Sunday, December 29, 2019

Understanding Highway Hypnosis

Have you ever driven home and arrived at your destination without remembering how you got there? No, you werent abducted by aliens or taken over by your alternate persona. You simply experienced highway hypnosis. Highway hypnosis or white line fever is a trance-like state under which a person drives a motor vehicle in a normal, safe manner yet has no recollection of having done so. Drivers experiencing highway hypnosis may zone out for short distances or hundreds of miles. The idea of highway hypnosis was first introduced in an 1921 article as road hypnotism, while the term highway hypnosis was introduced in 1963 by G.W. Williams. In the 1920s, researchers observed motorists appeared to fall asleep with their eyes open and continue to steer vehicles normally. In the 1950s, some psychologists suggested otherwise unexplained automobile accidents might be due to highway hypnosis. However, modern studies suggest there is a difference between driving while tired and automatic driving. Key Takeaways: Highway Hypnosis Highway hypnosis occurs when a person zones out while driving a motor vehicle, often driving a significant distance with no memory of having done so.Highway hypnosis is also known as automatic driving. It is not the same as fatigued driving, as a person may engage in automatic driving safely. Safety and reaction times are negatively affected by driving when tired.Ways to avoid highway hypnosis include driving during daytime, drinking a caffeinated beverage, keeping the interior of the vehicle cool, and engaging in conversation with a passenger. Highway Hypnosis Versus Fatigued Driving Highway hypnosis is an example of the phenomenon of automaticity. Automaticity is the ability to perform actions without consciously thinking about them. People perform daily activities automatically all the time, such as walking, riding a bike, or performing a learned and practiced skill, such as knitting. Once a skill is mastered, its possible to perform it while focusing on other tasks. For example, a person skilled at driving a car can plan a grocery list while driving. Because the stream of consciousness is directed at the other task, partial or complete amnesia of the time spent driving can occur. While driving on automatic may seem hazardous, automaticity may actually be superior to conscious driving for professional or skilled drivers. This is called the centipede effect after the fable of the centipedes dilemma or Humphreys law after psychologist George Humphrey. In the fable, a centipede was walking along as usual until another animal asked it how it moved with so many feet . When the centipede thought about walking, its feet became entangled. Humphrey described the phenomenon another way, No man skilled at a trade needs to put his constant attention on the routine work. If he does, the job is apt to be spoiled. In the context of driving, thinking too hard about the actions being performed may worsen the skill. For most drivers, the dull trance state they experience is really falling asleep at the wheel rather than hypnosis. While a person experiencing true highway hypnosis automatically scans the environment for threats and alerts the brain of danger, a tired driver starts to experience tunnel vision and reduced awareness of other drivers and obstacles. According to the National Highway Traffic Safety Administration, fatigued driving accounts for over 100,000 collisions per year and about 1550 deaths. Drowsy driving is extremely dangerous, as it increases reaction time and impairs coordination, judgement, and memory. Numerous studies have shown sleep-deprived driving is more dangerous than driving under the influence of a 0.05% blood alcohol level. The distinction between highway hypnosis and fatigue driving is that its possible to experience automaticity while being wide awake. Driving when tired, on the other hand, can lead to falling asleep at the wheel. How to Stay Awake at the Wheel Whether youre freaked out by the idea of driving on autopilot (highway hypnosis) or are tired and trying to stay awake at the wheel, there are steps you can take to improve your focus and wakefulness. Drive in Daylight:  Driving during daylight hours helps prevent fatigue driving because people are naturally more alert under lighted conditions. Also, the scenery is more interesting/less monotonous, so its easier to remain aware of surroundings. Drink Coffee:  Drinking coffee or another caffeinated beverage helps keep you awake a few different ways. First, the caffeine blocks adenosine receptors in the brain, which fights sleepiness. The stimulant increases metabolism and directs the liver to release glucose into the bloodstream, which feeds your brain. Caffeine also acts as a diuretic, meaning youll have to stop for a bathroom break more often if you drink a lot while driving. Finally, consuming either a very hot or very cold drink will command your attention. If you prefer not to take more bathroom breaks, caffeine pills are available over the counter to provide the benefits without the additional liquid. Eat Something:  Munching on a snack gives you immediate energy and requires just enough attention to keep you on task. Have Good Posture:  Good posture maximizes blood flow throughout the body, helping to keep you in top form. Crank the A/C:  Its harder to fall asleep or into a trance if youre uncomfortable. One way to achieve this is to make the inside of the vehicle uncomfortably cold. During warm months, you can turn the air conditioner down to some arctic setting. In the winter, cracking a window helps. Listen to Music You Hate:  Music you enjoy may lull you into a relaxed state, while tunes you loathe cause irritation. Think of it as a sort of audio thumbtack, preventing you from getting too comfortable to doze off. Listen to People Talking:  Engaging in a conversation or listening to talk radio requires more concentration than listening to music. For most people, its a pleasant way to pass the time while remaining clear-headed. For drivers who seek to get into the zone, the sound may be an unwanted distraction. Stop and Take a Break:  If youre driving tired, youre dangerous to yourself and others. Sometimes the best course of action is to get off the road and get some rest! Prevent Problems:  If you know youll be driving a long distance, at night, or in poor weather, you can prevent a lot of problems by making certain youre well-rested before starting the trip. Catch a nap before trips that start later in the day. Avoid taking medications that make you drowsy, such as antihistamines or sedatives. References Peters, Robert D. Effects of Partial and Total Sleep Deprivation on Driving Performance, US Department of Transportation, February 1999.Underwood, Geoffrey D. M. (2005). Traffic and transport psychology: theory and application: proceedings of the ICTTP 2004. Elsevier. pp. 455–456.Weiten, Wayne.  Psychology Themes and Variations  (6th ed.). Belmont, California: Wadsworth/Thomas Learning. p.  200Williams, G. W. (1963). Highway Hypnosis.  International Journal of Clinical and Experimental Hypnosis  (103): 143–151.

Saturday, December 21, 2019

Genetic Dna And Bioinformatics ( Accession No. Xp Essay

RESULTS Isolation of BbovM17LAP gene The BbM17LAP gene available in GenBank (accession no. XP_001609968) was accessed through the National Center for Biotechnology Information (NCBI), and its sequence was retrieved for further analysis. The genomic DNA of BbM17LAP was found in chromosome 2, extending between 1,045,409 bp and 1,047,164 bp of the genome. The ORF of the corresponding mRNA encoding BbM17LAP consists of 1,578 bp. Alignment of the mRNA sequence with genomic DNA using Genetyx revealed that the gene has 4 introns within its ORF. The first one was a 33- bp intron (50-ggtatgtttgtttgaatactgctgaatctgtgta-30) situated near the 50 end of the gene. The other nucleotide sequences included a 35-bp (50-agatacttacagtaacgatacaagttcatgtaggt-30) intron, a 34-bp (50-tgggttacactctttatgctatatttgttatagg-30) intron, and a 40-bp (50- gtaagttaattgggctacaagaagcgtaatatacatacag-30) intron all located close to each other near the 30 end. Isolation of BbovM17LAP cDNA and bioinformatics analysis A pair of primers targeting the ORF of BbM17LAP was used to amplify and sequence the gene from a B. bovis cDNA expression library. This BbM17LAP cDNA encoded a predicted 55-kDa protein without a signal peptide. The translated BbM17LAP polypeptide shared significant homology with B. gibsoni M17LAP, having 71% amino acid identity and similarity (E value ¼0). The other significant homologues included Theileria parva and Theileria annulata M17 LAPs, both having 61% amino acid identities. The polypeptide

Friday, December 13, 2019

Norman Rockwell’s Paintings Free Essays

Norman Rockwell is a very imaginative character. He was able to paint images that captured the attention of millions. The first picture on page 22 is â€Å"A Family Tree†. We will write a custom essay sample on Norman Rockwell’s Paintings or any similar topic only for you Order Now It ends with a man, a woman, and a child. Because this is a family tree, we can infer that this is a husband, a wife, and their child. The second picture, â€Å"Freedom from Want†, shows a family gathering on a dinner table. That event could be what is known as Thanksgiving Dinner. The third picture, â€Å"Freedom from Fear†, shows a mom and a dad tucking there kids into bed. Now just by looking at these paintings, evidence of what they represent is pretty straight forward. This is the idealistic view of what families should look like about 50 years ago, known as the golden age for children to grow up. A little closer look, though, would reveal a different view upon these pictures. It is said that these paintings are a bit naive. The family tree starts off as what look like pirates. This is no way to represent an ideal family. In this tree, marriages from different classes of people collide to then form the perfect couple. And what about the second picture; everyone is sitting at the table with a smile on. Let’s get real people; every family has its conflicts. The last picture shows the parents putting their kids to bed and giving them comfort. Now take a look at the heading of the newspaper that the father is holding. â€Å"Bombings† and â€Å"Horror† are words that appear. Ironically, a glance at the facial expressions of the parents shows them to be very calm. I don’t know about you but I’d be pretty shaken if those were the headlines of my daily paper. The â€Å"Family Tree† painting compares with the photo of Thomas Jefferson’s tombstone. This is because the â€Å"Family Tree†, though from the same family, represents different types of people. Next to the tombstone, you also find different types of people, ranging from black to white. Each image has a different symbol, but both images represent â€Å"family. † The family tree is hereditary family, while the tombstone is national family working together as one to accomplish and make up what is now The United States of America. How to cite Norman Rockwell’s Paintings, Essay examples

Thursday, December 5, 2019

Article Review of Half Defense Positive Accounting Research

Question: Discuss about theArticle Review of Half Defense Positive Accounting Research. Answer: Introduction: This report discusses research paper on the half a defense positive accounting research. Positive accounting research is the research to test the positive accounting theory. Watts and Zimmerman state that the contract between parties in different organizations leads the accounting to be emerged. The scientific research is called to be positive accounting research when the non rational elements of human behavior cause accounting. Along with this, the main aims this report is to analyze the phenomena of the accounting research. The main aim of the research paper was to analyze the positive accounting research in intellectual project in scientific research with a view to identify the cause and effect relationship in the world. The report will include the critical argument on ontology and epistemology, research methodology used in the article, hypothesis set out in the paper, and hypothesis testing with recommendation provided in the article. The main focus of the report is to identify t he cause and effect relationship in accounting. The article is focused on the review of epistemological and ontological hypothesis of the intellectual project to understand and gain insight into the deficiencies and importance of positive accounting research. Summary: This article analyzes and discusses Positive Accounting Theory. It compares two different theories positive accounting theory and normative accounting theory to identify the best one theory. It assesses the development of Positive Accounting Theory and puts in comparison with three standard account of science Lakatos, Kuhn, and Popper. This article demonstrates that rather positive Accounting Theory comprises of elements of all the three standards of science however methodological status of the Positive Accounting Theory does not fit any of three fully. Along with this, the article found that development of Positive Accounting Theory characterized normal science over the decades by Kuhn. This article aims to identify that how the current accounting research practices are below to whatever required conducting the research successfully. It also assesses two aspects epistemology and ontology of the positive research. Along with this, the article shows that Watts and Zimmerman devised a term Positive Accounting Theory for their theory of accounting. Along with this, the epistemology and ontology of the research programs of positive accounting have been examined. This paper identified that positivist research programs are very effective and powerful, however due to some deficiencies in the research practices it losing its value. This paper identified that casually development of theoretical models, dully reliance of research on the rational of hypothesis testing, no interest in the quantitative parametrical values, and analysis of qualitative data using theories exist. Different competing theories should be tested comparatively to ensure the critical qualitative research. According to this paper, the positive research in accounting is not able to attain scientific objectives of the research. However, normal science defined by Kuhn is best suited to the positive research in accounting than actual science. Apart from this, the article devised some suggestion such as better theoretical model for positive accounting research, better measurement of the theoretical models, and shifting the focus to anticipation of the parameters from testing the formed hypothesis. Hypothesis: There are following working hypothesis made in this paper. These hypotheses are The world is not depending on human imaginations. It is not made up by human beings and the events in the world are not under the control of human desires. Events in the world are neither consequence of the intervention for outside nor are duly random. Is it possible for any normal person to gather information with fair reliability about the events by observation? The goal of the intellectual enquire is to observe for gaining and developing the knowledge of the world. There is great complexity and difficulty in assessing the corporate directors social world than wolf pack. These hypotheses were developed based on the understanding and knowledge gained by the researcher from the literature review. The researcher did not assert for the hypothesis and revealed the general agreed explanation that the living being outside the world intervene in the world that causes the events in the world. Theoretical Framework: In this paper, theoretical framework has been used to conduct the qualitative positive research of accounting. This paper includes theoretical framework that defines the hypothesis, data collection, hypothesis testing, how the existing theories are falsified and proved, research approach, philosophy, and other research methods and methodologies for the qualitative and quantitative positive accounting research program. The epistemology, ontology and research methods are the part of interpretive research paradigm. Positive Research in Accounting: Positive accounting research is the testing of the positive accounting theory. According to Watts and Zimmerman, implied or express contract between parties in the different kinds of organization and the rational in their self interest may cause accounting. The positive accounting theory carries choice for managers, auditors decision for reporting and pricing, politicians and regulators decision regarding accounting standards, expert advice, and various other phenomena of accounting. Some kinds of accounting researches assess the human behavior without considering the rationality and self interest of the parties. Thus, the positive accounting research is broader than the positive accounting theory. This may be called as scientific accounting research as the non-rational elements of the human behavior cause the phenomena of accounting. Epistemology, Ontology, and Methodology: Epistemology and Ontology Positive accounting research is just different from the accounting research. Ontology states that the knowledge developed by the contextual and social understanding of the accounting. At the same time, epistemology aspect of the interpretivist paradigm states that how does one get to know about the worldview of a person. The positive accounting research is interpretivist research pursuing some of the question such as what, why, when, and how to develop the contextual understanding of the research topic or problem. The world does not object the nature of the persons consisted of their role, practices, relationships, and conducts. The events or contract between parties may be without following any rational aspects. The self interest as recited above should comprise of the experience gained by the social actor or person and the meaning he or she gives to his or her life and acts. Both of the elements of self interest give the sense of the subjectivity but they form an objective reality during the social interaction process among parties. Due to the logical difficulties between ontological and epistemological aspects of positive accounting research, the positive research programs are futile as they aims at developing the objective understanding of the factors causing phenomena of accounting. The ontology here has defined the reality of the social interaction between human beings and epistemology has defined that how the research can discover the meaning behind the activities and events took place. The research asks open questions rather than close ending questions to know about the viewpoints of the persons. The researcher decides about the questions to be asked from the participants. The manager controls over the research through the budgetary system. The key problem has to be identified for furthering the research process. It may be that the positive epistemology and ontology are not correct but they cannot be said illogical and absurd. Methodology: Methodology is the third element of the research paradigm. The methodology states that methods used in the research. The methodology used in the article given below: Research philosophy and research approach: The interpretivist research philosophy has been used in this paper to discover the causes of accounting phenomenon without non rational assumptions. The researcher used some questions such as what, why, when, and how regarding the relationship between positive and interpretive accounting research as that between humanity and science. At the same time, here inductive approach was used to prove the theories. Inductive approach has been used to gather the qualitative data to test the cause and effect relation between human behavior and accounting. Research Design and Method: The research design is the types of research to be used for solving the problem. The research design may be of two types such as quantitative research and qualitative research. The qualitative research has been conducted using inductive approach to gather the huge data regarding positive accounting research in organizations. The qualitative research methods include interview, narrative, observation, case study, ethnography, and others. Here the researcher has used qualitative research to test the theories. The qualitative research is used to test whether the nature of reality which is socially framed is not an insuperable issue, and is there a difficulty in observation of the corporate directors social world than the same of the wolf. The survey has been used to know the human behavior in the group. Survey is the method in which the information about behavior of the human in organizations is gathered through asking some question or observation. Hypothesis Testing or Findings: There are some steps of the Poppers theory that should be followed while testing the theories. This process includes four steps which are Carefully observation of the research objective and development of the ideas and viewpoints about that Development of theories including predictions in harmonious to reliable and relevant empirical evidences Testing the predictions of new theories and old existing theories in same situation and rejecting the theory fails in test Replication of step 2 and step 3 always The Poppers criterion may not be falsified and disapproved because many of the assumption are decided theoretically so falsification of that prediction does not show the assumption which is actually wrong. At the same time, the testing of hypothesis by the observation is not the scientific research therefore the Popper criterion cannot be disproved. The observation cannot help in measuring a single theory but in case of two or more theories the observation might be selected. A decisive observation can disapprove the theories which are incorrect but at the same time it would have to support to the competing theories or theory. The qualitative accounting research fails in solving the question whether theory of Foucault is applicable in situation of the adoption of the strategic system approach in auditing and whether the application technology of self devised by Foucault to ensure the compliance by front line auditors is an empirical question or not. The theoretical frameworks used are assertion that leads the failure of the qualitative accounting research. Recommendations: The paper provided includes some recommendation for effective positive research programs. A specific vulnerable model should be utilized with carefully entering the variables in model for mathematical measurement. Analytical modeling of the theoretical models to effectively test the theoretical prediction should be. In accounting research, the researcher should develop a theoretical model accordingly that may support in collection, validation and analysis of data. The main focus of the research should be on the measurement rather than testing. The measurement supports in developing the conceptual understanding. The Significance and Limitation of the Article: This paper identified that gap between positive accounting research programs and requirements to make it more effective for contributing in intellectual programs. This limitation affects the significance of the article. Improper selection of the research methods leads to ineffective research and testing of the theories that leads to incorrect consequences. These limitations put impact on the quality of the article and its contribution. The scientific research hypothesis set out the researchers was not accepted by the Kuhn theory. The article focuses on the Kuhn theory which is not accepted by other most of the scientists. Conclusion: From the above analysis, it can be concluded that the report defined the topic of the paper, hypothesis, theoretical framework of the research elements such as ontology and epistemology, research philosophy, research approach, research design, and data collection methods. It is found that the qualitative research is not able to addressing the research question related to the positive accounting research and positive accounting theory. There is some suggestion provided for the effective positive accounting research. The critical analysis in the paper has implication on the positive accounting research programs. The analysis suggested some recommendation that may help in improving the positive accounting research. References: Dunmore, P. (2009) Half a Defence of Positive Accounting Research. Retrieved from https://www.massey.ac.nz/~pvdunmor/HalfaDefence.pdf

Thursday, November 28, 2019

20 Argumentative Essay Topics on Gender Studies

20 Argumentative Essay Topics on Gender Studies Writing an essay can be quite difficult when you are tasked with crafting a topic that defines the direction of your essay. So do not feel defeated when such an assignment is assigned to you on the broad subject of gender studies. Due to the fact that we are always here to help you come up with hard-hitting topics with the potential to re-orientate your entire project. Writing on gender studies is definitely fun and the enlightenment you receive on society as a whole after conducting your research can be refreshing to your world view. So once again, we will attempt to simplify your task by providing you with 20 causal argument essay topics on gender status. This will be followed by a written essay sample using one of the outlined topics for inspiration in order to provide you with a template for writing a causal argumentative essay. Our 20 Exciting Causal Argumentative Essay Topics on Gender Status Discussing the Diverse Disciplines under Gender Studies and Their Roles in Society The Importance of Women’s Studies to Furthering the Role of the Girl-child in Modern Society Why Man Studies as an Interdisciplinary of Gender Studies Must Be Taken Seriously Analyzing Gender Roles and Acceptance in Today’s Workforce Understanding Women Marginalization in the Corporate World and its Historical Context The Role of Gender Studies in Ensuring Equal Education for all Genders, Ethnic Groups and Races The Womens Suffrage Movement and its Role in Pushing Equality in the Corporate World Analyzing the Role of Ethnicity in Defining an Individual’s Ability to Earn Analyzing the Roles of Gender and the Pay Disparity Problem in Today’s Society Gender Studies: Championing the Cause for Reducing the Education Gap between Men and Women Leveraging Gender Studies and Its Ability to Curb Domestic Violence by all Genders Analyzing Woman Suffrage, Domestic Violence and the Role of Women Studies Analyzing the Role of Gender Studies and Its Potential to Reduce Sexual Violence against Women Woman Studies: Understanding the Impact of Sexual and Physical Violence on the Girl-Child. Analyzing the Impact of Sexual Violence on the Mental Well-being of Women Discussing the Refugee Situation and its Effects on Women Worldwide Discussing the Role of Women Studies in Driving the Creation of Man Studies as an Academic Discipline Gender in Academia: Analyzing the Disparities in the Number of Men and Women in Research Roles Gender in Politics: Analyzing the Disparities in the Number of Men and Women in Political Positions Gender in Health Care: Analyzing the Issues Women Face in Receiving Adequate Healthcare These are 20 topics we promised and as you can see they spread across every facet of gender studies. This was done in order to make it quite easy for you to choose a topic that aligns with your interests. Next, a causal argumentative essay will be written using one of the outlined topics to provide further directions for writing your essay. Sample Paper on Analyzing Gender Roles and Acceptance in Today’s Workforce Picture this. In 2015, only 50% of qualified women, with either an education or some qualification, were a part of the world’s entire workforce while 77% of employable men were employed and the mentioned percentage is twice more than the same number in 1995. I believe it is important to note that this figure also reverberates around other spheres of the world’s everyday activities. Since the beginning of time, women have gotten a raw deal in terms of integration and acceptance in the corporate world. The academic field of gender studies have championed this cause by shedding light on the disparities as well as the reduced role the average woman plays even when she is as qualified candidate as other men are. This essay is an attempt to show that despite the inclusion policy instituted by most governments and institutions the numbers are still skewed against women and this shouldn’t be so. I’ll start by using the Orients as an example. In Saudi Arabia, the unemployment rate between men and women are quite startling. Current figures put men unemployment at 7% while women unemployment is at a 34% high and climbing. While some westerners might say this statistics is confined to the Saudis’, statistics from the US department of Labour shows that women are marginalized in the workplace in one way or the other regardless of location. These statistics includes the fact that the average woman earns 77 cents to a man’s dollar. Taking into account ethnicity and race pushes this ration to a lower and more absurd rate. The average African-American woman earns 64 cents to a Caucasian male dollar while a Latina woman earns 56% to the dollar. Going further to analyse women’s role in workforces that claim to see women as assets, other startling figures reveal themselves. A study conducted on the SP positions worldwide unearthed the fact that women occupy just 4.8% off senior positions in the corporate world. Considering the fact that a lot of women have the qualifications and expertise to occupy these roles, it is only normal to deduce that other factors than expertise play a role in how far any gender rises in the corporate world. It is a sad fact that women are viewed as second class citizens in corporate America as well as the rest of the world. To understand the social, historical and patriarchal reasons that makes this so falls under the domain of gender studies. This is why it is recommended that some sections or aspects of gender studies are integrated into mainstream education to raise the awareness worldwide. Here we come to the end of the second article in this installment covering the writing of a causal argumentative essay on gender studies. For further reading, we recommend checking out these articles: 10 facts for a causal argument essay on introduction to gender studies as well as receiving tips on writing a causal argument essay on introduction to gender studies. References: Probyn, E. (2001). Teaching in the Field: Gender and Feminist Media Studies. Feminist Media Studies, 1(1), pp.35-39. Gilligan, C. and Machoian, L. (2002). Learning to Speak the Language A Relational Interpretation or an Adolescent Girls Suicidality. Studies in Gender and Sexuality, 3(3), pp.321-341. Koutentakis, F. (2014). Gender Unemployment Dynamics: Evidence from Ten Advanced Economies. 29(1), pp.15-31. Mavisakalyan, A. (2015). Gender in Language and Gender in Employment. Oxford Development Studies, 43(4), pp.403-424. Dempsey, B. (2011). Gender Neutral Laws and Heterocentric Policies: â€Å"Domestic Abuse as Gender-Based Abuse† and Same-Sex Couples. Edinburgh Law Review, 15(3), pp.381-405. Terrance, C., Plumm, K. and Thomas, S. (2011). Perceptions of Domestic Violence in Heterosexual Relationships: Impact of Victim Gender and History of Response. Partner Abuse, 2(2), pp.208-223. Onoyase, A. (2016). The Impact of Gender, Family Type and Age on Undergraduate Parents’ Perception of Causes of Sexual Abuse. Higher Education Studies, 6(2), p.174.

Sunday, November 24, 2019

Pseudo Professional Essay Writers Traits That Must Set You Thinking

Pseudo Professional Essay Writers Traits That Must Set You Thinking Pseudo Professional Essay Writers Traits That Must Set You Thinking Are you looking for a bad writer to hire? The one who will waste your money and hurt your grades? Actually, it’s not a hard work to find such a person, it’s more difficult not to get into a trap of such a person! While searching for professional essay writers, you will get a lot of responses from different candidates. As practice shows, most of these responses will contain telltale warning signs, indicating that the particular applicant wont treat you with a good paper. This article highlights three common traits that almost all bad writers share. If the applicant has at least one of these traits, do not hire him/her, unless you want to flub up your grade and throw your money away. 1. Unreliable with Deadlines Bad writers fail to meet deadlines. Either they are disorganized, or they wait until the due date. If you face the feedback that says that the particular writer has once missed the deadline, it is implicit that he/she is going to miss it again and again; and you may be the next sacrifice. This is a bad deal for you, since it can hurt your grade, as well as can cause long-term issues like making you fall behind in your class. Thus, you have to omit such writers, as they cause nothing but troubles. 2. Use of Word Salad Many bad writers try to mask their downsides with big words and overly complicated sentences. They make essays difficult to read and hard to comprehend. As a result, it affects the grades negatively. If the professor cannot understand what you are trying to say, he/she will take points off the assignment. Do you really need it? So, if, while looking through the samples, you find the plot too hard to understand at the first reading, it’s better not to risk your own piece. Just spend some much time and find a better candidate. 3. Rambling and Incoherent Sentences Submitting a long-winded essay may hurt your grade a lot, but turning in an incomprehensible assignment is going to cause much more damage. If the writer’s pieces are full of confusing and nonsensical paragraphs, do not even toy yourself with the idea that your paper will be better. It is absolutely likely that the same mistakes will be committed to your project and they will cost you dearly. Moreover, you risk to be caught on the wrong foot, when your professor will ask you some questions due to your piece and you will be unable to explain such a tricky utterance. If you wish to waste money on the bad writer, who will hurt your grade and hinder your chances for success, go ahead and hire someone who meets all the criteria listed above. Otherwise, do the smart thing and work with the competent and skilled professional. Expert essay writers always meet deadlines; communicate the idea clearly, as well as write in the accessible vain. They will help you create the best essay ever that is delivered in time and contains all the information you need to get the highest score.

Thursday, November 21, 2019

Mrs. Fields Case Study Example | Topics and Well Written Essays - 2000 words

Mrs. Fields - Case Study Example Mrs. Field’s cookies can be characterized as a quite successful organization. The growth of the organization in the US market should be related to the capabilities and the characteristics of its founders, Debbi Sivyer and Randy Fields. At the first instance, meaning the time when they met, the resumes of Debbi and Randy were different; Debbi was trying to explore her skills in cooking while Randy had graduated from a first class university, Stanford, aiming to develop his future in economics. From this point of view, the future of Debbi and Randy would be expected, then, to be different. There would be no expectations, then, that the above persons, with different background and skills, would cooperate in a business, such as Mrs. Field’s cookies. Instead, Randy would be expected to become a successful economist, while Debbi would be expected to continue working in different roles, possibly increasing her skills in baking. However, the marriage of Debbi and Randy can be c onsidered as having an important role in the opening of their business. In accordance with the information provided through the case study, Debbi and Randy had different goals in regard to their business. Debbi aimed ‘to bake great cookies’ (case study, p.2) while Randy thought the specific initiative as a profitable investment, taking into consideration the market needs for products of the particular characteristics. Under these terms, it is assumed that Debbi and Randy supported the opening of the first store for promoting their own aims, as described above. The potential existence of common interest, referring to the family income that would be generated through the particular project, was also a critical reason that led to the support of this initiative both by Debbi and Randy. The opening of the second store resulted to an important dilemma for Debbi: Debbi

Wednesday, November 20, 2019

Strategy Book and creative book Essay Example | Topics and Well Written Essays - 1750 words

Strategy Book and creative book - Essay Example They also operate a restaurant in Oregon serving mainly vegetarian dishes. Their premises are open all week through from 7 AM to 11 PM. Its herbal department also stocks a variety of medicinal herbs that clients could purchase (Paul 12). One of the main competitors is Whole Foods. It was created in 1980 in Austin. It is more of a grocery store but deals mainly in organic food substances. Its produce is available in several supermarkets across North America. Walmart is another key player in the organic food market. It is a large-scale store with units in over 28 countries worldwide and almost 10000 stores. Their stores stock over 400 different varieties of organic foods. Costo are another competitor in the market. They have over 600 branches spread out over the country. However, even with their many branches and long reach, costo are still not able to exhaust the demand for organic products. However, they have succeeded in creating great customer royalty from their clients. Kroger has retail stores in about 31 states countrywide. They stock several varieties of the common organic food products plus several of their own custom brands. However, these variations in the products they offer can be cause loss of some of their market share. Health experts and increasing awareness of the effects of food products that people consume has led to an increase in demand for organic food products. With rapid increases in the per capita income for consumers, there has increase in demand for fresh food produce. These mainly include fruits and vegetables. People rely on supermarkets and grocery stores for their food produce needs. A survey carried out by the Hartman group on consumer behavior in the USA shows that people purchase organic foods because of superior taste and benefits to their health. Safety concerns especially because of the processes through which the food is produced are another motivating factor

Monday, November 18, 2019

Scholarship Dissemination Methods Research Paper

Scholarship Dissemination Methods - Research Paper Example Dementia is a non-specific ailment condition that affects a person’s areas of cognition such as recollection, attention, linguistics and problem solving. It may occur in two stages, static or an effect of a brain injury, or progressive which results to long-term deterioration as caused by injury or illness. The fact that the early onset of dementia is likely to transpire at the age of 65 indicates that this is an important concern for old people as well as their family members that would have to take care of them during their battle with the disease (Fadil et al. 247). According to Ward-Griffin, Bol and Oudshoorn (121), there are only few known studies directed to document the care giving experience of dementia patients and their perspectives in their condition. In order to explore further on this topic, they specifically conducted a qualitative investigation regarding the standpoint and experiences of mothers with dementia that are being taken care of their daughters and thei r relationship with them. The authors gathered separate thorough interviews on a sample of ten women suffering from mild to moderate mental impairment and developed a template analysis strategy that will classify the index of gathered data using the answers to the following inquiries: (1) how do women with AD and their adult daughters describe their experiences of receiving/providing care? (2) How do women with AD and their adult daughters describe their relationship? (3) What contextual factors influence the care provided/received? (127). In the study, the analysts recruited mothers suffering the early stages of dementia and tested them using the Standardized Mini-Mental Status Examination (SMMSE). Only participants who established good oral and comprehension skills and obtained high scores in SMMSE were interviewed using audiotape recording. A written material detailing the purpose and nature of the research were provided to participants with two interviews conducted in a span of six to nine months. On the other hand, the daughters who took part of the program recounted that they have been providing care for their mothers at an average of three days per week and been doing it for the past forty-nine months (Ward-Griffin, Bol and Oudshoorn 129-130). Less research documentation was applied in data collection concerning individuals with dementia. It involved separate interviews of the mothers and daughters to ensure a more candid response specifically from the elderly patients, the participants answering a demographic questionnaire at the end of the first interview and the analysts providing full field notes after each interview. Hence, the interviewers exemplified the importance of attaining the perspectives of dementia patients by employing additional interview strategies that is suitable for their condition (Ward-Griffin, Bol and Oudshoorn 130). According to the authors of the research, the qualitative data was analyzed using the guiding principle of Lofland and Lofland where full field notes consisting of perception, insights and observations are immediately written after an interview. The interviewers continuously provide his or her insights thru notes and memos. Gathering of information and its analysis were processed simultaneously

Friday, November 15, 2019

Human Rights Law DNA Profiling A Comparative Analysis Law Essay

Human Rights Law DNA Profiling A Comparative Analysis Law Essay It has been pointed out already that no knowledge of probabilities, less in degree than certainty, helps us to know what conclusions are true, and that there is no direct relation between the truth of a proposition and its probability. Probability begins and ends with probability. John Maynard Keynes What is DNA? DNA (Deoxyribonucleic acid) is the chemical basis of life that complexes with proteins to form the chromosomes. The sequential arrangement of the individual nucleotides in DNA is responsible for the distinctiveness in any given life form.  [2]   Simply put, DNA is a genetic material that is found in tiny parts of our body such as a drop of blood, saliva, semen etc. No two persons can ever have 100% similar DNA, unless they are related by blood. Even in those cases, depending on the proximity of relationship, it can vary immensely. What is DNA fingerprinting? It is a method, by which an individual can be identified on the basis of their fingerprints. It is a less powerful tool than DNA as DNA contains information that possibly reveal way more than just identity. It could also reveal close relatives, medical history among others and hence there are human right concerns, as well as issues relating to privacy. This information gathered could easily be misused if not placed under adequate supervision in the hands of trustworthy persons. Therefore, DNA databases must be treated with extreme caution balancing privacy with its potential landmark use in criminal justice.  [3]   According to the DNA Profiling Bill, 2007,  [4]  DNA data base means a data base whether in computerized or other form, containing the indices mentioned under sub section (4) of Section 33  [5]  ,  [6]  . The American Society of Human Genetics (ASHG) statement on DNA Banking and DNA Analysis defined a DNA bank as a facility that stores DNA for future analysis  [7]   The DNA Profiling bill, 2007 defines DNA Data Bank as a computerized and consolidated DNA profile storage and maintenance facility.  [8]   DNA fingerprinting/profiling is helpful in case of criminal justice where DNA of the victims and suspects are collected from the scene of crime and then is matched in the DNA database with the sample obtained from the victim. Further, the DNA collected is also stored in the DNA Database for future use which is where the problem of privacy and rights arises.  [9]   Thus DNA profiling has raised issues regarding encroachment on human rights and unrestricted creation of DNA databases or DNA data banks heaved privacy concerns. Many countries have DNA databases and India is in the process of setting up one. In this regard, the DNA Profiling Bill, 2007 is in the pipeline but is yet to be passed by Parliament due to the above-mentioned concerns. The UK has the largest forensic DNA database in the world. The UK database already holds DNA profiles (and biological samples) from four million citizens constituting about six per cent of the population. The US CODIS database has become slightly larger in terms of the number of samples but still only represents one per cent of the population.  [10]   DNA contains information that raises much broader privacy and other civil liberties concerns. There is a requirement of changes to be made to limit the development of DNA databases, safeguard privacy and human rights. But at the same time its value in criminal investigation should not be overlooked and compromised. This research paper aims to analyze pros and cons of DNA, to throw light on current scenario of DNA Banking in India, UK and USA and to harmonise the positive and negative aspects of the technology and make it responsive to the present requirement so that neither investigation or research is compromised, nor privacy and rights of people are affected. It shall however, limit its scope to discuss whether DNA Banking is actually encroaching upon Human Rights and raises Civil Liberties concerns. Also, the DNA Profiling Bill of 2007 is analysed and any repercussions on Human Rights are discussed. II. DNA DATA BANKING, HUMAN RIGHTS AND CIVIL LIBERTIES How does DNA profiling affect Human Rights? The main issue is inclusion of DNA of any innocent person in DNA Database. The DNA from suspects are taken and put into the DNA Databank. People volunteer to give their samples to help the police in investigation. The problem arises when innocent persons on suspicion but who are not convicted are also included within this database. Thus, DNA from innocent people is also stored in databases, which will then be available to police authority to be used whenever they require and in whatever manner they want. This encroaches upon privacy, human rights and civil liberties of those innocent people as DNA is biological matter that is unique to every person and hence shouldnt be stored and misused for unnecessary purposes. Giving the police access to DNA samples, however, could enable a number of other biases to creep in, including ethnic referencing, where based on DNA, it is possible to differentiate against the race which the person belongs to, w hich certain sections of society have opposed as being racial. Effect of creation of unrestricted and unlimited databases: 1) Undermines the presumption of innocence until proven guilty Everyone charged with a penal offence has the right to be presumed innocent until proved guilty according to law in a public trial at which they have had all the guarantees necessary for their defence.  [11]   Everyone charged with a criminal offence shall be presumed innocent until proved guilty according to law.  [12]   Although the Constitution of the United States does not cite it explicitly, presumption of innocence is widely held to follow from the 5th, 6th and 14th amendments. The United States Supreme Court in Coffin v. United States  [13]  established the presumption of innocence of persons accused of crimes. In India as well, the presumption of innocence is considered as a fundamental principle of criminal justice system. The Indian Constitution provides for the protection of the innocent under Articles 20 and 21. The right against self-incrimination is also provided for in Article 20(3)  [14]  of the Constitution of India, which means that the accused is not supposed to make any statement against his will. It is a principle of common criminal law jurisprudence that is envisaged under Indian Constitution. The principle is based on another principle of common criminal law jurisprudence that a person is presumed to be innocent and it is for the prosecution to establish his guilt.  [15]   In the UK too, it is a well established principle of criminal law that a person is presumed to be innocent unless proven guilty, and this principle was emphasized upon in the landmark judgement of Woolmington v DPP  [16]  . DNA Profiling undermines the presumption of innocence until proven guilty. The decision is accepted in a plethora of cases in India. Even after the completion of a process, DNA database retains the information and thus every time a check is run through the system, innocent peoples entries is also included. Thus, a presumption of guilt exists. As has been found in the UK, including many innocent people in the database does not improve the chance of solving crimes. Instead, there are now more false matches and errors in addition to the clogging of laboratories that have been set up for DNA testing. Such a backlog could be eased if only the focus was on the guilty rather than the innocent.  [17]   The English case of R (S Marper) v Chief Constable of South Yorkshire  [18]  , in the the Court of Appeal in 2002 and the House of Lords in 2004 challenged the retention of fingerprints and DNA samples taken from individuals who have not been convicted of an offence as violation of Article 8  [19]  and Article 14  [20]  of European Convention on Human Rights. Both the courts ruled that retention of fingerprints and DNA samples either did not have an impact on private life so as to bring Article 8 into play or, if it did, was only a modest infringement. The courts also rejected the argument that the difference between the treatment of unconvicted persons who had not been arrested and were not on the database and those who had been arrested and thus were on it did not fall within the prohibited grounds of discrimination in Article 14 of the ECHR. The claimants then approached European Court of Human Rights in Strasbourg and the court in case was particularly concerned that people who had not been convicted of any offence and are entitled to the presumption of innocence would be stigmatised by being treated in the same way as convicted persons.  [21]  The Court stated that it must be borne in mind that the right of every person under the Convention to be presumed innocent includes the general rule that no suspicion regarding an [accused persons] innocence may be voiced after his acquittal.  [22]  It recognised that the retention of the applicants private data cannot be equated with the voicing of suspicions. But it stated that the perception of unconvicted persons whose biodata are on the database that they are not being treated as innocent is heightened by the fact that their data are retained indefinitely in the same way as the data of convicted persons, while the data of those who have never been suspected of an off ence are required to be destroyed.  [23]   2) Encroachment to privacy No one shall be subjected to arbitrary interference with his privacy, family, home or correspondence, nor to attacks upon his honor and reputation. Everyone has the right to the protection of the law against such interference or attacks.  [24]   In a European context, Article 8  [25]  read with Article 14  [26]  of European Convention on Human Rights assures privacy to human beings as Human Rights. In the US, the Supreme Court of the United States in Griswold v. Connecticut  [27]  has found that other guarantees have penumbras that implicitly grant a right to privacy against government intrusion. Right to Privacy is covered under Article 21  [28]  of the Indian Constitution.  [29]  It  was  held  by  the honourable  Supreme  court  in  the case  of  R. Rajagopal v. State of Tamil Nadu  [30]  that It is an established fact that every citizen has a right to safeguard the privacy of his own, his family, marriage, procreation, motherhood, child bearing and education and other matters. Similarly in the case  of Sri Banarsi Das v. Miss Teeku Dutta and Ors.  [31]  , the Honourable  Supreme  Court   held   that   submitting   to   the  DNA  test  is  violation  of  right  to privacy  under  article  21 of  the  Constitution  of  India.   The European Court of Human Rights in Strasbourg in the case of S Marper observed that since the protection of personal data is of fundamental importance to a persons enjoyment of his or her right to respect for private or family life, domestic law must afford appropriate safeguards particularly where the data is undergoing automatic processing for police purposes.  [32]  Despite the advantages of a large DNA database, other Contracting States have chosen to set limits on the retention and use of such data with a view to achieving a proper balance with the competing interests of preserving respect for private life.  [33]   In the Courts judgment, the protection afforded by Article 8 of the Convention would be unacceptably weakened if the use of modern scientific techniques in the criminal-justice system were allowed at any cost and without carefully balancing the potential benefits of the extensive use of such techniques against important private-life interests.  [34]   III. POSITION IN UK Since 1984,  DNA testing is allowed with limited use with the help of doctors to obtain samples. In 1993,  The Royal Commission on Criminal Justice recommended the setting p of a DNA database. The database was proposed as a more objective form of forensic identification, with as much potential to eliminate suspects as to secure convictions. In 1994,  [35]  The Criminal Justice and Public Order Act (CJPOA) established the NDNAD, and the police could independently take samples without assistance from a doctor. The law further unreasonably stated that if a person was subsequently found guilty, their information could be stored on the database and their sample kept indefinitely; if they were not charged or were acquitted, the data and the sample had to be destroyed.  [36]   Susequently, The Criminal Evidence (Amendment) Act in 1997 allowed non-intimate samples to be taken without consent from individuals who were still in prison having been convicted for a sex, violence or burglary offence prior to the NDNAD being set up in 1995.  [37]   The Criminal Justice Act 2003 allowed DNA profiles to be recorded without consent from anyone in jail who was suspected of any offence including minor ones. In addition, these records could be kept permanently, irrespective of his conviction or not.  [38]   In April 2004, the Criminal Justice Act, 2003 came into force. The Counter-Terrorism Act 2008 extended police powers to allow DNA and fingerprints to be used in the interests of national security.  [39]   Thus, the position regarding DNA fingerprinting and retention of DNA Profile has been constantly changing but ultimately led to violation of right of privacy of person from whom the sample has been obtained because of indefinite retention. After the Marpers case, however, the European Court of Human Rights finally quashed the indiscriminate and arbitrary retention of samples and the extent of powers given to the police of England and Wales with respect to DNA profiling. This is the first step in the correction of a potential gross misuse of these powers. Further, even the ECHR, alse recommends, In relation to the taking of samples, in paragraph 4 the Committee of Ministers recommends, The taking of samples for the purpose of DNA analysis should only be carried out in circumstances determined by the domestic law; it being understood that in some States this may necessitate specific authorisation from a judicial authority. Where the domestic law admits that samples may be taken without the consent of the suspect, such samples should only be carried out if the circumstances of the case warrants such action.  [40]   Thus, in recent times, the UK and Europe in general have finally moved forward and realized the potential dangers of having an open DNA database. IV. POSITION IN USA CODIS (Combined DNA Index System) is the DNA database for USA. Internationally, more than 40 law enforcement laboratories in over 25 countries use the CODIS software for their own database initiatives.  [41]   The first appellate court validations of DNA-matching testimony in the US were seen only in 1988, in the decision by a Florida appeals court in the case of Andrews v. Florida  [42]  , where the court accepted DNA print-identificaiton evidence linking defendant to a sexual assault.  [43]   CODIS, as compared to the other software, is relatively better equipped to deal with the issue of civil liberties and privacy, since it has divided the profiles in various parts according to the type of DNA collected such as say blood, or semen etc; separate indices for missing persons, voluntary contributors etc. have also been carefully segregated so that it is easier to identify and segregate them to ensure removal in future. However, there is no express provision regarding removal if the person is found guilty in the case of CODIS.  [44]   However, in the case of NDIS, i.e. (The National DNA Index System), samples are collected only in accordance with state laws, and are to be disposed off if the persons are not guilty. However, the FBI, along with 15 states, have decided to expand DNA collection efforts in April 2009 to include those who are awaiting trial as well as detained immigrants. With this expansion the bureau estimates an additional 1.2 million samples per year by 2012. This definitely raises concerns about the inclusion of several innocent people who, in all probability, havent even committed a single crime.  [45]   In the case of US v. Kincade  [46]  , a 9th circuit Court of Appeals decision, the defendant appealed after a federal district judge sentenced him for violating the terms of his supervised release by refusing to submit a blood sample for DNA testing. The Court of Appeals held that the requirement under the relevant Act that certain federal offenders who were on parole probation or supervised release submit to compulsory DNA profiling, even in the absence of individualized suspicion that the had committed additional crimes, was resasonable and did not violate the 4th amendment.  [47]   The position relating to privacy rights is yet to be settled in the US though, as it desperately awaits a Marper-like law as was in the UK. V. POSITION IN INDIA There is no DNA Data Bank existing at this point of time in the country though DNA Profiling technology does exist and DNA Profiling is being done at Centre for DNA Fingerprinting and Diagnostics (CDFD), Hyderabad. But there is no mechanism established by law for storage of DNA Profiles. Further, no legislation pertaining to the same has been passed till date. The DNA Profiling Bill, 2007  [48]  was introduced with an objective to enhance protection of people in the society and administration of justice, analysis of DNA found at the scene of crime, of the victim or offender has been used to establish identity. It also provides for eminent persons, molecular biologists, law enforcement officers etc. to set about appropriate standards for labs, as well as the creation of the position of a DNA Databank  [49]  Manager who would be in charge of supervision, execution and maintenance of Databanks.  [50]  Further, a DNA Profiling Board comprising of eminent molecular biologists, forensic experts etc. is appointed  [51]  , and its powers and functions according to Section 13 of the Bill include mainly ensuring practices followed by the relevant bodies are in accordance with privacy statutes, in order to protect confidentiality etc. Chapter-VII (Sections 33-37) of the Bill provides for establishment and conduct of DNA Data Bank and provisions ancillary to it. Section 33 provides for establishment of DNA Data Banks both at Central and State level by their respective governments though a notification in official gazette. The National Bank is essentially comprised of the DNA data that has been given by the State Banks. As followed by the NDIS in the US, India also proposes to segregate the DNA profiling into indices, such as crime-scene index, a suspects index, an offenders index, a missing persons index, unknown deceased persons index, a volunteers index etc. to enable better identification. Here the crucial point is regarding retention of data of volunteers. Once the investigation is over there is no purpose to keep volunteers in the record, their privacy rights are being violated in that case. 33(6) of the Bill states that the Date Bank shall contain the identity of the person from whose body substance or body substances the profile was derived in case of a profile in the offenders index and the case reference number of the investigation associated with the body substance or body substances from which the profile was derived in case of all other profiles. This provides a benefit to volunteers as their identity is not retained only the offenders identity is retained. Section 34 provides for Matching of profiles where DNA samples are matched with the DNA profiles in the Data Bank. Once this is done, it is given to the relevant Courts or tribunals that then decides on the basis of these evidence. In order to interlink our Database with foreign databases to enable better criminal identification, Section 35 provides for exchanging information regarding DNA profiles with other international Governments or Organisations, but only with prior approval from the Government. Often, the DNA of even victims is required in the process of finding the perpetrator of the crime. This could lead to a situation where it could be grossly misused if not protected. In order to protect the confidentiality of victims, Section 36 restricts the access to information with regards to victims of offences; as well as persons who have ceased to be suspects. However, information relating to convicts is kept indefinitely unless he has been acquitted. Section 37 further gives effect to rights of persons whose conviction has been set aside by providing for expunging of their records from the data bank. As the bill has not been passed yet, not much can be concluded with regard to encroachment of Human Rights of people whose DNA will become a part of DNA Databank. Most important is proper implementation of the Act, if the bill is passed. Mainly, it is important to take into consideration, the debate that the Marper case has brought forth in order to harmonise Human Rights with criminal investigation. VI. CONCLUSION ROAD TO THE DNA PROFILING BILL, 2007 This is an era of technology and DNA profiling is quickly advancing. Every coin has two sides, similarly technology has its pros and cons. There is a scope of error, encroachment upon the privacy etc., but the benefits of DNA profiling to criminal investigation system cannot be overlooked. However, society must be warned of the repercussions of a technology. At the same time there is a need for legislatures to see that the negative impact of it can be either avoided or done away with so as to not hamper Human Rights and Civil Liberties of the people at large. Also it should be taken into consideration that the benefits of it are enjoyed to the fullest. A few suggestions that the author places forward are as follows : Databases of those individual who are found innocent shall be eliminated and shall not be retained at all. Importance needs to be placed to the concept of informed consent before taking the DNA of an innocent person (note that innocent here includes suspects, a person is guilty only on conviction). Law enforcement agencies should make sure that taking DNA without consent, or through trickery or fraud will be a punishable offence under the IPC. Data Banks that permanently hold DNA data should be used sparingly only to include convicts who have been convicted of serious offenders. Further, any information that could lead to any bias against them, or any other member of their family is to be kept extremely confidential or deleted. The DNA Profiling Bill, 2007 is well drafted and there are provisions regarding deletion and retention of DNA Databases. But it should be kept in mind that volunteers shall be adequately protected for which not much is expressed in the legislation. Any legislation must take into account the pros and cons and indulge in an informative debate before deciding upon its feasibility in a country like India. While its benefits in the criminal justice system cannot be overlooked, particularly in cases of Serial offenders, and in reducing the costs of identifying future offenders; the very basic core of human rights and legal principles relating to innocence cannot be ignored. It is the authors sincere hope that the Indian legislation, if passed shall take into consideration these matters of grave importance, before implementing at this groundbreaking legislation that could change the criminal justice system forever, for the better.

Wednesday, November 13, 2019

life stinks :: essays research papers

Graduation speech Good afternoon distinguished guests, parents, teachers, administrators, friends and especially to the CLASS OF 2003. Today marks the end of a chapter in our lives. Tomorrow we will embark on a journey to places unimaginable. No longer will we be sheltered by those things that have been our foundation for so many years. We will have to make decisions independently. In fact we will be independent. Independent from our parents, from our communities, and from the friends that have defined who we are. But, with this independence comes responsibility. Mark twain states â€Å"Independence is loyalty to one’s best self and principles.† Before starting the rest of our lives we must be sure of who we are. We must set principles for ourselves and stand firm on those principles. Fighting for what we believe in; never sacrificing who we are. We should never settle for less than our dreams. Each of us has the capacity to accomplish all of our goals. We are the walking embodiment of potential. At this time in our lives we have what most adults envy, options. Thomas Edison said â€Å"If we did the t hings we are capable of, we would astound ourselves.† Strive to live a life worth living. Do not define success as the amount of money in your pocket or the square footage of your homes. But instead determine success by the relationships you have and the happiness you find. We are prepared and eager to face the Journey ahead. As we begin this next chapter of our lives, my desire is to live life to the fullest or as John Eldredge more eloquently states â€Å"I want to love with more abandon and stop waiting for others to love me first.

Sunday, November 10, 2019

Character Analysis: John Updike A&P

John Updike’s story entitled â€Å"A&P† is a narration of a man who seeks for his identity and pride. The narrator of this story is also the main character – Sammy. This protagonist is a simple man – a grocery clerk and an observer.Because of this job, Sammy used to observe his costumers and the ambiance of the A&P. However, due to one situation that occurred into the grocery store, Sammy realizes many things and gives him certain actions that changed his life. Being the main character of the store, Sammy shows different emotions – happy, angry, sad, confused, and puzzled. That is why Sammy is a picture of transforming identity from the beginning up to the end of the story.In terms of sympathy towards Sammy’s character, I have seen that Updike uses different factors and elements to show emotions and actions coming from the main character. It is to provide conflict, climax, and resolution to the story. the author sympathize with Sammy’s character that can be seen in the end of the story where Sammy realizes that he has no job and the worlds will not be a better place for him anymore.This part shows sympathy in a sense that the author makes the character realize the fact of life and did not only release the solution of the conflict. Updike shows the justification and idea of Sammy after he quit his job, which is a form of sympathy to the character.Because the character comes from a middle class, the language is casual and straight. In the beginning of the story, we could see that Sammy is very observant with people or with his environment. When Sammy wants to express his feelings, he shows it directly without any form of pretention.From this fact, it defines the identity of Sammy as a normal character with dignity and pride. However, the way he describes things or people is dramatic in a sense that he provides accurate imagination to feel and understand his perceptions. As the story goes by, we could able to show t hat Sammy starts to express his actions and words together that changed his path.Sammy is easily affected by his environment. This is the most significant trait that he showed throughout the story. From the beginning up to the end of the story, Sammy establishes a concept of being affected to everything that happens in his environment. From this fact, we could distinguish that Sammy is a composition of attraction, curiosity, inferiority, and distinction. All these factors rehabilitate the mind and actions of Sammy towards other people like Quennie and Lengel.In my own observation, I can say that Sammy’s persona is dynamic because his actions and motivations are not stable. As the story goes on, Sammy’s personality elevate from one factor to another. In the beginning of the story, Sammy is an observant. When he saw Queenie in a swim suit, he started to analyze things. When Lengel enters the scene and confronts the ladies in swim suit, Sammy talks to Lengel. When Sammy t hinks that Lengel’s actions are illogical, he quits his job. His actions had a process to establish his character – not just a static formation of his identity.From all of these, I can say that Sammy is a good character that can be played. He is flexible enough to adjust in different scenarios. This is what I like with his character. Even if he is prank, direct, and ‘weird’ character, there is a concept of intelligence that lies within his persona. It shows that Sammy was not easily manipulated by his environment but he could think and become supple to show who he really is.Work CitedUpdike, John. A&P.

Friday, November 8, 2019

Old English Terminology essays

Old English Terminology essays Present days English language has changed in many ways in the past 350 to 1600 years. The way words are pronounciated and written have changed the most. I have chosen the subjects of sports and games because both have altered in both of these manners. By looking at the words I am going to describe, you will able to see how modern people have came up with our own way of saying the same item. Sports are now being called different names then when they were originated, but the games have almost stayed the same. For example, what we call two chickens fighting to the death is a cockfight. During old England, the called the same fight a Shrove Tuesday(www.regia.org/games). There were slight differentials though, in where kids would bring these angry chickens to school and the schoolmaster would control the fights. Some minor changes in the language were words like billiard, which was spelled billard (Hendrickson, page 23), or javelin, which was known as gafeluc(www.mun.ca/ansaxdat/vocab). Board games were also a favorite pastime of children and adults alike. The most played games were tafl (www.regia.org/games), which was virtually checkers with a few special pieces that had more options on the board. Tafl literally meant table. Brannantafl, hnefatafl, and hraeotafl were all variations of the special game of checkers, except there were a few variations of the rules de pending on where you were in the country. Chess, however, was by far the most popular game of the time. In the 1200s, it was spelled hchestafl(www.mun.ca/ansaxdat/) but it had the same rules that we use today. Other pastimes of the era included knatteleik, kingy-bats, and skofuleik, which were all violent versions of hockey and hurling combined (www.regia.org/images/Tiberius/). Some less violent sports played in about 1000 were swimm ...

Wednesday, November 6, 2019

Introduction to Post-Roman Britain

Introduction to Post-Roman Britain In response to a request for military assistance in 410, Emperor Honorius told the British people they would have to defend themselves. The occupation of Britain by Roman forces had come to an end. The next 200 years are the least well-documented in the recorded history of Britain. Historians must turn to archaeological finds to glean an understanding of life in this time period; but unfortunately, without documentary evidence to provide names, dates, and the details of political events, the discoveries can only offer a general, and theoretical, picture. Still, by piecing together archaeological evidence, documents from the continent, monument inscriptions, and the few contemporary chronicles such as the works of Saint Patrick and Gildas, scholars have gained a general understanding of the time period as set forth here. The Map of Roman Britain in 410 shown here is available in a larger version. The People of Post-Roman Britain The inhabitants of Britain were at this time somewhat Romanized, especially in urban centers; but by blood and by tradition they were primarily Celtic. Under the Romans, local chieftains had played an active role in the government of the territory, and some of these leaders took up the reigns now that the Roman officials were gone. Nevertheless, cities began to deteriorate, and the population of the entire island may have declined, in spite of the fact that immigrants from the continent were settling along the east coast. Most of these new inhabitants were from Germanic tribes; the one most often mentioned is Saxon. Religion in Post-Roman Britain The Germanic newcomers worshipped pagan gods, but because Christianity had become the favored religion in the empire in the preceding century, most Britons were Christian. However, many British Christians followed the teachings of their fellow Briton Pelagius, whose views on original sin were condemned by the Church in 416, and whose brand of Christianity was therefore considered heretical. In 429, Saint Germanus of Auxerre visited Britain to preach the accepted version of Christianity to the followers of Pelagius. (This is one of the few events for which scholars have corroborating documentary evidence from records on the continent.) His arguments were well-received, and he is even believed to have helped fend off an attack by Saxons and Picts. Life in Post-Roman Britain The official withdrawal of Roman protection did not mean that Britain immediately succumbed to invaders. Somehow, the threat in 410 was kept at bay. Whether this was because some Roman soldiers stayed behind or the Britons themselves took up arms is undetermined. Nor did the British economy collapse. Although no new coinage was issued in Britain, coins stayed in circulation for at least a century (though they were ultimately debased); at the same time, barter became more common, and a mixture of the two characterized 5th-century trade. Tin mining appears to have continued through the post-Roman era, possibly with little or no interruption. Salt production also continued for some time, as did metal-working, leather-working, weaving, and the production of jewelry. Luxury goods were even imported from the continent an activity that actually increased in the late fifth century. The hill-forts that had originated centuries before showing archaeological evidence of occupancy in the fifth and sixth centuries, suggesting they were used to evade and hold off invading tribes. Post-Roman Britons are believed to have built timber halls, which would not have withstood the centuries as well as the stone structures of the Roman period, but which would have been habitable and even comfortable when they were first constructed. Villas remained inhabited, at least for a while, and were run by wealthier or more powerful individuals and their servants, be they slave or free. Tenant farmers also worked the land to survive. Life in Post-Roman Britain couldnt have been easy and carefree, but the Romano-British way of life survived, and the Britons flourished with it. Continued on page two: British Leadership. British Leadership If there had been any remnants of centralized government in the wake of the Roman withdrawal, it rapidly dissolved into rival factions. Then, in about 425, one leader achieved enough control to declare himself High King of Britain: Vortigern. Although Vortigern did not govern the entire territory, he did defend against invasion, particularly against attacks by Scots and Picts from the north. According to the sixth-century chronicler Gildas, Vortigern invited Saxon warriors to help him fight the northern invaders, in return for which he granted them land in what is today Sussex. Later sources would identify the leaders of these warriors as the brothers Hengist and Horsa. Hiring Barbarian mercenaries was a common Roman imperial practice, as was paying them with the land; but Vortigern was remembered bitterly for making a significant Saxon presence in England possible. The Saxons rebelled in the early 440s, eventually killing Vortigerns son and exacting more land from the British leader. Instability and Conflict Archaeological evidence indicates that fairly frequent military actions occurred across England over the rest of the fifth century. Gildas, who was born at the end of this period, reports that a series of battles took place between the native Britons and the Saxons, whom he calls a race hateful both to God and men. The successes of the invaders pushed some of the Britons west to the mountains, precipices, thickly wooded forests, and to the rocks of the seas (in present-day Wales and Cornwall); others passed beyond the seas with loud lamentations (to present-day Brittany in western France). It is Gildas who named Ambrosius Aurelianus, a military commander of Roman extraction, as leading a resistance against the Germanic warriors and seeing some success. He does not provide a date, but he does give the reader some sense that at least a few years of strife against the Saxons had passed since the defeat of Vortigern before Aurelianus began his fight. Most historians place his activity from about 455 to the 480s. A Legendary Battle Both the Britons and the Saxons had their share of triumphs and tragedies until the British victory at the Battle of Mount Badon (Mons Badonicus), a.k.a. Badon Hill (sometimes translated as Bath-hill), which Gildas states took place in the year of his birth. Unfortunately, there is no record of the writers birth date, so estimates of this battle have ranged from as early as the 480s to as late as 516 (as recorded centuries later in the Annales Cambriae). Most scholars agree it occurred close to the year 500. There is also no scholarly consensus for where the battle took place since there was no Badon Hill in Britain in the following centuries. And, while many theories have been put forward as to the identity of the commanders, there is no information in contemporary or even near-contemporary sources to corroborate these theories. Some scholars have speculated that Ambrosius Aurelianus led the Britons, and this is indeed possible; but if it were true, it would require a reconfiguration of the dates of his activity, or an acceptance of an exceptionally long military career. And Gildas, whose work is the sole written source for Aurelianus as commander of the Britons, does not name him explicitly, or even refer to him vaguely, as the victor at Mount Badon. A Short Peace The Battle of Mount Badon is important because it marked the end of the conflict of the late fifth century, and ushered in an era of relative peace. It is during this time the mid-6th century that Gildas wrote the work that gives scholars most of the details they have about the late fifth century: the De Excidio Britanniae (On the Ruin of Britain). In the De Excidio Britanniae, Gildas told of the past troubles of the Britons and acknowledged the current peace they enjoyed. He also took his fellow Britons to task for cowardice, foolishness, corruption, and civil unrest. There is no hint in his writings of the fresh Saxon invasions that awaited Britain in the last half of the sixth century, other than, perhaps, a general sense of doom brought on by his bewailing of the latest generation of know-nothings and do-nothings. Continued on page three: The Age of Arthur? In response to a request for military assistance in 410, Emperor Honorius told the British people they would have to defend themselves. The occupation of Britain by Roman forces had come to an end. The next 200 years are the least well-documented in the recorded history of Britain. Historians must turn to archaeological finds to glean an understanding of life in this time period; but unfortunately, without documentary evidence to provide names, dates, and the details of political events, the discoveries can only offer a general, and theoretical, picture. Still, by piecing together archaeological evidence, documents from the continent, monument inscriptions, and the few contemporary chronicles such as the works of Saint Patrick and Gildas, scholars have gained a general understanding of the time period as set forth here. The Map of Roman Britain in 410 shown here is available in a larger version. The People of Post-Roman Britain The inhabitants of Britain were at this time somewhat Romanized, especially in urban centers; but by blood and by tradition they were primarily Celtic. Under the Romans, local chieftains had played an active role in the government of the territory, and some of these leaders took up the reigns now that the Roman officials were gone. Nevertheless, cities began to deteriorate, and the population of the entire island may have declined, in spite of the fact that immigrants from the continent were settling along the east coast. Most of these new inhabitants were from Germanic tribes; the one most often mentioned is Saxon. Religion in Post-Roman Britain The Germanic newcomers worshipped pagan gods, but because Christianity had become the favored religion in the empire in the preceding century, most Britons were Christian. However, many British Christians followed the teachings of their fellow Briton Pelagius, whose views on original sin were condemned by the Church in 416, and whose brand of Christianity was therefore considered heretical. In 429, Saint Germanus of Auxerre visited Britain to preach the accepted version of Christianity to the followers of Pelagius. (This is one of the few events for which scholars have corroborating documentary evidence from records on the continent.) His arguments were well-received, and he is even believed to have helped fend off an attack by Saxons and Picts. Life in Post-Roman Britain The official withdrawal of Roman protection did not mean that Britain immediately succumbed to invaders. Somehow, the threat in 410 was kept at bay. Whether this was because some Roman soldiers stayed behind or the Britons themselves took up arms is undetermined. Nor did the British economy collapse. Although no new coinage was issued in Britain, coins stayed in circulation for at least a century (though they were ultimately debased); at the same time, barter became more common, and a mixture of the two characterized 5th-century trade. Tin mining appears to have continued through the post-Roman era, possibly with little or no interruption. Salt production also continued for some time, as did metal-working, leather-working, weaving, and the production of jewelry. Luxury goods were even imported from the continent an activity that actually increased in the late fifth century. The hill-forts that had originated centuries before showing archaeological evidence of occupancy in the fifth and sixth centuries, suggesting they were used to evade and hold off invading tribes. Post-Roman Britons are believed to have built timber halls, which would not have withstood the centuries as well as the stone structures of the Roman period, but which would have been habitable and even comfortable when they were first constructed. Villas remained inhabited, at least for a while, and were run by wealthier or more powerful individuals and their servants, be they slave or free. Tenant farmers also worked the land to survive. Life in Post-Roman Britain couldnt have been easy and carefree, but the Romano-British way of life survived, and the Britons flourished with it. Continued on page two: British Leadership.

Monday, November 4, 2019

U.S economy Research Paper Example | Topics and Well Written Essays - 2500 words

U.S economy - Research Paper Example nce, economic indicators illustrate when the economy falls like in a recession and when the economy grows like during economic development (Griffis, ch.1). This paper will predict the economic future of U.S economy one year from now. In economics, economists develop laws of economic behavior based on the presumption that states do not count, but markets do. In economics, the most important issue is whether the presumptions generate a successful proposition that can be empirically tested and proven to be invalid or reasonable. From this perspective, the major challenge in the economic forecast is the neglect of the function of the state in economic concerns specifically international economic growth. In fact, national activities and policies are significant for economic results (Gilpin, R. & Gilpin, J. 61). Another challenge encountered when making economic forecast is the concept of weak efficiency. Weak efficiency is a theory that assumes that past forecasts play a critical function in establishing present predictions (Dovern 2). In addition, economists are less conversant with the regional cycles and trends hence the problem of predicting changes in these areas. Moreover, the error of incorrect revenue is anot her element that can create a problem in producing accurate forecast on the state of the economy. Also, data revisions pose a challenge to forecasts because when there is a structural change in the economy, the forecasting models need to be changes which may consume much time (Higgins 22). State and national economic predictions assist forecasters to generate an approximation of anticipated revenues from fundamental tax ground on the current price. In addition, other professionals in the budget department use the predictions to plan an expenditure budget and provide recommendations for the next fiscal period (Forsythe & Boyd, memo 3). The economic indicators do not impact the economy in the same manner. Generally, there are three types of economic

Friday, November 1, 2019

Philosophy of the Mind Essay Example | Topics and Well Written Essays - 250 words

Philosophy of the Mind - Essay Example For example there is a reason why I go to school and this is because of a career in the future. The fact that a college graduate would have a better opportunity to have a career is the objective reason that is a universal truth in its most appropriate sense. The subjective is the more agent-relative reason wherein the reason why I want to finish college is to have a higher salary in the future career I hope to be able to get hold, or, it could just simply be for reason of the future career. This is relative and may be different according to each person but the more universal equation of a college degree as equivalent to a career is the more universal objective reason. In the case I will finish college and achieve a career is only incidental to the objective. Had any other person finished college, the principle would still apply. Nagel suggests that people perform actions according to what effects they would bring. The right circumstances compel people to be moved according to such re asons. This highlights the outcome as the ultimate reason in the performance of actions.

Wednesday, October 30, 2019

Issues in management Essay Example | Topics and Well Written Essays - 3000 words - 2

Issues in management - Essay Example The primary role responsibility of organizations and institutions is to serve investors (owners) (A High Performance Work Practices Taxonomy 2013). However, CSR gives organizations additional responsibility beyond serving stockholders to include others such as suppliers, employees, clients, the state, the local community, environmental groups, and special interest groups among many more. Stakeholders are all entities affected by the organizations collectively. Most scholars relate the corporate social responsibility with business ethics as much as they remain different concepts. Broadly, the corporate social responsibility includes legal, economic, discretionary, and ethical responsibilities of institutions. On the other hand, business ethics focus on behaviour of groups and individuals in addition to moral adjustments. Thus, this study concentrates on the role of stakeholders with KLM, the Royal Dutch Airlines in perspective. Responsibility appears when an organization or institution accepts a particular duty and proceeds to endorse the duty with behaviours that correspond to the same. In the case of KLM, social responsibility manifests through legal, corporate, and economic efficient actions to recognize a specific responsibility in the community besides the attempt to satisfy social needs (Allen TX 415) . KLM believes in being a

Monday, October 28, 2019

Jazz Essay Example for Free

Jazz Essay Raised in a home where melodies are often played in the instruments we have or even just hummed by a family member while doing chores, I have grown to love pieces of music especially opera, orchestra and the classics. So when my friends, who are musicians themselves, invited me to one of the performances of a jazz band during the celebration of the University’s anniversary last July 9 at The Technopark, I was feeling rather apprehensive. It is not as what you would expect my genre of choice. I have always typified this particular field as an African-American influenced rhythmic and instrumental form of music. My ears were almost involuntarily programmed to have an distaste to these tunes. But since they started to play, I forgot my earlier impression because I was already enjoying the concert. Savoring the pleasure of listening to the upbeat of jazz music, I was jazzed up and entirely enthralled with the soulful performance of the Jazz Ensemble. In the hands of trumpeter Roy Barja, trombonist Marko Geron, bassist Jeff Flores and saxophonist Brad Cruz, the contrivances took on a unique character, and one whose ebullience can hardly be contained. The ensemble started with a bang of Jazz Story playing different types of jazz music that evolved within the through time until the modern jazz of today. Then, the members of Jazz Ensemble played classics like Victor Young’s â€Å"When I Fall in Love†, George Gershwin’s â€Å"Someone to Watch Over Me† and â€Å"Pink Panther†. With the variety of instruments involved, lush harmonies and textures satiated my ears’ desire for excellent sounds. Each artist had a chance for a nippy glare of publicity. He would play short melodic fragments meant to be repeated by a section of the band with growing passion. They masterfully serenaded and entertained the audience through vocalist Mara Duran who did vocals on â€Å"Orange-colored Sky† and â€Å"It had to be You†. The group kept the crowd swaying and crooning on our seats in time with the beat. Jazz took my heart out from the first notes that had drifted from the instruments up until the faintest tune that was whispered by the wind. That night, I closed my eyes with a trace of smile upon my lips as I hum a segment from the song Love is Here to Stay.

Saturday, October 26, 2019

Austins Ditch: The Political Necessity and Impossibility of :: Austin Politics Essays

Austin's Ditch: The Political Necessity and Impossibility of "Non-Serious" Speech ABSTRACT: This essay seeks to show that there are political implications in Jacques Derrida’s critique of J.L. Austin’s notion of performative speech. If, as Derrida claims and Austin denies, performative utterances are necessarily "contaminated" by that which Austin refuses to consider (the speech of the poet and the actor in which literal force is never intended), then what are the implications for the speech acts of the state? Austin considers the speech acts of the poet and the actor to be "parasites" or "ordinary language," "non-serious," and would relegate such speech to a region beyond his consideration, to a "ditch" outside the border of meaning for the performative. Derrida argues that the "contamination" Austin fears for language is necessary for its very performativity. If Derrida is correct, then the performative utterances of the state (e.g. the decree of the judge, "I sentence you...") from the biases of racial or sexual identity is also based upon an impo ssible desire, a desire that goes against the manner in which language functions. I argue that this desire for a just state cannot be satisfied unless racial and sexual identity is viewed not as "parasitic" and "poetic," but as necessary to the performativity of the state’s liberal power. "One will not be able to exclude, as Austin wishes, the 'non-serious', the oratio obliqua from 'ordinary language'." Jacques Derrida (1) In his lectures included in How to Do Things With Words J.L. Austin seeks to exclude from his analysis of performative speech all utterances that do not fall under his notion of "ordinary speech".(2) Ordinary speech that is performative, according to Austin, effects a circumstance by means of the speaking, e.g. a sailor names a ship or a judge says, "I sentence you to six months' probation." Often, the desired effect is not produced because of what Austin calls "extenuating circumstances". But Austin's main concern is for what he refers to as instances of "relative purity" in which there is less a chance of failure or "infelicity" (his term) to spoil the intentions of the speech. Also to be excluded from his considerations are instances of citations of performative speech, as in a play: ...a performative will be in a peculiar way hollow or void if said by an actor on the stage, or if introduced in a poem, or spoken in a soliloquy....Language in such circumstances is in special ways—intelligibly—used not seriously, but in ways parasitic upon its normal use—ways which fall under the doctrine of the etiolations of language.

Thursday, October 24, 2019

Presonal Writing: My First Impression Of My Teacher Miss Vicki :: essays research papers

Presonal Writing: My First Impression of My Teacher Miss Vicki   Ã‚  Ã‚  Ã‚  Ã‚  My first impression of Miss Vicki was a highly authorative figure towering over me. Her voice boomed and the earth shook whenever she marched. She seemed like such an unapproachable and distant person. That was in the first year of High School. She was my Literature teacher then.   Ã‚  Ã‚  Ã‚  Ã‚  During my first year in school, she struck terror in my heart. And everyone else's of course. The mere mention of her name made the most unruly classes silent. The birds stopped screeching. Even the earth felt still. The omniscent presence of rumours stating that she didn't like Junior High students was not much of a help.   Ã‚  Ã‚  Ã‚  Ã‚  Nevertheless, the 2 years of Junior High passed by rather quickly. Soon, I was promoted to Senior High class. I had worked hard and gotten the subject combination that I wished for. Together with a bunch of old friends, I soon settled down in class comfortably.   Ã‚  Ã‚  Ã‚  Ã‚  As fate would have it, she was fortunate enough to be my form teacher that year. I almost choked in alarm when I heard the news. This time round, however, I resolved not to cower in terror whenever she was near. I decided to face the fact that we were going to meet each other for the next 365 days. Instead of trying too hard to lick her boots, I tried my best to be my natural self in front of her.   Ã‚  Ã‚  Ã‚  Ã‚  Still, I could not shake off the ice-cold image that she possessed in my heart. True, her corney jokes sometimes sent me into frolicking laughter, yet at other times these jokes simply fell flat the moment she uttered them. My lovely class, however was always ready to laugh at the right time and place of her amusing stories. Afterall, we would not want to run the risk of her temper erupting in front of us like Mount Saint Helens spewing molten rock and

Wednesday, October 23, 2019

Education System in Desperate need of Change Essay

Sir William Haley once said, â€Å"Education would be so much more effective if its purpose were to ensure that by the time they leave school every boy and girl should know how much they don’t know, and be imbued with a lifelong desire to know it†. If students were guaranteed to leave school with knowing of what they don’t know and the desire to continue learning, the method of learning will be correct. Today’s education system does not give students the opportunity to enjoy what they are learning. The banking method, where students are empty vessels which educators must deposit knowledge into, deprives them of creativity and the desire to learn. No child is given the chance to shine and be unique. Students today are simply being placed on a conveyer belt, sorted, and then labeled according to their so called intelligence. We need an education system that provides a slower learning method, a method where you focus on what is being learned instead of zipping through it, and the freedom to make mistakes as this will electrify and stimulate students to fulfill their potential. We must recognize students as individuals and keep in mind their diverse backgrounds. In â€Å"Lives on the Boundary,† Rose states, â€Å"The canon has intended to push to the margins much of the literature of our nation: from American Indian songs and chants to immigrant fiction to working-class narratives† (100). The messages that are received from the text are crucial. The students need to be able to relate to what they have before them. One of the problems with today’s education system is we are given material to read, memorize, and expected to repeat it back at the snap of a finger. But without the ability to relate and connect with the material, the learning doesn’t take place. Everything that is read or being said is just going through one ear and out the other. By adding relatable texts, you add life to learning. In â€Å"Learning in the Key of Life,† Jon Spayde states, â€Å"people cannot learn what they do not love† (69). When students are reading or learning about a subject they love, they are inspired and motivated to learn more. This alone can benefit the learning process for students. It becomes much easier to grasp concepts learned in class. Today’s education system does not allow all students to thrive in their own way. It is fast paced with limited space for creativeness. We are given large amounts of information at a time and attempt to move as quickly as possible through all that we can. There is never â€Å"time† to stay longer on a topic. The instructors try their hardest to keep the pace, but this way of teaching does not benefit any student. In â€Å"Learning in the Key of Life†, Jon Spayde states, â€Å"†¦we are focusing far too much of our energy and resources on fast knowledge, ignoring all the richness and meaning slow knowledge adds to our lives† (68). When the focus is on just getting through the material, we are skipping over the value and richness of slow knowledge. Instead of zipping through a lesson because it needs to be done by a certain day to move onto the next, the focus needs to be on what is being learned than making a time requirement. Spayde also states, â€Å"You can figure out what you can do pretty quickly, but the ethical understanding of what you ought to do comes slowly†. We need to adopt the slow learning method, without it we are missing out on more than we think. There is so much more to learning than getting through the material, the purpose of it is to benefit and gain from it. With slow knowledge we will achieve this. One of the most important changes that needs to be done is the view on mistakes. In the article, â€Å"How to Make Mistakes,† Dennett states, â€Å"Mistakes are not just golden opportunities for learning; they are, in an important sense, the only opportunity for learning something truly new†. When fear is being put into a student to never make a mistake, their education is stunted. They lose the ability to explore and take the chance of being wrong because they are repeatedly punished for being incorrect. When a mistake is made, students will learn where they went wrong and will then grow from it. The key to progress is making mistakes. The reason we are in school is to learn, but with this opportunity taken away from students their ability to learn is ripped from their grasp. Daniel C. Dennett also states, â€Å"You should seek out opportunities to make grand mistakes, just so you can then recover from them†. Instead of using all of their energy to attempt to be perfect and run from being inaccurate, every student should look for every opportunity to be wrong. Without errors, the students can not accomplish much. If you look at Todays’ education system is in desperate need of change. No student is given the opportunity to show what they are fully capable of. Instead they are told what they can do. They are simply labeled and placed where they â€Å"should be†. But when students begin to pursue their mistakes and soak in the richness of slow knowledge, they will begin to truly learn. Maria Montessori once said, â€Å"If education is always to be conceived along the same antiquated lines of a mere transmission of knowledge, there is little to be hoped from it in the bettering of man’s future. For what is the use of transmitting knowledge if the individual’s total development lags behind? †. If many students are having difficulty learning in the method we have created ages ago, why not change it? The time is now and there is no time to waste. We must refocus this outdated system to insure that the students will have a secure future and keep the standard of living that we have today.