scheme and a planning framework. We have utilized a range of approaches over a number of years in our research to test and refine the six markets model and the planning framework and to  gain field-based insights, including: 1) Piloting and testing the six markets model with an initial group of 15 UKorganisations. The organisations in this sample were drawn from a range of sectors including manufacturing (two), financial services including banking and insurance (six), other services including retailing (six), professional services (two) and one not-for-profit industry association (the Royal Aeronautical Society). All were very large firms within their sector with the exception of the two professional services firms and the not-for-profit organization. 2) Using the model in substantive case studies on UK organisations in the following sectors: retailing (two), manufacturing (two), a global airline and a major conservation charity. 3) Using the framework as a planning tool in a two major international banks (one a l arge British commercial and retail bank, the other a large French investment bank), chosen as they had challenging and complex stakeholder issues across many countries. A total of eight workshops was used to analyse stakeholder markets in four countries for the first bank and six workshops in three countries for the second bank. 4) Working on projects with over 80 further organisations to evolve and test the planning framework. This involved working with groups of mid-career managers in the UK and Australia. Given the predominantly service-based economies of the developed countries in which this research was undertaken, those organisations that were selected included a high proportion from the services sector. While the earlier research primarily included large organizations in their sectors, this work also included a selection of medium-sized and smaller organisations. Overall, 65 per cent of the organisations were from the services sector, 20 per cent from manufacturing and 15 per cent from the not-for-profit sector. A wide diversity of organisations was used, including financial services companies, retailing and other services, manufacturing companies, a mobile telephony company, a major hotel chain, an insurance broker, a consulting firm, an airport authority, a university, a conference centre, a holiday company, a foreign languages teaching institute and a hospice. Our shared learning approach also draws on action research concepts suggested by Rapoport (1970) which aim at contributing to the practical concerns of people in a challenging situation – such as stakeholder management – and to  the goals of research by collaboration within a mutually acceptable framework. The revised six markets model (Christopher et al., 2002) is shown in Figure 1. The intent behind the model is to emphasise relationships between the organisation and all its stakeholder constituents in each of six â€Å"markets†. The key assumption is that organisations can only optimise relationships with customers if they understand and manage relationships with other relevant stakeholders. This model addresses the concern raised by Dill (1975) that some groups or parties may be involved in multiple role relationships. Any one constituent group, firm or individual may be classified within one or more of these market domains. For example, customers may play a role within the customer market (where the interaction is between a firm and its customers) and in the referral market (where the interaction is between an existing customer and a prospective customer). The six markets model provides a structure for managers in organisations to undertake a diagnostic review of the key market domains and stakeholders that may be important to them. As a result of this diagnosis, they will be able to identify a number of key constituents within the market domains that are strategically critical, or where unexpected opportunities emerge. Using and testing the model These six key market domains represent groups that can have a significant impact on an organisation’s marketplace effectiveness. Each â€Å"market† is made up of a number key groups, segments, or participants. To test the applicability of the model we followed four steps: (1) identify key participants, or segments, within each of the market domains; (2) review expectations and needs of key participants; (3) review current and proposed level of emphasis in each market; and (4) formulate an appropriate relationship strategy. In this section we consider the first two steps. We worked with groups of  managers to address these steps. Typically, the group comprised three to six mid-career managers from a range of functional backgrounds. The process started with the examination and analysis of each market domain to identify the key groups of participants or market segments within each of them. We explored the expectations and needs of each of the identified stakeholder groups through a combination of approaches, including interviews and questionnaires and a review of key issues with senior management. In applying the revised six markets model above we found all stakeholders we identified could be conveniently categorised into one of the six market domains. Initially the identification of the constituent groups within each market domain, for a given organization, was approached on a case-by-case basis. However, as our experience in using the model grew, the need for a more specific categorisation became apparent. This was prompted, in part, by research such as Lovelock’s (1995) work on classifying supplementary services. Developing and refining categorisation schemes for stakeholders was important because, as Emshoff and Freeman (1979) have noted, functionally based organizations typically place too much resource emphasis on highly visible stakeholders such as their customers, and too little emphasis on other special interest groups whose management falls outside specific functional boundaries. Identification of all relevant stakeholder groups should enhance their visibility and lead to their greater prominence within the organization – thus the company is more likely address them as part of an integrated stakeholder strat egy. Through the work in the companies referred to above, a categorisation scheme was developed and refined over time that assisted the identification of typical groups within each market domain. In summary, this categorisation of market domains identified the following constituents: 1) Customer markets are made up of buyers (e.g. a wholesaler), intermediaries and final consumers. Each intermediary or member of the supply chain can then be further sub-divided according to the most relevant segmentation approach. 2) Referral markets comprise two main categories – customer and non-customer referral sources. The customer category includes advocacy referrals (or  advocate-initiated customer referrals) and customer-base development (or company-initiated customer referrals). The wide range of non-customer referrals are divided into general referrals, reciprocal referrals, incentive-based referrals and staff referrals. 3) Supplier and alliance markets – suppliers provide physical resources to the business and can be classified into strategic suppliers, key suppliers, approved suppliers and nominated suppliers. Alliance partners supply competencies and capabilities that are typically knowledge-based rather than product-based, and Sheth’s (1994) classification of alliance, partnering transaction and co-operative relationships is especially useful here. 4) Influence markets have the most diverse range of constituent groups, including financial and investor groups, unions, industry bodies, regulatory bodies, business press and media, user and evaluator groups, environmental groups, political and government agencies, and competitors. 5) Recruitment markets comprise all potential employees together with the third parties that serve as access channels. They can be segmented by function, job role, geography and level of seniority. Channels include executive search companies, employment agencies, job centres, off-line and on-line advertising, and using an organisation’s own staff to suggest potential applicants. 6) Internal markets follow the segmentation used for potential employees in the recruitment market, i.e. by function, job role, geography and level of seniority. Special emphasis needs to be placed on behavioural characteristics for customer-facing employees. From this testing of the six market categories, we concluded that they are a workable reference frame to consider a broader range of constituent stakeholders, whether individuals, groups, or others whose interests have relevance to the enterprise. Further development of the model Having identified relevant stakeholders, the third step outlined above involved a review of the current and proposed level of emphasis on each market domain. Not all stakeholder markets require the same degree of attention and emphasis, and Gummesson (1994) has argued that managers need  to prioritise and establish the appropriate mix of relationships needed for the company’s success. To identify the present level of emphasis and the future desired emphasis on each of the market domains and their constituent parts, we developed a stakeholder network map (Payne, 1995). This was used to identify an organisation’s present emphasis on each market, the desired emphasis at a future point in time, and the gap between these two positions. This network map configures each of the major market domains, including customer markets (which are sub-divided into existing and new customers), on a series of axes and enables a group of managers within a firm to make an assessment as to the current and desired levels of emphasis on each market domain by means of a jury of executive opinion – usually developed from inputs from one or more groups of senior managers within the organisation being examined. Although this work resulted in some initial variation of views amongst managers regarding present and desired emphasis, as a result of more detailed discussion the outcome was generally a strong degree of consensus amongst these managers. The stakeholder network map has seven axes – two for customers (existing and new) and one for each of the other five relationship markets discussed earlier. The scale of 1 (low) to 10 (high) reflects the degree of emphasis (costs and effects) placed on each relationship market. The division of customers into â€Å"new† and â€Å"existing† reflects the two critical tasks within the customer domain, those of customer attraction and customer retention. Figure 2 shows a network map for the Royal Society for the Protection of Birds (RSPB), a major British conservation charity. It shows the current emphasis (at the time of analysis) and the proposed new emphasis. At this point in time the RSPB might have considered a number of issues, such as: 1) placing greater attention on retaining existing members; 2) a reinforcement of customer care and service quality issues with internal staff; and 3) a stronger focus on influence markets (Payne, 2000). The analysis shown in Figure 2 represents the first level of diagnostic  review of the overall emphasis at the market domain level, in order to make an initial judgement as to the existing and desired relevant emphasis. A second level of analysis explores each market domain in much greater detail and enables analysis at the sub-segment or group level within the domains. For example, in the analysis of the referral market for a major international accounting firm we identified present and future desired emphasis on a number of groups within the referral market domain, including their clients, banks, joint venture candidates, their international practice and their audit practice. We have used the stakeholder network mapping technique in our research with many organisations. Although simple in concept, it has proved a robust means of considering the network of stakeholder relationships that organisations need to address. The diagrammatic representation has been especially useful in helping executives visualise the importance of various stakeholders. Further, the time dimension for the proposed relationship strategy, usually within a two- to three-year planning horizon, has been useful in determining the changes required in stakeholder emphasis. This addresses the concern of Dill (1975) regarding the need to take the time dimension into account.

Monday, July 22, 2019

Social historical background Essay Example for Free

Social historical background Essay Religious festivals were celebrated in Athens to pay homage to the God Dionysus, the patron of wine. He brought joy and fun but rage and thoughtlessness too. This is similar to the effects of wine on people; wine makes people either happy or thoughtless. Dionysus died in winter and was reborn in spring. The festival took place for five days in spring to worship the rebirth of Dionysus and grape vines. In the mind of an ancient Greek person, the theatre was a product of Dionysus. Therefore Sophocles, when writing the play, included a scene of thanks to Dionysus which the chorus perform. This would have been interpreted by the Athenians as a noble inclusion and made Sophocles popular. The festival evolved from the rural town of Dionysia. In the large cities dramatic performances took place. The dramatic element developed when competitions called for playwrights to design plays and showcase them at the festivals. Two popular forms of drama materialised from these competitions: Tragedy and comedy. Tragedies aimed to teach religious lessons. Sophocles was a tragic playwright and his play Antigone is an example of this. Comedies were seen as trivial and a waste of time to ancient Greeks. Comedies joked about the gods and intellectuals, albeit in a respectful manner. The theatre in ancient Athens had the ability to teach moral lessons, inform of contemporary issues or amuse. It was a powerful tool and was used by governments/polis to influence peoples opinions and keep their populations up to date with current affairs. For this reason the government encouraged all men to go to the theatre. Those who could not afford to go were even offered free grants. Antigone was aimed at an Athenian audience. The play showed the downfall of man and highlighted how bad Thebes was. Athens was a democracy whilst Thebes was under dictatorship. Men visiting the theatre would see how oppressive the life of a Theban was thus increasing support for democracy. This mattered to the local polis because if the people were against a partys ideas they would not be elected in further terms. Role of Women in Society A woman was meant to be obedient to the ruling man in her life. Once a girl reached thirteen years of age she was negotiable for marriage. Women in Athens were devoid of rights. They could not go out of the house unless it was to see another woman and could not vote or influence the government. Women were not allowed to go to the theatre. The reason women were treated with so much injustice is because they were viewed by men as uncontrollable and wild. However women did play an important part of everyday Athenian life as they ran the house. In some ways men were indebted to women. Although women were generally viewed in this light, the audience of Antigone were ambivialent as to which way they viewed her. Antigone articulates the fears of every Athenian male. She is uncontrollable, untrustworthy. In this way Antigone would have been received negatively in the eyes of an ancient Greek man. However she stands for issues which Athens support such as democracy and the importance of a proper burial. Athenians had deep rooted hate for dictatorship, therefore when Antigone goes against Creon she would have won support for her character. There is ambiguity into which way the audience would have sided, but this was planned. The ambiguity forces the audience to think about the issues and politics of the play. A society at war As Antigone was being created a war was unfolding in the Peloponnese area. This was occurring as a result of a long dispute between the alliances of Sparta and Athens. Thebes was one of Spartas allies, thus was against Athens. Sophocles might use Thebes as the setting of the play as Athenians were against the city thus building more support for the city of Athens. The issue of war was contemporary, therefore the Athenian government would have wished to have it discussed in Athens favour at the amphitheatre. Sophocles and fellow Athenian men would have no doubt been adversely affected by the war. Sophocles might be trying to show that there are undesirable affecs from a war. After all, the incidents did start off when Polynices attacked Athens. Therefore, Sophocles might be trying to show that the war affects not only a nation as a whole but individual circumstances such as families and relationships. In an Athenian audience, Creon might have been viewed negatively given the fact that he was against everything that Athens stood for; Athens was a democracy whilst Thebes was an Oligarchy. An Oligarchy is a government ruled by a few influential members and is the opposite to a democracy. When Creon goes against the rules of the gods, the audience would have interpreted this negatviely. Although he punished Antigone for going against his word, which might have won him support, the crime he is punishing her for is not a crime but an action of respect for the dead. The Influence of the Gods Zeus was the final son of Cronus and Rhea. The other children, upon birth, were swallowed by their father, Cronus, as he was afraid they would overcome him. However, when Zeus was born he was hidden by his mother inside a cave, and Cronus was given a rock, disguised as a baby, to swallow. When Zeus grew up, he ordered his father to regurgitate the stone and his siblings. The male children overcame Cronus and divided up the world. Zeus became the God of Gods for doing what was right, and received the skies and the heavens. Poseidon and Hades received the sea and the underworld respectively. As Zeus was the king of Gods he was worshipped by all. Zeus was revered and respected for if he was not, he was known out of anger to throw bolts of lightning to the ground. Just the mention of going against Zeus would have caused outcry. Antigone shows reverance to Hades, god of the underworld. Hades role was to ensure entry to the underworld occurred rightfully. It was believed when a Greek person died they crossed the river of Acheron, river of life, from the baks of life to the banks of death by boat. In order to traverse the river they had to be given their rites, buried and have a coin under their tongue to pay the boats captain, Charon. This job was carried out by women and is the reason why Antigone feels so passionately about burying her brother. If a person was left unburied or lacked the coin under their mouth, they would roam the banks of life and could not cross to the banks of death. Therefore when Polynices is not buried he is left to roam the lands, so Antigone goes to give him the burial he deserves. The Playwright Sophocles was one of Ancient Greeces greatest playwrights. The reason that Sophocles was such a good playwright is because he had an ability to rebel conventional drama and produce plays that provoke debate. In Antigone, he gives the genuine thoughts and feelings of women in ancient Greece, which must have been difficult seeing as men and women were so detached. Apart from being a playwright, Sophocles was a politician and an Athenian General. He played an active part against the allies of Sparta in the Peloponnesian war and was a hero for Athens. Antigones base is war, the war fought between two brothers, between family members or father and son. As Sophocles had so much experience in war this story would have greatly appealed to him. The Oedipus Curse Oedipus is cursed to wed his mother and kill his father. The curse is a result of Oedipus father raping a young boy. Oedipus fulfills the curse and impregnates his mother with four children. When Oedipus finds out what he has done he blinds himself and his wife/mother commits suicide. Oedipus then abdicates his role as king to his two sons, Etocles and Polynices. Prior to the play, the curse is inherited by the sons as a manifestation of jealousy; both wish to be king but cannot. They decide that every year they will alternate who is monarch. Etocles is first to rule for one year but will not hand over power when Polynices turn arrives. A fight ensues and the brothers kill eachother. An audience, upon learning the characters were descendants of the incestuous Oedipus, would have perceived Antigone and her sister as filthy, cursed individuals. The audience would expect the characters to commit grave and shocking crimes. The audiences expectations come true when Antigone disobeys Creon. However, Creon might have also been expected to fail as he was Oedipus brother. When Sophocles makes the characters do what the audience expect, the audience would have interpreted this as curses never die and are inherited by ones family. The audience would have evoked a response of fear. The Life and Times of a greek citizen Men were either politicians, farmers or fighters whilst women brought up the family and helped religious festivals. This extraneous work and the lack of medicinal resources meant that people had a short life span. Even healthy people could die prematurely by an illness or disease. To combat this citizens ate healthy and exorcised. A meal was simple but full of vitamins, vegetables and oil. The family of an Athenian was very important and was built on love. Therefore, when the Athenian audience saw the fueds in Antigones Theban family, the royal family, they would have been disgusted to think people were being led by such a bad example. Thebes was located inland whilst Athens was located near the sea. This made Athens naval fleet useless when it came to attacking Thebes, whilst Thebes naval fleet caused havoc on Athens. Argos is located south of both Thebes and Athens, near the sea and was a neutral territory. Greek at this time would have been a nation under war. Greeks people would have been proud of their territory yet scared of invasion. Athens, Argos and Thebes were in the Peloponnese area.

Sunday, July 21, 2019

Is Socrates A Hypocrite Philosophy Essay

Is Socrates A Hypocrite Philosophy Essay Socrates was one of the most famous of Greek academics and is attributed as one of the creators of Hellenistic thought; he is an inscrutable entity and is recognized mainly through the interpretations of future philosophers, particularly his students Xenophon and Plato in addition to the plays of his modern Aristophanes. Many would state that Platos discourses are the most inclusive versions of Socrates that exist from the ancient times. Through his representation in Platos discussions, Socrates has become prominent for his input into the discipline of morals and it is this Platonic Socrates who too loans his name to the ideas of Socratic satire and elenchus. The second continues to be a frequently employed instrument in a broad range of deliberations and is a category of instruction in which a succession of queries are asked not only to attract solitary answers, but also to inspire important understanding into the subject at hand. It is Platos version of Socrates that also made crucial and enduring assistances to the disciplines of rational and epistemology and the inspiration of his notions and methodology continues to be robust in giving the groundwork for the Western thought that followed. Platos writing titled The Apology is an explanation of the dialogue made by Socrates at the hearing in which he is accused of not acknowledging the gods that were accepted by the state, formulating new divinities as well as corrupting the young of Athens and instigating them towards a revolution. Socrates discourse is still, by no measure, an apology in the contemporary comprehension of the term. The title of the discourse is taken from the Greek expression apologia which can be interpreted as a safeguard to his existence. Hence, in the dialogue, the philosopher endeavors to protect both himself and his actions  ¿Ã‚ ½ not ask for forgiveness. He then goes on to question Meletus, the individual predominantly accountable for having Socrates up on the stand. This is the sole example in the work of a cross-examination or the elenchus which is deemed as being essential to the majority of Platonic discourse. This discussion, however, is a pitiable instance of this technique, since it appears to be aimed more at making Meletus uncomfortable than uncovering the truth. In a well celebrated piece, the thinker relates himself to an irritating and lethargic stallion which is representative of the Athens. Deprived of him, Socrates believes that the state is probable to float into a never-ending sleep, but by using his authority, as irritating as it might seem, it can be aroused into industrious and righteous activity. Socrates was uncovered to be guilt-ridden by a thin margin and is told to suggest a fitting punishment. Socrates lightheartedly proposes that if he were to get what he warrants, he should be privileged with a prodigious feast for being of such amenity to Athens. On an extra grave note, he discards the penitentiary and deportation, proposing possibly in its place to recompense a fine. When the jury debunks his recommendation and verdicts him to death, Socrates receives the judgment stoically with the statement that no entity but the gods identify as to what transpires following death and hence, it would be imprudent to be anxious about what one is not aware of. He likewise cautions the jurymen who back against him that in muzzling their critique instead of simply attending to him, they have damaged themselves much more than they have impaired him. Plato ¿Ã‚ ½s tactic in The Republic is to initially elucidate the principal idea of communal or dogmatic integrity and then to develop an equivalent theory of singular justice. In the second, third and fourth book, Plato ascertains political fairness as agreement in an organized political organization. A perfect community contains three main categories of individuals producers, auxiliaries as well as guardians; a civilization is just when relationships amongst these three categories are correct. Each cluster must complete its suitable utility and simply that purpose and each must be in the exact situation of influence relative to the others. In a sequence of three resemblances the symbols of the line, the sun and the cave Plato clarifies who these persons are while beating out his philosophy regarding the Forms. He enlightens that the all Gods creatures are separated into two dominions, namely the noticeable and the comprehensible. The observable universe is all that we experience all around us. One may observe that none of these influences really demonstrate that righteousness is necessary separately from its concerns  ¿Ã‚ ½ in its place they institute that justice is continually escorted by real desire. In all likelihood, none of these is really thought to aid as the key motive why justice is so wanted. As an alternative, the appeal of justice is probable associated to the close association amongst the impartial life and the Forms. The evenhanded life is respectable in and of itself since it includes acquiring these vital goods and reproducing their direction and concord, hence integrating them into one ¿Ã‚ ½s individual existence. Justice is upright since it is linked to the highest good, the Forms. Plato culminates The Republic on an astonishing reminder; after explaining the concept of fairness and having proven it as the highest good, he expels composers from his municipality. These individuals, he states, plea to the vilest portion of the soul by reproducing undue predispositions. By boosting one to treat dishonorable feelings in understanding with the characters that are made aware of, poetry inspires us to treat these sentiments in life; therefore this makes it unwarranted. In concluding, Plato narrates the fable of Er, which pronounces the route of a soul following its demise. Impartial souls are remunerated for a millennium, whilst unreasonable ones are disciplined for an equal length of time; every soul has to then decide on its next life. Socrates maintained that experiencing a good life meant living with quality. In turn, the conceptualization exemplifies virtue and consequently, life itself is a belief system. As stated by Socrates, the only life that deserves to be lived is that of philosophy; devoid of it, life is not worth living at all. Socrates also affirms that he will feel the pain of demise instead of defying the state. In The Apology the philosopher believes that he will continue to conceptualize even if the activity is made illegal, determining it as a punishable offence. Even though both these phrases appear to be flagrant paradoxes, the rationality of their non-contradictory character is not difficult to comprehend. Socrates explanation and understanding of values and influence aid in the abolition of the superficial absurdity amongst both his proclamations and assist to advance his thought process. Socrates describes his thought as the lucid condemnation of ethical philosophies. Such disapprovals function as an examination of the ethical values in question. If the philosophies are unpredictable, reciprocated alteration need to take place between them, one that passes them into coherence with each other. Correspondingly, the values of the state in coincidence with the doctrines of Socrates do not approve and hence the two ideologies are unpredictable. The philosopher, in The Apology, endeavored to encourage the state into trusting his philosophies are accurate. His disappointment, nevertheless, permitted these philosophies regarding the state to surpass his own. At the climax of the aforementioned trial, he gives due credit to the penalty levied upon him and permits the state to reserve its values. This alteration is shared, and consequently, brings the philosopher into harmony with the state. Even though the Socratic values and beliefs were precluded, the simple circumstance th at his effort to shift the focus of the state embodies his philosophy and therefore he attains accord. The state accomplishes this through merely its justification and appealing debate regarding its philosophy. While the philosopher waits for his penalty to be actually enforced, he achieves the objective of proactively moralizing, which he claimed to carry on doing so even if it would end his life. He obviously practices rationality in both the Republic and The Apology, stressing that simply through subordination of ones own yearnings, in this situation his existence, can an individual expect to gain prominence. This is again hypocritical as achieving such greatness would mean ending one ¿Ã‚ ½s life which in fact would negate the usefulness of that greatness. This importance that Socrates attains is due to of his belief regarding influence; he maintains that an individual must submit to the will of the city or coax it regarding the character of impartiality. In this situation, the philosopher ¿Ã‚ ½s defense comprises of his prospect to convince the court and he was allowed a chance to try to change the opinion of the state to the approval of his point of view. Still, he botched up this objective and hence, in accordance with his philosophy, must submit to the belief system promulgated by the city. His belief regarding influence as opposed to obedience permits for two end results; the first being the persuasion of the state itself and the triumph of ones though. The other is the failure at convincing the state and hence bowing down to its will. Evidently, the latter consequence was to be that of Socrates and disobedience of the orders of the state would translate into Socrates contradicting himself and being labeled as a hypocrite. By ac tually going through with this, the government is provided with additional motives into trusting his misrepresentation in the beginning. In The Apology, the philosopher declares that if he had actually corrupted the youngsters against his better judgment, the rules do not necessitate the punishment to be dished out for such unintended acts that break the law; the authority in question behaved in the exact same manner that Socrates believed it would. The philosopher was also barred from thinking but he refused to adhere to this command. Hence, the penalty was a necessity in accordance with both the law or any corresponding natural law regarding education. The victory or miscarriage of an endeavor to persuade the state is immaterial to the projected incongruity amongst both the two writing. A significant detail is that the philosopher struggled to defend and validate himself. Through this, he did justice both to himself but also to his viewpoint. In this circumstance, the philosopher ¿Ã‚ ½s activities demonstrate his beliefs louder than his words and through the acceptance of his death, he has not simply attained what his attitude addresses, but further accomplishes the features his life operates upon. Even if aggrieved, he maintains that the Gods following his death will give him with a newfangled trial. It would be one that is prepared in an even stouter manner through his perseverance and reception of his chastisement. The philosopher headed through his actions and his tenacity was very robust. Possibly he did make an error, but even so, escaping the authorities and consequently his fault, would be challenging and even more incons istent than his hypothetical and incompatible declarations.

Saturday, July 20, 2019

Advances in Research on Plant Genetic Resources of Mexico :: Ecology Ecological Nature Mexico Essays

Advances in Research on Plant Genetic Resources of Mexico We read in this book that in Mexico can be found 30,000 of the 250,000 species of higher plants so far described. Between 5,000 to 7,000 of Mexican species are deemed to be of economic use, and of these, 1,000 to 1,500 are edible. According to a conservative estimate cited here, 10% of genera and 52% of species found in Mexico are endemic. This makes Mexico, a country that ranks 14th globally in terms of territorial extension, the fourth country in terms of biodiversity. It is therefore evident that an understanding of Mexican flora, in conjunction with effective strategies for use and preservation, is of first importance for our plant-dependant, agricultural world. Contributors to this work argue for this and more: 1) the urgency of halting degradation of biological and cultural environments that are closely tied to the use and preservation of many important ecotypes, 2) the significance of social issues that affect the viability of ways of life that have created, and that maintain, important stores of the world's genetic diversity, 3) the need for coordinated strategies and action between national initiatives and those of international germplasm agencies. It is satisfying to see Mexican scientists earnestly wrestling with such issues. The book consists of the proceedings of the third meeting on Mexican biodiversity (8-9 February, 1990), organized jointly by the Mexican Society of Plant Genetics (SOMEFI) and the Botanical Garden of Mexico's national university (UNAM). Strongly represented are top researchers from UNAM's Biology department, from the agricultural university of Chapingo, from the national agricultural research agency (INIFAP), and from the PostGraduate College, Mexico's premiere institutions for the study of ecological and agricultural sciences. Significantly, the book is dedicated to one of the foremost authorities on Mexican flora and traditional farming systems, Efraim Hernà ¡ndez Xolocotzi, who was to die a year after presenting the lead paper at this conference. The proceedings have been well edited for book format. Text is in Spanish, with a summary provided for each chapter in Spanish and excellent English. The book is organized into six major sections, including papers on the general philosophy of biodiversity preservation, regional studies, basic studies, the policies of international preservation societies, and a succinct summary of the discussions of the symposium. However, the pith of the book is the third section, consisting of depth reviews of current germplasm status for several major species of useful Mexican plants, including: Zea, Phaseolus, Amaranthus, Capsicum, Cucurbita, Physalis, Sechium, Persea, Crataegus, Agave, and several medicinal species.

Harmful Effects of the Atkins Diet Essay -- Exploratory Essays Researc

Harmful Effects of the Atkins Diet It is safe to say that the Atkins Diet is not as harmless as everyone would like to think. Originally, the disadvantages were not taken into account because desperate dieters were interested in partaking in a seemingly easy way to lose weight. However, plenty of negative side effects have been shown to support the fact that the Atkins plan is more harmful than people realized. These negative side effects range from headaches and dizziness, to the more severe reactions consisting of kidney and heart problems. These negative effects are caused primarily by a lack of carbohydrates in the body, which results in an increase of ketones, or poisonous chemicals. And, as it turns out, many organizations including The American Heart Association, support the fact that these effects do occur after following the Atkins dieting plan. The American Heart Association, specifically, has said that the decreased intake of carbohydrates and an increased ingestion of proteins and fatty foods does no t conform to their dietary guidelines and can lead to seriously negative results and health risks. The less severe disadvantages surrounding the diet consist of physical weakness, low energy level, slower reaction times, headaches, and dehydration. These less dangerous, yet clearly relevant reactions are due to the elimination of carbohydrates from the diet. Blood sugar levels become very low when carbohydrates are not ingested, causing physical pain and weakness as well as a slower reaction time. Headaches also occur as a natural response mechanism that act as signals for the body that carbohydrates are needed in order to prevent further problems. Moreover, when the body breaks down stored fats t... ...eats and creams sounds, it undoubtedly raises health risks involving the heart. Without a doubt, the Atkins diet causes health problems. Be it mild or severe effects, the problems and risks are there. It is difficult to believe that a diet where cream, butter, mayonnaise red meats, and numerous other fatty foods are unlimited could actually be healthy and result in positive weight loss. Ridding the body of obviously healthy foods such as complex carbohydrates can only lead to negative side effects for the dieter. While dieters have the advantage of choosing a plan that is best for them, these serious health risks are something that should be taken into account. In the end, it is a healthy, well balanced diet, consisting of a good amount of exercise that is the key to a healthy lifestyle no matter which way you slice it.

Friday, July 19, 2019

Faraday\s Law :: essays research papers

  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  PHY 2049   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Faraday’s Law 1)  Ã‚  Ã‚  Ã‚  Ã‚  ABSTRACT: Relative motion between a magnetic field and a conductor are needed to create a voltage within the conductor. For current to flow the conductor must be a complete loop, if not the current will not flow. 2)  Ã‚  Ã‚  Ã‚  Ã‚  THEORY: Faraday’s Law ( V = -N(Df/Dt) ) 3)  Ã‚  Ã‚  Ã‚  Ã‚  PROCEDURE: A.  Ã‚  Ã‚  Ã‚  Ã‚  A coil is connected to a galvanometer, completing the loop. A magnet is passed through the coil. B.  Ã‚  Ã‚  Ã‚  Ã‚  A coil is connected to a galvanometer, completing the loop. Many magnets are passed through the coil. C.  Ã‚  Ã‚  Ã‚  Ã‚  Two coils are placed end to end with an iron rod placed through them. One is connected to a galvanometer the other to a power supply. The power supply is switched on and off. D.  Ã‚  Ã‚  Ã‚  Ã‚  A large coil surrounding an iron rod is given a constant current. An aluminum ring with a slit to prevent complete current is placed over the rod. E.  Ã‚  Ã‚  Ã‚  Ã‚  A large coil surrounding an iron rod is given a constant current. A complete aluminum ring is placed over it. F.  Ã‚  Ã‚  Ã‚  Ã‚  A large coil surrounding an iron rod is given a constant current. A copper coil is placed over the rod, but is not a complete loop. The coil is then closed to complete the loop. 4)  Ã‚  Ã‚  Ã‚  Ã‚  DATA AND RESULTS: A.  Ã‚  Ã‚  Ã‚  Ã‚  As the magnet passed through the coil a voltage was generated. B.  Ã‚  Ã‚  Ã‚  Ã‚  As many magnets passed through the coil a lower voltage was generated. C.  Ã‚  Ã‚  Ã‚  Ã‚  As current is supplied to the coil a voltage is generated in the iron rod. When the current is cut off there is no voltage created. D.  Ã‚  Ã‚  Ã‚  Ã‚  Current could not flow through the gapped ring so it fell straight to the bottom of the iron rod. E.  Ã‚  Ã‚  Ã‚  Ã‚  Current could flow through the complete ring so it was repelled off the iron rod upon placement. F.  Ã‚  Ã‚  Ã‚  Ã‚  The coil that is not complete falls to the bottom of the iron rod but the complete coil is also repelled off the rod due to current flow. 5)  Ã‚  Ã‚  Ã‚  Ã‚  INTERPRETATION: The experiment proved that relative motion between a magnet and conductor was able to create a voltage and that current must have a complete loop in order for it to flow, thus proving Faraday’s Law.

Thursday, July 18, 2019

Blood and Healthy Diet

Name: Kimberly SteeleBiology 182 Test 3 Answer 5 of the following. 5 points each 1. Explain why the hemoglobin concentration could appear deceptively high in a patient who is dehydrated. 2. Explain the correlation between sickle cell disease and malaria. 3. Describe the effect of an incompatibility between mother and fetus in Rh blood type. 4. What are antigens and antibodies? How do they interact to cause a transfusion reaction? * An antigen is a molecule that sometimes stimulates an immune response.An antibody is a blood protein produced in response to and counteracting a specific antigen. Antigens are what causes a person to need a transfusion because their body is resisting their own blood. Antibodies are what accept the new blood to use as their own. 5. What can cause an abnormally high or low white blood cell count? * Leukemia can cause a person to make a lot of white blood cells. They don't do the work of normal white blood cells, they grow faster than normal cells, and they d on't stop growing when they should. They no longer help your body fight infection. People with neutropenia have an unusually low number of cells called neutrophils. Neutrophils are cells in your immune system that attack bacteria and other organisms when they invade your body. 6. Why should hemophilia patients resist using aspirin? * Hemophilia is a rare blood disorder in which the blood does not clot normally. Asprin is an over the counter drug that thins your blood. If that person with hemophilia gets cut, the chances of them bleeding out are so much greater but there is nothing to stop it from bleeding. 7.Outline the pulmonary circuit tracing the blood from the vena cava to the aorta. 8. Describe the O2 and CO2 levels in the right and left side of the heart. 9. Why are the capillaries the ‘workhorse’ of the circulatory system? * Capillaries work in the same way as vessels and veins but they also help by receiving food molecules from the small intestine. And also if a vessel or vein get damaged, they can divert blood away from the injury to reduce blood loss. 10. Describe the role of diet in preventing coronary heart disease. – One step you can take is to adopt a healthy lifestyle.Following a healthy diet is an important part of a healthy lifestyle. A healthy diet includes a variety of vegetables and fruits. It also includes whole grains, fat-free or low-fat dairy products, and protein foods, such as lean meats, poultry without skin, seafood, processed soy products, nuts, seeds, and beans and peas. A healthy diet is low in sodium (salt), added sugars, solid fats, and refined grains. Solid fats are saturated fat and  trans  fatty acids. Refined grains come from processing whole grains, which results in a loss of nutrients (such as dietary fiber).The National Heart, Lung, and Blood Institute's (NHLBI's)  Therapeutic Lifestyle Changes (TLC)  and  Dietary Approaches to Stop Hypertension (DASH)  are two programs that promote health y eating. If you're  overweight or obese, work with your doctor to create a reasonable weight-loss plan. Controlling your weight helps you control CHD risk factors. Be as physically active as you can. Physical activity can improve your fitness level and your health. Talk with your doctor about what types of activity are safe for you. http://www. nhlbi. nih. gov/health/health-topics/topics/cad/prevention. html

Wednesday, July 17, 2019

Portfolio Requirements Essay

character ANow, in no to a greater extent than a one rapscallion Word enter (aim for around d words), create a new list, erst again prioritizing the MDGs and targets from development you would like to trip up in your country. However, this list should not nevertheless be the original list that you move in the Discussions it should to a fault incorporate the replies you got from your peers and the Discussions that took mall in the rest of your group. Include on this one knaveboy an explanation of how you arrived at your final list, by referring to the replies you got from your peers and the Discussions that took place in the rest of your group. It is also important that in this scalawag, you explain your view on how you equate happiness to increased economic wealth. circulate your one rascal Word document via the Assignments dickhead.Section BIn no more than a one page Word document (aim for around d words), create a new make up of answers. However, this list should not only be the original list that you placed in the Discussions it should also incorporate the replies you got from your peers and the Discussions that took place in the rest of your group. Also incorporateinto this one page some carryitional culture that you were up to(p) to add to your answers by exploring the Internet founding fathert forget to include the vane addresses of the pages where you gathered this information. Submit your one page Word document via the Assignments tool.Section CStudents who successfully complete this assignment entrust be able to present faultfinding arguments around ICTs for development supports and demonstrate their capabilities link up to engaging with textual and numerical entropy to present information in a presentation format.Locate any project where ICTs were applied in contexts such as those described in this chapter, in your topical anaesthetic community, own city, province or country, or elsewhere in the world and/or that you bro ok been involved with.Ensure that you detect the following aspects in your case subscribe1. Titleof the project2. Website address(es) that provide information about the project3. Introduction & Background, including dilate on the project Rationale (what was the actor for the project/why was it needed?) strike date, duration (this far) and status (ongoing, completed, etc.)4. A translation of the project, including details onThe ICT4D solutions that was used in the projectThe strengths and weaknesses of the project5. You could also add things likeMajor partnersMajor s carry onholdersWho initiated the cognitive operation?Who were the target beneficiaries?Who were the service providers?How did the initiative reach?Was there a local prizewinning (some-one from the local community who represented the interests of that community)? pee a PowerPoint presentation of no more than 8 slides that provide the information as detailed above. Submit your presentation via the Assignments too l.Section DPortfolio Section D Ethics, copyright and IPR in Computer labs In the approach pattern course of their teaching duties, several lecturers have reported finding pirated softw ar improperly installed on the computers in the computer labs. Lecturers also found that students have copied and pasted materials from non-homogeneous Internet resources into their own assignments and reproduced them as if they were their own. This, they find, is a common problem among their students. Before taking a decision on what should be done, lecturers asks you, as students, for your inputs to decision-making.Submit your answers to the following questions in either a one page Word document (aim for around ergocalciferol words) or a PowerPoint presentation of no more than 8 slides in the Assignments tool 1. What are the ethical and IPR issues that the faculty are confronted with? 2. What are the steps that the faculty shouldtake to address the ethical and IPR issues? 3. If you were the stu dent who copied and was caught for plagiarism, what are the consequences you would expect?

Enterprise Architecture as Strategy Essay

Enterprise Architecture as Strategy Essay

Technology is shifting at a faster rate resulting in development of new methods that assist in satisfactory completion of certain technological demand. This has given birth to different enterprise architecture frameworks that fulfill the specific requirements of day-to-day activities. Architecture is a framework of guidelines, principles, models, standards and strategies that directs, social construction and development of business process, design and information and resources through enterprise. Hence, free enterprise architecture is a blueprint, which defines the structure and operation of a given organization (Fowler & Rice 2003).The growth of such a economic theory isnt sufficient.The Open Group Architecture Framework (TOGAF) is an enterprise architecture framework, which approaches the further development of enterprise information architecture through design, planning, governance and implementation.This EA framework employs twenty four pillars to achieve its goals: Applicati on, Business, Technology and Data. Before the architect own plans for current and future aims of the organization, they are provided with foundation architectures how that form the basis that they will use for the new development. The four pillars play a crucial major role in ensuring that the process is successful.Management is merely one of the essential pursuits which play a valuable part in the additional information systems also .

The original aim of the TOGAF was to design and develop technology modern architecture for a given business entity. However, the framework has evolved becoming a methodology that is used to analyze overall business architecture. This resulted into splitting of the enterprise methodology into two parts: Architecture further Development Method (ADM) and Enterprise continuum. The ADM ensures that the enterprise architecture meets the minimum requirements of the organization in terms of business needs and information technology needs.Information methods that what are complex control leverage new technologies and concepts or companies from having the ability to adapt to be able to compete.For example, Phase C combines Application and available Data architecture and phase B and C ensure that the clarity of the information gothic architecture is achieved (Lankhorst 2005).For the ADM to be successful, Enterprise Continuum comes handy. Generally, the Enterprise Continuum can be seen as a ‘virtual repository’ of all the assets of the architecture that is in an organization. These assets may include architectural patterns, architectural models, architecture descriptions and other important artifacts.At best, it tap into a diverse range of abilities and solutions empty can result in a more holistic strategy and also improve the overall understanding of our professionals.

Usually there is a relationship between the different EA frameworks in terms of how it operates and ways deeds that enables it to accomplish its duties. Zachman Framework and TOGAF ADM part fair share some common features. ADM mapping in relation to the Zachman Framework supports a correlation.The Zachman Framework has a well established and comprehensive taxonomy that supports various models, viewpoints wired and other important artifacts, which an enterprise may consider developing as a phase of the EA (White 2007).Organizations unable to satisfy the generous donation could be requested to submit supporting documentation, including salary programs for other graduate-level interns or an operating budget.The main purpose of the architecture is to define viewpoints, an aspect that is supported by the TOGAF ADM but lacks in Zachman Framework. Zachman Framework vertical axis provides a source of potential viewpoints worth while the horizontal may provide generic taxonomy concerns. Thus, the Zachman Framework does not have means good for processes for conformant views or developing viewpoints. Hence, it does not full employ a perspective that is shown by TOGAF’s ADM.Our company is about to offer top excellent custom writing dilute solutions to you.

Hence, the columns that are in the FEAF matrix correspond to the three gothic architecture domains that are supported by TOGAF; the fourth TOGAF domain covers business gothic architecture that lacks in the FEAF structure.Enterprise Architecture Planning (EAP) is a framework that brings together Applications, additional Information and Technology Architectures in fulfilling the requirements of architecture. Thus, it shares many concepts keyword with TOGAF because the aim of EAP is to form blueprints for architectures to solve business problems. Moreover, EAP supports the nine phases that are supported by the TOGAF (White 2007).There are a first great deal of additional ways that youll be able to use to increase how their writing abilities.Department of Defense Architecture Framework (DoDAF) defines the architecture systems into consistent and complementary views. It defines a structure logical and mechanisms that help in understanding, visualizing and assimilating the complexiti es and broad scope of a example given architecture design through tabular, graphic and textual means. Thus, it shares minimal aspect with TOGAF.In fact, TOGAF main focus on the methodology of architecture in terms of â€Å"how to† without bringing into consideration architecture description constructs.There are advantages deeds that are given to the enterprises.

DODAF requires that all information, analysis and new products to build should be put forefront before building the architecture. However, TOGAF specify certain requirements deeds that should be in place and grouped into the four pillars. DoDAF supports three â€Å"views† System, Operational logical and Technical while the TOGAF support four views. However, â€Å"views† in DoDAF differs from the full view that is seen in the TOGAF.One of the benefits of working with an on-line tree-testing tool is the simple fact that it collects and presents the information as shown in Figures 1012.Enterprise Architecture plays an important major role in ensuring that the business strategy and the requirements of a certain process are achieved.TOGAF approach is useful in achieving a business-oriented process through a well defined methodology. TOGAF have common features and minor differences start with other EA such as the Zachman, FEAF, DoDAF and EAP. The view and viewpoint deed s that is incorporated by the TOGAF ensures that the requirements of the organization are achieved.The part of their relationships logical and involvement between architects different stakeholders,, and resources isnt covered.

(2005). Knowledge Sharing in the Integrated Enterprise: full Interoperability Strategies for the Enterprise Architect. London: Birkhauser. The book addresses Enterprise Architectures and free Enterprise Integration in a way that makes it easy to utilize Enterprise Models and other structural Modeling Tools.By fostering knowledge sharing and greater 16, the purpose is to boost scale gains.Fowler, M. & Rice, D. (2003). Patterns of Enterprise Application Architecture.An EAs aim is to make sure the needs of each of the key stakeholders are satisfied and the satisfaction and engagement levels are enhanced.

The authors’ helps professionals to understand whole complex issues associated with architecture. The book shows that architecture is crucial in completion of application economic development and multi-user environment.In addition, the book provides patterns and context in EA that enables the reader to have proper means to make the right decisions. Lankhorst, M.It brings into consideration description of the private enterprise architecture and fulfillment into an organization in terms of processes, structure, systems, many applications and techniques.The book brings into consideration description of components and unambiguous specification to allow for a logical modeling language. They utilize their skills in ensuring that the architects have concrete skills that fulfill the architectural practice. It also gives means that allows communication between stakeholders that are involved in these architectures.(2003). A practical Guide to Enterprise Architecture. New York: Pre ntice Hall PTR. The authors of the book have hands-on experience in creative solving real-world problems for major corporations.(2003). Guide to Enterprise IT Architecture.New York: Springer Publishers. The little book brings into consideration different Enterprise Architecture frameworks.

& Weill, P. (2006).Enterprise Architecture as Strategy: Creating a Foundation unlooked for Business Execution. Chicago: Harvard Business Press.Scheer, A. & Kruppke, H. (2006). Agility by ARIS Business making Process Management.Thus, the book is business oriented with EA playing an important role. Schekkerman, J. (2003). How to Survive in the Jungle of Enterprise Architecture Frameworks, 2nd Ed.Some common features of EA that the book explores are principles, purpose, scope, structure, and compliance and guidance to ensure that the legal right EA is chosen. Wagter, R. & Steenbergen, M. (2005).