Wednesday, October 30, 2019

ABC Company Research Paper Example | Topics and Well Written Essays - 1500 words

ABC Company - Research Paper Example Ending Income tax payable (10,000) (30,000) Net cash flow from operating activities (164,000) Analysis of ABC Co.’s Cash Flow A company’s operating cash flow indicates the revenue generated from doing business over a specified period less the operating expenses (Howell & Bain, 2008). This is an important process since it helps a company determine whether the business has a healthy financial position between the one given on paper and the one that is applicable in practice. From the results of ABC’s operating cash flow, the company is experiencing a negative cash flow. Although this is normal sometimes, it is still a cause for alarm to the company management. The situation indicates that the company is spending more money than it is receiving. This is a common phenomenon with new companies, however, the situation is dangerous if persistent over the long run (Lerner, 1995). There are several reasons for a negative cash flow but the main causes include poor debt col lection, high operating costs, and bad business decisions. In the case of ABC Company, there are three likely reasons for the negative cash flow. These are high costs of goods sold which mostly consists of purchases. The other reason is poor debt collection, the company’s accounts statement indicates that the net accounts receivable were still very high with a small margin having been collected compared to the previous period’s accounts. The third reason is the nature of the company, with a 25% growth in sales it means the company is a fast growing company, which results into significant increase in the company’s working capital. To improve the cash flow situation at ABC, the company needs to reduce its spending and increase its sales (Laughlin, Bebbington, & Gray, 2001)However, the best option in... ABC Company Besides facing competition from other companies that deal with cedar in making roofing and siding shingles, ABC also faces competition from products made of iron and clay, which are operating in the same market. However, cedar products have a higher competitive advantage over similar products in the market made of iron or clay. The main disadvantage of cedar roofing and siding products is the attached price, which might lead to potential buyers resolving for cheaper iron products. ABC Company is therefore likely to maintain its growth with minimal deviation either downwards or upwards. These deviations may be because of the harsh economic times forcing many homeowners to prefer cheaper iron products or clay products for their roofing and siding. Environmental conservation movements are also affecting the industry negatively (Sparrow Exteriors, 2013). These conservation policies are in turn making the cost of raw materials for cedar roofing tiles to be more expensive. Indulging into a new project such as building the dollhouse could be a viable solution for the company to meet its target goal of $3 million in the next three years. Being the company’s controller, my objective is to create a strict budget and assess all the employees towards the project so that I can ensure everything goes according to the set budget limits. The CEO should undertake the new project. After carefully consideration of its profit margin and the costs involved, the project is likely to help the company meet its target.

Monday, October 28, 2019

Eurotechnologies Inc Essay Example for Free

Eurotechnologies Inc Essay BATNA: The city of Tamarack will give a 25% tax incentive to Twin Lakes Mining Company if the company agrees to construct paved roads and restore the consumed mines area. The city of Tamarack will agree to maintain the roads during the winter season. | Reservation: The city of Tamarack will construct pave roads if Twin Lakes Mining Company agrees to maintain the roads and restore the tourist areas. | Walk away: Construction of dirt roads and restoration of the land near the tourist locations. | 2. On behalf of the city of Tamarack, I would like to negotiate a solution to find a common ground on which we can agree on how the roads will be paved, who will maintain the roads, who will restore the consumed mines and a potential tax break for Twin Lakes Mining Company. 3.company Twin lakes mining companyï ¼Ë†hereafter known as companyï ¼â€°makes significant contribution to tamarackï ¼Å'Minnesota—employing 60% of residentï ¼Å'providing 33% of the city realestate tax base—and is considered an integral entity to the town’s longevity.The city needs Twin Lakes Mining Company to maintain the Current city of tamarack . 4. Government Twin Lakes Mining Company’s operates on a zero deficit city of tamarack nnum decree. Lake mining company has directly caused some problemsï ¼Å'such as the need for improvement concerning water qualityï ¼Å'air qualityï ¼Å'and effluvia and pollution management。The city also relies upon the heave property economiy to provide economicï ¼Å'culture and recreation services to the government community。Twin Lakes Mining Company does not lead the city of tamarack to continue operation in other locations improvement as a corporate entity. 5. Company Our company recognizes the urgency from the city to deal with water qualityï ¼Å'air quality and road maintenanceï ¼Å'escalating demands ï ¼Å'and the overall  climate of the industry accompanied by the financial limitations placed by city of tamarack office。Based on this knowledgeï ¼Å'the following lists embody the issue and objectives to be addressed during the negotiation period。 Issue ï ¼Å¡ Our company treatment plan——the city economy projected growth over the next few years will require an additional water sourceï ¼Å'company must address clean up issue for basic requirement and co-existence with city。 Bond issue——assuming ï ¼Å¸Ã¯ ¼Å¸Million bond would tie company to city Taxes——company is paying too much in taxesï ¼Å'considering them unfair in structure and amountï ¼Å'and is unacceptable Road —Construct paved roads with funds from Twin Lakes Mining Company and restore land near tourist resort areas. | Target: A 25% tax break for Twin Lakes Mining Company in exchange for paved roads and restoring land near tourist areas. |—

Saturday, October 26, 2019

Free College Admissions Essays: Geography :: College Admissions Essays

Geography The diverse nature of Geography has always attracted me to the subject, and the bridge it forms between the Arts and the Sciences reflects many of my interests. I am greatly enjoying the work which I am doing for the A level syllabus, on both the human and physical sides of the course, and would like to continue to study in both these fields. Geography gives the opportunity to accumulate a valuable range of skills, and I particularly enjoy the variety of analytical, numerical, bibliographical and research skills which I am called upon to use. The study of Geography will enable me to consider complex interactions between the human and physical environments, and the scope for useful research within the subject is very appealing. I have attended a number of Geographical Association lectures organised by my local branch, and look forward to taking responsibility for my own work in response to such stimulus. My interest in Geography is reflected in my choice of supporting A level subjects. I have found them very helpful in furthering my understanding of issues such as ecology and the processing of raw data, where subjects overlap. The study of French has also helped me to appreciate European issues whilst maintaining a language which I enjoy. I plan to take a Gap Year with the G.A.P. Organisation, to work as a support teacher in a developing nation. This, I believe, will be a valuable experience, and allow me to gain some first hand case studies in social, spatial and physical geography, which may provide a foundation for further study. I am very interested in the developing world, and have actively supported Christian Aid campaigns, as well as speaking on the Economic and Environment Committee at a "Model United Nations" Conference. Whilst completing the Bronze and Silver Duke of Edinburgh Awards, I have been able to improve my cartographic skills, and observe a variety of landscapes, w hich has added to my interest in physical geography. Taking part in the Tall Ships race on an S.T.A schooner for my Gold Residential Award has also helped me to appreciate the value of team work and perseverance.

Thursday, October 24, 2019

Gender Mainstreaming in Canada Essays -- Politics, Gender Equality

Canada is a signatory to the United Nations Platform of Action which specifies the mainstreaming of gender into programs, into policy processes, and into decision making in order to achieve gender equality. Since the adoption of the Platform of Action at the 1995 United Nations Fourth World Conference on Women, gender mainstreaming has gained wider acceptance among governments and other stakeholders (Woodward, 2008). The aim of gender mainstreaming is to ensure that gender components are considered in all sectors that affect the society (Status of Women Canada, 2007). Purpose It has been argued that gender mainstreaming is a potent approach that can transform how public policies are made by challenging existing policy paradigms and setting new policy priorities (Woodward, 2008). However, there has been a lack of evidence to support that gender mainstreaming exist in Canada. Therefore, whether Canada’s gender equality approach is gender mainstreaming or not is open for discussion. This discussion paper examines this issue by exploring the gender equality approaches adopted by Government of Canada. The challenges of implementing gender mainstreaming are highlighted, and finally recommendations are made. Definitions The United Nations Economic and Social Council (ECOSOC) defines gender mainstreaming as: â€Å"a strategy for making the concerns and experiences of women as well as of men an integral part of the design, implementation, monitoring and evaluation of policies and programmes in all political economic and societal spheres, so that women and men benefit equally, and inequality is not perpetuated. The ultimate goal of mainstreaming is to achieve gender equality" (ECOSOC, 1997). The Status of Women Canada defines gender ba... ...he Government of Canada’s gender equality approach has been unable to interrogate already accepted analytical starting points (Paterson, 2010). The approach operates in a system of technology of rule, so there is no way the impact of the institutional structures can be separated from the policy outcomes. In this regard, gender equality analysis has become the government’s technology of rule (Prugl 2011). Summary and Recommendations To actualise gender mainstreaming, there is need to reposition the current gender equality approach from being a policy tool to an integrative approach that can change the institutional structures. The current gender equality approaches in Canada lack the potential of changing the current institutional practices. The current equality policy mix is a mainstreaming of gender based analysis and not gender mainstreaming (McNutt, 2010).

Wednesday, October 23, 2019

Is Jesus God? Essay

Christianity has been rigid in the self-contradictory allegation that a human being put to death as a malefactor is the origin of God’s life-giving and transforming Spirit. Also, this â€Å"good news† has been reckoned as imbecility to the wise of the world (Morwood 17). The specialty of the Christological fashion of discussing about Jesus dwells in its theological lineament. Christians acknowledge God only as he has been exposed in and through Jesus. All other debate about God can have, at most, provisional significance. In this sense it may be very purposeful and necessary, even a presupposition for the message of Christ. 1 But the way in which God is revealed through Jesus debars even its own presupposition, so that one can only speak about God himself in that at the same time one talks about Jesus. Therefore, theology and Christology, the doctrine of God and the doctrine of Jesus as the Christ, are bound together. It is the goal of theology as well as of Christology to explicate this connection (Morwood 17). On the contrary there is a perpetual debate as to whether Jesus is God? How is Jesus to be understood? Did he stride out of the wilderness 2,000 years ago to preach a gentle message of peace and brotherhood? Or did he perhaps advocate some form of revolution? Or did he instead look for heavenly intervention to establish the kingdom of God? What did it mean for Jesus to be tempted by sin? When did he realize that his mission would end with death upon a cross? Did he view himself as the promised Messiah? Did he understand himself to be both God and man, and what imponderable struggles of the soul would that have meant for him during his sojourn on earth? See: Roberts, Marty. R Scriptures make it clear that Jesus is God (Rockingham). The News & Record Piedmont Triad, NC. 1998. (2) See: Royce, Graydon . That time of year again to wonder: is Jesus God? Star Tribune (Minneapolis, MN), 1996. Thesis Statement: This research paper will debate on certain pertinent questions as to whether Jesus is God based on the scripture, church and related teachings. The discussions and recordings of this paper will be limited to the scope of the literature surveyed. Historical Evidences The participation of the man Jesus in the omnipotent Lordship of God over his creation is the crowning aspect of the unity of God and man in Jesus Christ. It has been expounded that Jesus’ unity with God established in his resurrection from the dead with the resulting divine approval of his pre-Easter activity (Rubenstein 23). Its concrete form as personal unity was seen in the dedication of Jesus to the Father as Son. The effect, however, and highest expression of this unity is reached in Jesus’ exaltation to participation in God’s Lordship. Once again, a precise understanding of Jesus’ Lordship can be acquired only in the context of the whole of his earthly activity. Certainly in this question Christology is not restricted to the ministry of the pre-Easter Jesus. 3 Rather, this involves primarily the present reality of the exalted Lord to be revealed in the future. But in order to understand that present reality, we must once again start with the historical Jesus of Nazareth to assure that we do not speak unknowingly of something quite different under the name of Jesus. â€Å"If the conception of his present Lordship cannot be filled out with definite characteristics of his earthly ministry, it is either a worthless schema or an excuse for every possible enthusiasm. † (3) See: Ritschl, A. The Christian Doctrine of Justification and Reconciliation, p. 406. (4) Refer: Martin Kahler, The So-called Historical Jesus and the Historic, Biblical Christ, ed. and tr. by Carl E. Braaten ( Fortress Press, 1964). The pre-Easter Jesus did not proclaim his own Lordship, but the coming kingly rule of the God of Israel whom he called â€Å"Father† (Rubenstein 25). Thus his activity stands in the same line with the Old Testament and Jewish hopes of Yahweh’s kingly rule on earth. To be sure, Jesus spoke of the dawn of God’s Lordship in his own activity. But this presence of God’s future in Jesus’ activity is rightly understood only when one has taken seriously the futurity of the Lordship of God whose imminence Jesus proclaimed. Then its â€Å"presence† is shown as the overpowering by God’s future of all merely present occupations and concerns of men (Rubenstein 23). The future impinges upon the present precisely as future, and thus the future of God’s Lordship announced by Jesus Lordship of God whose imminence Jesus proclaimed. Then its â€Å"presence† is shown as the overpowering by God’s future of all merely present occupations and concerns of men. The future impinges upon the present precisely as future, and thus the future of God’s Lordship announced by Jesus remains wholly distinguished from his own activity, as sharply distinguished as the Father himself is distinguished from Jesus, even though the power of God’s future is already presently active through its announcement in Jesus’ message. If its futurity were forgotten because of this, its present effectiveness would collapse into nothingness.

Tuesday, October 22, 2019

Motivation Essays

Motivation Essays Motivation Essay Motivation Essay In todays highly aggressive business environment, international air passenger transport Is known as one of the most competitive sectors which demands finest of service towards customers. In delivering a high quality service, it is required to have a well-equipped staff force with an unmatchable caring factor and experience. Its evident to satisfy a big ask, comes a great deal of stress. In order to evade these subjects, Motivation plays a huge role. This case study elaborate the difficulties airline, its staff and the passengers faces. 1. Pieta Andorra, being employed in a traditional hierarchy organization, higher management expects him to be self-motivated and to pass this motivation down to his staff. As pieta receives negative or no comments from the management, he will be denominated and In turn his and his teams performance will decline. As his contribution not being recognized, it will lead him to consider other opportunities. As the airline sector is aggressive, other airline s will make a lucrative offer which he will be forced to accept as motivation declines further in the long run. Airline will have a boost In ticket sales due to their overbooking strategy In the short term. Other hand, the management will see an increase in customer complaints as quality of staff service has deteriorated. As more complaints arises and news of staff leaving the airline spreads, dissatisfied customers will shift to other airlines which will affect the three Kepis of this organization. Customers will experience a negative change In service which will lead to dissatisfaction. As the over booked situation becomes regular frequent flyers will look for alternative airlines. In the long run, credibility of the airline will decrease as the loyalty of the customers. 2. Failure to recognize staff requirements and having no means of proper communication with Its employees, high staff turnover Is Inevitable. To train new recruits to be as professionals costs and takes time. This will not only cost the airline financially but also its reputation and loyalty of customers. Positive personality, attitude and motivation are the three key areas which defines stress of an individual. Communication can play a vital role In achieving the above and its cost effective and makes a big difference on employees. Without contact with the management staff test denominated. In other words, they feel unwanted. This directly influence on employees personality and brings negative attitude towards the airline. This can be easily avoided by having regular Interactions with your subordinates and providing encouragement. 3. 0 Content theory and Process theory are two divisions of motivation. Content motivational theory includes Masons theory, two factor theory and Miscellanys theory of needs and Process motivational theory derives from expectancy theory, equity theory, Goal setting theory and reinforcement theory. Masons theory divided he individual needs into five levels which are physiological, security, belongingness, esteem and self-actualization needs. Correct communication can achieve all the needs which Is lacking from the airline. Two factor theory, Intrinsic and extrinsic, Intrinsic which states that people tend to relate achievement, responsibility and recognition to job satisfaction and extrinsic which explains factors like remuneration, 1 OFF providing more responsibility accordingly will boost motivation of staff and in turn make the airline profitable. McClellan theory of needs divided an individuals need s for achievements, for power and for affiliation. People tend to perform more when the Job responsibility increase and motivation increases. As high staff turnover was common, to motivate its employees, limiting new recruits and increasing Job responsibility to a certain limit suffice. In process motivational theories, expectancy theory states that employees will be more motivated when they expect good Job appraisal like bonuses, increasing salaries and promotion. Equity theory is concerned with productivity, turnover rates and absenteeism. Employees who perceive that their inputs and efforts, experiences towards the Job are not equivalent to the output like salaries , promotions and recognition they tend to be less motivated and in result they will produce less or the turnover rates increase. Goal-setting theory explains that defined, specific and hard goals lead to higher productivity levels. Reinforcement theory considers the contrast of the goal setting theory as it concerns with the quality and the quantity of the Job itself and considers the behavior as environmental factor. For individuals as Pieta Andorra, who has the natural desire to service people and sonnet need external motivation, McClellan theory could be applicable for this category as their needs for achieving the best outcomes (more satisfied customers) will motivate them to do his Job; in addition expectancy theory will be suitable for Pieta does not need any responsibility. For staff who are motivated with external rewards, expectancy theory will be more applicable as more appraisals they expects to get to do a certain task the more they will be more motivated to do his Job. Senior managers can adopt equity theory which is based on the organizational Justice, where employees will be motivated when they feel that the organization rewards to its employers equally according to their efforts and experiences. 4. The Airline has focused on high margins and customer satisfaction but they have not focused on Job satisfaction of employees which ultimately effects the above two factors. According to the best fit approach of HRS, the organization strategies and HRS strategies must be aligned. Therefore, HRS department of the given company should focus on staff motivation in order to retain the employees and achieve the company Laos. Airline has failed to provide this environment. Lack of communication between the employees and management have created disputes in the company. Senior management should communicate with the staff to identify the operational problems in the organization. They should provide support and guidance or necessary trainings to handle the operational problems. Communication will be helpful to identify intrinsic employees and provide a better environment for them to perform and identify extrinsic employees and appraise them in a better way.

Monday, October 21, 2019

Pendant que and the French Subjunctive

Pendant que and the French Subjunctive Is  pendant que  subjunctive or indicative? This is a question that challenges many French students and theres a simple answer. First, you must ask if  pendant que  (while) is indeed a fact. Does Pendant que Need the Subjunctive? No, pendant que does not take the subjunctive. Pendant que  means while and the act of doing something  while  something  else is occurring  is a reality and a truth. There is no question to pendant que. Heres an example sentence: Jà ©tudie pendant quil fait la cuisine.I study while he cooks. Why doesnt it take the subjunctive? Because the word  while  states a fact. There is no question in this example that I am studying while he cooks. The fact is, therefore, an indicative mood. If there were any question as to the nature of  while  or  pendant que, then it would be subjunctive. Lets look at another example: Elle dessine pendant que je regarde.She draws while I watch. Is there any question here about the reality of her drawing? No, it is a fact that she  is  drawing and that I am watching. There is no question or uncertainty in this sentence.   One last example should concrete the concept of  pendant que: Il attend pendant quils  rà ©parent la voiture.He is waiting while they repair the car. Again, these are facts and there is no question as to what each person involved is doing. Tip:  The same subjunctive rules that apply to  pendant que  also cover  tandis que, which also means while. Its All About Facts Pendant que states a fact. Always keep in mind that the subjunctive has some degree of uncertainty. If your statement cannot be subjective, then it cannot be subjunctive. Use this theory as you encounter and question other possible subjunctive and indicative words and phrases.

Sunday, October 20, 2019

Daeodon (Dinohyus) - Facts and Figures

Daeodon (Dinohyus) - Facts and Figures Name: Daeodon; pronounced DIE-oh-don; also known as Dinohyus (Greek for terrible pig) Habitat: Plains of North America Historical Epoch: Miocene (23-5 million years ago) Size and Weight: About 12 feet long and one ton Diet: Omnivorous Distinguishing Characteristics: Large size; quadrupedal posture; long, narrow head with bony warts    About Daeodon (Dinohyus) Chalk up another cool name thats been lost to the technicalities of science: the giant prehistoric porker formerly, and fittingly, known as Dinohyus (Greek for terrible pig) has now reverted back to an earlier moniker, the far less awesome Daeodon. Tipping the scales at a full ton, this Miocene pig was roughly the size and weight of a modern rhinoceros or hippopotamus, with a broad, flat, warthog-like face complete with warts (actually fleshy wattles supported by bone). As you might already have guessed, Daedon was closely related to the slightly earlier (and slightly smaller) Entelodon, also known as the Killer Pig, both of these genera  huge, opportunistic, omnivorous mammalian megafauna, the former native to North America and the latter to Eurasia. One odd feature of Daeodon was its nostrils, which were splayed out toward the sides of its head, rather than facing forwards as in modern pigs. One possible explanation for this arrangement is that Daeodon was a hyena-like scavenger rather than an active hunter, and needed to pick up scents from as wide a range as possible in order to home in on already-dead and rotting carcasses. Daeodon was also equipped with heavy, bone-crushing jaws, another classic scavenging adaptation similar to that of roughly contemporary bone-crushing canids, and its sheer one-ton bulk would have intimidated smaller predators from trying to protect their newly killed prey.

Saturday, October 19, 2019

Policy Analysis Assignment Example | Topics and Well Written Essays - 2500 words

Policy Analysis - Assignment Example ffordability of the healthcare insurance by essentially lowering the rate of uninsured, which is achieved by expanding the coverage while reducing the cost of healthcare for both individuals and the government. The Obamacare incorporated various measures to achieve the goals, including mandates, insurance exchanges, along with subsidies to expand the affordability and the coverage. The law further states that the companies which deal with insurance must cover almost all applicants who meet the new minimum standards while offering similar rates irrespective of sex or other pre-existing factors. Other reforms were aiming at essentially reducing costs while improving healthcare objectives by transforming the system in such a way that it focuses towards quality rather than quantity. This, in turn, is achieved after regulation, competition and also other incentives in order to streamline the deliverance of healthcare. It was in 2011 when the Congressional Budget Office announced that as per their findings the Obamacare would tend to lower not only the deficits but also the Medicare spending, labeling it as a win-win. In this context, the case of National Federation of Independent Business V Sebelius, the ruling which was published on June 28, 2012, the Supreme Court of the US upheld the constitution of the Obamacare as an individual mandate since it was proclaimed to be under the jurisdiction of taxing power rested in the Congress. Yet, the Court was of the view that the it would be unlawful to also force the states to go by the bill if they are under the penalty after which they risk losing the Medicaid related funding. Thus, given the complexity of the ruling, certain challenges are being faced by Congress and the Federal Courts, also other lobbies, unions and advocacy groups. It was, however, on March 31, 2014 that the deadline for open enrollment ended for the very first year of Obamacare exchange marketplace, where response was phenomenal (Mason, Leavitt &

Friday, October 18, 2019

Please look at case study number one I will upload the assisgnment

Please look at number one I will upload the assisgnment - Case Study Example This finding resulted in the change of focus for the company from the US market to the growing market of China. Also, it needs to be mentioned that during the year 2001, the inclusion of mainland China in the WTO resulted in the eradication of limitations in regards to investment of foreign nature. This provided significant amount of momentum to the new focus of Acer. Also, the factor associated with low cost skilled manpower that is available in the Chinese markets ended up in providing strong potential for growth. It is of considerable importance to state that while concentrating on the process of altering the focus of the company, the top management realized that the key to achieving growth in the foreign markets is highly linked to the factor of attaining significant strong point in the local market. Talking more specifically in regards to what has been desired as the ‘divide and conquer approach of Acer’, it can be said that the company’s top management assum ed that by gaining the economies of scale in the local market of China, it will develop an upper hand in regards to developing more innovative products that will help the company to strengthen its position in the local market as well as develop an edge in regards to capturing the international market (Electronic Business Asia, p .34). It is of considerable importance to highlight the fact that the paradox related to the company’s focus on the global and local markets is part of company’s long terms strategy. It is relevant to mention that during the middle of the 90’s period, the company was facing issues of depreciating sales in the markets of the United States. Significant analysis by the company in regards to the causes associated with the slowdown in sales resulted in a strategic change of the company. The top management of Acer realized that for

The Battle of Yorktown Essay Example | Topics and Well Written Essays - 1750 words

The Battle of Yorktown - Essay Example At this point, as noted by Fuller, Cornwallis was waiting at Yorktown with 7,000 men. Lafayette, who was a French general, and part of the allies, was also at Yorktown with 5,000 men. Fuller states that, at this point, Cornwallis made the mistake of not attacking Lafayette and his 5,000 men, which would have been crucial for Cornwallis, as Washington and Rochambeau were on the move towards him at Yorktown, and defeating Lafayette before Washington and Rochambeau could get to him would have been beneficial to Cornwallis (363). The siege itself opened on September 30, 1781, according to Fuller. Puls gives a description of Yorktown itself during this time. Puls states that York town was a small village of about sixty houses, which sat on the south side of the York River, which flowed into the Chesapeake. Therefore, the American and the French armies set up below the town, and Cornwallis was pinned against the river. At this point, Puls states that Cornwallis made another potential mista ke, which is that he evacuated fortifications at Pigeon Quarter and three other redoubts, as he thought that he could escape by the sea (161). Urban states that there was a reason why Cornwallis would have given these up, and this was that he felt that these redoubts were too exposed to be defended. However, as Urban notes, this decision caused much consternation with the British, and gave hope to the French, who thought that giving these up gave them the best possible advantage (121). Urban states that the siege was getting underway, in earnest, on the morning of October 1, 1781. At this point, the French had their eye on the small fort on a cliff overlooking the York River, and they were also unloading their heavy guns and a landing point on the James River,... The Battle of Yorktown British ships ended up in flames, and Cornwallis was soon surrounded by trenches built by the French and American allies. This led to his eventual surrender. And, although it was not necessarily known at the time, this battle effectively ended the Revolutionary War. This is because, after Cornwallis’s unconditional surrender, there were only two posts that the British had – New York and Charleston, South Carolina. It was not long, only six months later that the British had agreed to American independence. Therefore, it is arguable that the Battle of Yorktown is the most important battle of the American Revolution, because it was the battle that literally decimated and demoralized the British forces. This paper will explain this battle, what happened during the battle, and will also explain, briefly, what happened after the battle, as the British agreed to give the Americans independence. Body The siege at Yorktown was the most important battle of the War for American In dependence, because it was the last battle, therefore was the decisive battle, and it led to the surrender of Cornwallis and his fleet, who were fortified at the base of the York River. Moten states the siege began with Washington marshalling his forces, which included both of his fleets, but also those of De Grasse, who was his French ally. While there were many battles during the American Revolutionary War, perhaps none were as important as the siege of Yorktown.

Thursday, October 17, 2019

Communication technology and Westernization Essay

Communication technology and Westernization - Essay Example Although the democratic value of the internet has been cherished, on the contrary, the cyber culture is breaking the boundaries of ethical parameters in many aspects. Initially, it affects the moral perception of the new generation as they are exposed to uncensored websites. They are likely to be influenced by various misanthropic ideologies and racism (Clichà © & Bonilla, 2004, pp.32-33). Education is another notable area that has been affected by internet. In fact, the positive effects of communication technology have opened new opportunities in the field of education and employment. On the other hand, the technology has been widely used for academic misconduct which will have adverse effects on our education system as a whole. Another argument against the technology is that it has a westernizing effect on other cultures. As stated in Forbes & Mahan, (Eds.) (2005, p.135), since the primary language of the internet is English, it would transmit the elements of Western values including emphasis on material goods, entertainment, sex and romance. The other side of the argument is that though internet has a cultural and social influence, it does not necessarily eliminate the values of indigenous cultures. As Nakamura L (2007) states, internet has the potential for challenging western influence; and moreover, it can turn to be an effective device for non-western users. The author points out the example of New Media Center Sarai New Delhi which has developed software for indigenous non-literates. However, the so called potentiality of the technology needs to be further utilized. Obviously, a cyber society that has deep root in Western culture has emerged globally. People participate in the cyberspace social networks and interact with others who have similar interests and tastes. They express their feelings and ideas (whether right or wrong) without the fear of legal restrictions. The effect is that the more

Leadership factories case Assignment Example | Topics and Well Written Essays - 250 words

Leadership factories case - Assignment Example Workers of such companies attain much training and job experience, which develops them into suitable managers and future CEOs. It is clear that the composition of employees or workforce is an important factor with regard to possibility of a firm producing future CEOS. People are born leaders; therefore, those who are not natural leaders tend to stay at the same place for a long time. As an individual, I could not do that! Their own rules and beliefs about how work should be done come in their way and they end up not having much fun. In the end, they notice that they could not develop enough patterns and rules to keep them going. These differences would not alter or change my decision. My take is that they should be honest with all parties. If a company gives an offer, I will be very much interested in the offer but also I will need some time to think about it as I have been communicating with other companies. With the two companies, that I think will make the offer but I have not said I got another offer. These companies will assume that I have been out of work for almost five months and he was to belief that I got another job offer. I am not that fool. So they will inquire to know what company and its whereabouts. The data gathered about leadership effectiveness has proved to be amazing and does not give value to leader’s selection. It does not hold water to the findings of others. This data concentrated on followers rather leaders of the companies

Wednesday, October 16, 2019

Communication technology and Westernization Essay

Communication technology and Westernization - Essay Example Although the democratic value of the internet has been cherished, on the contrary, the cyber culture is breaking the boundaries of ethical parameters in many aspects. Initially, it affects the moral perception of the new generation as they are exposed to uncensored websites. They are likely to be influenced by various misanthropic ideologies and racism (Clichà © & Bonilla, 2004, pp.32-33). Education is another notable area that has been affected by internet. In fact, the positive effects of communication technology have opened new opportunities in the field of education and employment. On the other hand, the technology has been widely used for academic misconduct which will have adverse effects on our education system as a whole. Another argument against the technology is that it has a westernizing effect on other cultures. As stated in Forbes & Mahan, (Eds.) (2005, p.135), since the primary language of the internet is English, it would transmit the elements of Western values including emphasis on material goods, entertainment, sex and romance. The other side of the argument is that though internet has a cultural and social influence, it does not necessarily eliminate the values of indigenous cultures. As Nakamura L (2007) states, internet has the potential for challenging western influence; and moreover, it can turn to be an effective device for non-western users. The author points out the example of New Media Center Sarai New Delhi which has developed software for indigenous non-literates. However, the so called potentiality of the technology needs to be further utilized. Obviously, a cyber society that has deep root in Western culture has emerged globally. People participate in the cyberspace social networks and interact with others who have similar interests and tastes. They express their feelings and ideas (whether right or wrong) without the fear of legal restrictions. The effect is that the more

Tuesday, October 15, 2019

Plato's Idea that Justice Is a Condition of the Soul Essay

Plato's Idea that Justice Is a Condition of the Soul - Essay Example Even though this monarch has supreme power, he does not agree to rule because of love for power (Irwin 1999, p.67). It is because of knowledge of the Good that the monarch will focus on doing what he or she does best for the benefit of the whole community. An ideally just state has classes of citizens in which every class has its suitable virtue. Ideal guardians have courage, ideal rulers rule wisely, and ideal producers are calm. Each class of citizens performs the type of work which best suits them and never interferes with proper business for citizens in other classes. To Plato, in an individual’s soul, justice entails being governed by that component of the soul that has the best capacity to rule other parts of the soul that is reason. It is for the reason that, only reason can attain knowledge due its love for truth. However, it can be oppressed and overwhelmed by powerful wishes which have enslaved the spirited part. The other parts of the soul include desire or appetite and spirit, which do not function with the aim of obtaining knowledge, rather aims at its own good. The spirit controls, initiates actions, and persists one’s actions. It also makes decisions and choices, while appetite focuses on attaining necessities of the body. Spirit however, cannot decide wisely unless it is notified by the coherent part of the soul on the best thing to do in a situation. Most importantly, when an individual’s soul is governed by their reason and they are wise, they will never do wrong, since the spirited element of their soul will automatically side with the rational part. The basic idea of the soul in Plato’s work provides that it is a component that can initiate motion, needless to be moved by anything else (Nehamas 2000, p. 98). A search for the meaning of justice would ultimately lead to two meanings: Justice is doing personal job precisely, and Justice is harmony. The overall aim of Plato’s idea that justice is a condition of the soul is to give a defense of justice through showing that an in individual is better off when he is just than when he is unjust. This brings out well-known criticisms on the above defense. First, it commits a fallacy of irrelevance, providing citizens with the incorrect reason for being just. Despite a barrier that Plato puts in his own way, he possesses answers to all these criticisms. The answers commit him to a view much similar to the intuitionism forms that were held earlier in past centuries. Consequently, it makes it uncertain that Plato should be taken to embrace an agent-centered rather than an act centered justice theory. Moreover, it leaves him to face criticisms parallel to those raised against the latter forms of intuitionism (Rosen 2005, p. 186). Plato’s description of justice as every part carrying out its part of balance is satisfying, but most significantly, they must be all balanced. Such balance is not illustrated well in Platonic ideas. We must apprec iate the body, the mind, and the spirit equally, since none is more important than the other so that we can achieve happiness and justice, which will finally create good life. His believe that just life is natural and should come from man’s fulfillment of his natural function imply some design to the world, which may not be so practical. There is no perfect objective reality, neither is there natural purpose or end to

Evaluating the Effectiveness of Approaches to Learning Essay Example for Free

Evaluating the Effectiveness of Approaches to Learning Essay There are various ways which people can learn. There is a need to identify approaches that can assess learning effectively. David Kolb proposed a four stage learning process with a cycle of learning. (Gravells, A. 2008). The process is represented in the diagram below: Concrete experience This is process where the learner experiences or immerses themselves in the task. It is the first stage where the task assigned is carried out. It is also called the doing stage. In my specialism, this could be the time where I give my learner class assignment or test to do in the class. (Gravells, A. 2008). It is good way of assessing learning and getting feedback immediately. Observation and Reflection This involves stepping back from the activity and reviewing what has been done and experienced. Here the learner’s values, attitudes and beliefs can affect their thinking process. This is the process where the learner thinks about what they you have done. The learner has the opportunity to reflect on what has been done in the classroom through the home work given. Abstract conceptualisation This is where the learner tries to interpret and understand the activities that have been carried out during learning. This is the planning how you will do it differently stage. The learner has the opportunity to do this as I lecture a particular topic in mathematics. Active Experimentation It enables the learner to take in new learning and predict what is likely to happen next or what future actions can be taken to improve the way activities can be done in future. This is the redoing stage based upon experience and reflection. When feedback on Tests or home work is given, the learner has the opportunity to improve upon what has already been submitted. Learning styles A learning style is a learner’s consistent way of responding and using stimuli in the context of learning. Honey and Mumford’s learning style questionnaire is another theory used to demonstrate how a learner is able to learn effectively. Questionnaires were given to the learner’s that probes general behavioural tendencies. Although their theory is drawn from David Kolb, it had some differences. Learners were divided into Reflectors, Theorists, Pragmatist and Activist. Reflector The learner prefers to learn from activities they watch, think and review what has happened. They like to use journals and brainstorming. http://www.nwlink.com/~donclark/hrd/styles/honey_mumford.html [accessed on 3 July 2012.]. To be able to ensure learning takes place for this kind of learner, as a Teacher I would organise more group work, discussions and lecturing in mathematics sessions. Also give out hand outs for learner to read and reflect upon. Theorists Learners in this category prefer to think a problem through step by step manner. They like lectures, analogies, systems, case studies, models and reading. I would organise more lectures on a topic, give handouts and assignments for such learners giving them the opportunity to tackle problems/ questions later on. Pragmatist The learners prefer to apply new learning to actual practice to see if they work. They prefer field works, laboratories, observations, feedback and coaching. Â  Here learning can effectively take place where a lot of examples on topics are tried out with learner before giving out home work or assignments. A lot of clear feedback on assignments/ tasks and activities will be needed to ensure the learners actually understand information passed across.

Monday, October 14, 2019

Principles of the WTO

Principles of the WTO The General exceptions provide a list of measures that countries can enforce. These measures are a necessity [1]to protect basic and fundamental socio-economic and political interests to protect the character and integrity of a nation. The term necessary was discussed by a previous panel albeit in context to article XX (d) and held that a contracting party could not justify a measure inconsistent with GATT as necessary if there were reasonable available alternative measures that were less inconsistent with GATT provisions.[2] Trade liberalization being the fundamental objective of the WTO comes in direct conflict with national policies and interest of member states article XX of GATT provided exceptions that serve as justification for member states to enforce measures for safeguarding their interests. The WTOs founding and guiding principles remain the pursuit of open borders, the guarantee of most-favoured-nation principle and non-discriminatory treatment by and among members, and a commitment to transparency in the conduct of its activities[3]. The pursuit of a free market and open trade creates a conflict of interest on a national and international level. National policies implemented by governments occasionally do not conform to products and ideals of the international market, an example can be seen between western and eastern governments whereas betting as an industry is accepted in most of the countries, Islamic states such as Pakistan do not allow betting and as such foreign investors cannot run gambling businesses as gambling is prohibited under sharia law. What is generally accepted in one geopolitical area is not considered a norm by another state. It then becomes a challenge to maintain a balance between policies that are a governments legitimate objectives and non-discrimination against foreign competition and objectives that are inconsistent with the ideals of free trade.[4] The appellate body in US-Shrimp best summarized this by stating; a balance must be struck between the right of a Member to invoke an exception under Article XX and the duty of that same Member to respect the treaty rights of the other Members[5] Chapeau Article XX consists of a preamble called the chapeau and subsequent subparagraphs. The Chapeau was introduced into the exceptions article of the commercial policy chapter of the draft ITO Charter during the London session of the Preparatory Committee a delegation in the conference suggested that uncertainty in the protection clause is not desirable as it leaves these provisions open to abuse. To prevent abuse this excerpt to article 32[XX] was introduced[6]; The undertakings in Chapter IV of this Charter relating to import and export restrictions shall not be construed to prevent the adoption or enforcement by any Member of the following measures, provided that they are not applied in such a manner as to constitute a means of arbitrary discrimination between countries where the same conditions prevail, or a disguised restriction on international trade. The suggestion was generally accepted subject to its review to the wording specifically on whether the scope should be limited to import and export restrictions.[7]The amendments were made and the GATT was signed on the 1947 in Geneva and came into effect in 1948,which eventually led to the Uruguay round agreement establishing the WTO in 1994[8]. The historical map of the chapeau is significant as it highlights its objective. Concisely, the chapeau is in place to prevent abuse of the exceptions under article XX to justify a measure that is inconsistent with the General agreement. The chapeau combats this problem through two requirements that must be met by a member invoking the exception. First a measure provisionally justified under one of the sub-paragraphs of article XX must not be applied in arbitrary or unjustifiable discrimination means between countries where the same provisions prevail. This condition involves a prohibition on any measure that has a disproportionate economic impact on products from certain countries when compared to its impact on competitive products from other countries.[9] In Us-Shrimp, the appellate body laid out conditions that must exist for arbitrary or unjustifiable discrimination to be established (1) the application of the measure at issue must result in discrimination;(2) this discrimination must be arbitrary or unjustifiable in character; and (3) this discrimination must occur between countries where the same conditions prevail.[10] The Similar conditions test however will in essence fail in instances where the factors relevant to the measure are significantly different. However in US-Shrimp(1998) the Appellate body held that in circumstances where different conditions between countries prevail, the rigid and inflexible application of the measure may constitute and arbitrary discrimination.[11]The second Justification is discretionary in nature, it is independent of the objective in measure. The effect of this dual justification is to enhance the regulatory autonomy of WTO members.[12] Secondly this measure must not be applied in a manner that constitutes a disguised restriction on international trade[13]. This measure is not clear and panels have not been able to find a certain means on clarifying on the same. It is difficult to ascertain the objective of a measure as the Appellate Body found in Japan-Alcoholic Beverages (1996).[14] However in US-Gasoline (1996)[15] the panel held that disguised restriction can be identified when read with arbitrary discrimination and unjustifiable discrimination. The disguised restrictions amount to arbitrary or unjustifiable discrimination in international trade when taken under the under the guise of a measure formally within the terms of an exception listed in Article XX.. The test used to determine the presence of Arbitrary or unjustifiable discrimination can be used to identify disguised restrictions. The Panel in EC-Asbestos (2001) stated that a restriction which formally meets the requirements of Article XX(b) will constitute and abuse if such compliance is in fact only a disguise to conceal the pursuit of trade-restrictive objectives.[16] These requirements ensure that members submit substantive legitimate claims that do not prejudice the rights of other members to the treaty. Article XX should not be used as a disguise to abscond from the obligations of the general agreement but as an avenue to maintain the balance between rights and obligations of the members to the General agreement. Article XX reflects on the principle of good faith. It ensures fair dealings are undertaken through the obligations of the general agreement. It instils a sense of Duty on the members to respect each others rights while giving them an avenue to further their objectives on a national level[17]. However despite the attempts to limit abuse of the provision, the general exceptions have become the subject of most WTO disputes. In US-Gasoline (1996) the appellate body stated the exceptions under article XX can be invoked as a matter of legal right, however caution should be taken in its use. The exception should not be used in a manner that frustrates the legal obligations of the holder in the General agreement. The provision must be applied reasonably with due regard to the party claiming the exception and the legal rights of the other parties concerned[18]. From the above analysis, the Chapeau was introduced as a firewall. It provides a legal justification for measures that meet the requirements listed in it. The application of the same becomes a subject of dispute as it is difficult to satisfy all the members due to conflicting interests. The Appellate body in US-Shrimp year?addressed the ideal means of application by stating; The task of interpreting and applying the chapeau is, hence, essentially the delicate one of locating and marking out a line of equilibrium between the right of a Member to invoke an exception under Article XX and the rights of the other Members under varying substantive provisions (e.g., Article XI) of the GATT 1994, so that neither of the competing rights will cancel out the other and thereby distort and nullify or impair the balance of rights and obligations constructed by the Members themselves in that Agreement. The location of the line of equilibrium, as expressed in the chapeau, is not fixed and unchanging; the line moves as the kind and the shape of the measures at stake vary and as the facts making up specific cases differ. The chapeau should be used as a balancing provision, on one hand it provides a right for members to invoke an exception to protect their National interests and on the other hand it should ensure members meet their obligations. The margin that separates the two is not fixed, it is based on the circumstances of each case. An objective? Approach is taken considering the prevailing conditions of each case to ensure the appropriate equilibrium is maintained. Article XX can be invoked by a member when a measure has been found to be inconsistent with another GATT provision, this will be a justification of the inconsistency and will have to be backed with evidence to disprove the claim. Article XX can be construed to be an Omnibus Clause as it covers all provisions in the GATT 1947.The wording of the preamble, reflects the same nothing in this agreement shall be construed to prevent the adoption or enforcement of measuresà ¢Ã¢â€š ¬Ã‚ ¦ In US-Section337 Tariff Act (1989) stated that measures satisfying the conditions set out in article XX are permitted even if they are inconsistent with other provisions of GATT 1947.Article XX however provides limited and conditional exceptions listed in the respective sub paragraphs inconsistent with another provision of the General agreement.[19]The conditional limitations serve two functions, first they are necessary to maintain a balance between obligations under GATT and National Policies, and secondly they prevent abuse of the obligations under the guise of protectionism[20]. Article XX can be invoked by a member only when a measure by that member has been found to be prima farcie[21] inconsistent with another provision the complaining party has to submit sufficient evidence supporting this claim, the burden then shifts to the defending party that has to provide evidence to disprove this claim. The burden of proof to show that a measure has been violated lies with the party invoking it in Canada Import, Distribution and Sale of Certain Alcoholic Drinks by Provincial Marketing Agencies [22] and the 1994 report in United States Measures Affecting the Importation, Internal Sale and Use of Tobacco[23] In the former the panel concluded that with the exception of the listing and delisting of practices in Ontario, the United States had not substantiated its claim that Canada still maintained listing and delisting practices inconsistent with Article XI of the General Agreement. The latter In view of the Panels analysis, the Panel considered that the evidence did not support the complainants claim that the DMAs penalty provisions were separate taxes or charges within the meaning of Article III:2 furthermore the Panel concluded that the evidence did not demonstrate that Section 1106(c), Fees for Inspecting Imported Tobacco, mandated action inconsistent with Article VIII:1(a) of GATT 1947. Both cases reflect the Panels Jurisprudential approach on the burden of proof in which previous and subsequent panels have maintained that the burden of proof rests on the party making a complaint, the burden then shift to the defending party that has to provide evidence to disprove this claim.   Jurisprudence from the AB has laid down a two-tier test for the application of Article XX in a dispute. In US Gasoline 1996 the Appellate Body established the two-tier test involved a provisional justification by reason of characterization of the measure and appraisal of the same measure under the introductory clauses of Article XX[24] First, a Panel has to consider whether the respective measure falls within the scope of subparagraphs (a) to (j) In AB report in Korea-Measures Affecting Imports of Fresh, Chilled and Frozen Beej [25]; The Panel focussed on whether the dual retail system is necessary to ensure compliance with the law under the Unfair competition Act which on the face of it was inconsistent with provisions of the WTO. It examined enforcement measures where fraudulent misrepresentation has occurred and found that the dual retail system was not used. Instead Korea used a traditional enforcement system which was reasonably available and as such it could not fall under Article XX (d) and as such could not justify the dual retail system as a necessity under Article XX (d).A measure has to be within the scope of Article XX for it to be enforceable. The second test is whether a measure meets the requirements of the chapeau under article XX, and was necessary to achieve the respective objective. In AB report in European Communities Measures Affecting Asbestos and Asbestos-Containing Products[26]; The AB disagreed with the panels findings that considering the evidence relating to health risks associated with the product, under Article III: 4 nullifies the effect of Article XX (d) of GATT, It however held that Article XX (d) allows members to adopt and enforce a measure, Inter alia necessary to protect human life and health although that measure is inconsistent with another provision. Under Article III:4, evidence relating to health risks may be relevant in assessing the competitive relationship in the marketplace between allegedly like products. The same, or similar, evidence serves a different purpose under Article XX (b), namely, that of assessing whether a Member has a sufficient basis for adopting or enforcing a WTO-inconsistent measure on the grounds of human health. This ruling sheds light on the authority of article XX in GATT, if a measure satisfies the requirement of the chapeau and is inconsistent with another article in the Agreement, a member will be able to adopt and enforce a measure to achieve the objective that is, in this case to protect, human life. The end justifies the means. Articles under GATT should be interpreted independently and with respect to the relevant provision. The AB held that provisions satisfy the article XX if they are necessary to adopt and enforce a necessary measure under Article XX (a)-(j)à ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦.. It is a generally accepted principle of interpretation that exceptions are to be interpreted narrowly under the principle of (singular non sunt extendena)[27]however the Appellate Body has adopted a flexible approach in EC-Measures Concerning Meat and Meat Products (Hormones) 1998, the Appellate Body stated that characterizing a treaty provision a an exception does not justify a stricter or narrower interpretation of that provision[28]. Jurisprudence shows that ABs have adopted a less restrictive approach in a way that balances between commitments and exceptions. This approach takes after the ordinary meaning of interpreting treaties where a treaty shall be interpreted in good faith and in accordance with the ordinary meaning to be given to the terms of the treaty in their context and in light of its object and purpose[29]. This Approach was used in the US Gasoline (1996) and US-Shrimp (1998) where the panel stated that: the context of article XX (g) includes provisions of the rest of the General Agreement including particular Article .conversely, the context of Articlesà ¢Ã¢â€š ¬Ã‚ ¦ includes Article XX, accordingly, the phrase @relating to the conservation of exhaustible natural resources may not be read so expansively as seriously to subvert the purpose and object of Article II: 4.Not may Article III:4 be given so broad a reach as effectively to emasculate Article XX (g) and the policies and interest it embodies. The relationship between the affirmative commitments set out in e.g. Articles I,II and XI, and the policies and interests embodied in the General Exceptions listed in Article XX, can be given meaning within the framework of the General Agreement and its object and purpose by a treaty interpreter on a case-to-case basis, by careful scrutiny of the factual and legal context in a given dispute, without disregarding the words actually used by the WTO members themselves to express their inten t and purpose[30]. The approach taken by the AB entails to maintain a balance between it then takes various factor in consideration, first it aims to facilitate the fundamental WTO objective of trade liberalization, second balancing member interests, General rules of interpretation, which inter alia include giving light to the context and meaning of the preamble. SCOPE As discussed earlier on, it is clear that article XX is a universal exception and the scope of application is broad. Article XX unlike other exceptions is not interpreted in the strict and narrow sense.[31] The main question that has arisen is whether article XX can be used to justify inconsistencies with obligations set out in Agreements other than GATT 1994.[32] To understand this scope of article XX in this context it is essential to understand its historical objective. During the GATT negotiations, the negotiators took the a la carte approach, which meant that members could not choose particular items but had to take everything that was offered, in contrast, during the Uruguay rounds the negotiators introduced the single undertaking approach, where membership of the WTO was made contingent on accepting all treaties as a package.[33]The members had to Join all agreements administered by the WTO[34].The aim of the shift was to consolidate disciplines negotiated in earlier rounds to all WTO members. The single undertaking idea is ingrained in the WTO ideology, it was introduced to curb fragmentation of international agreements (a La Carte).as a consequence all agreements under annex 1A of the WTO Charter were consolidated to into one document, the WTO Charter. There is no express provision in the GATT 1947 or any of the agreements under annex 1A that shows a correlation between the two. However in the event of a conflict between the two the latter shall take precedence. Lex specialis agreements take precedence over Lex generalis agreements[35]. The ambiguity on this contentious issue was shown in the AB report United States -Measures relating to shrimp from Thailand (DS343), United states-Customs Bond Directive for merchandise subject to Anti-Dumping/countervailing Duties[36]. India raised a valid point by questioning whether a defence under Article xx (d) was available to the United States to justify a measure found to constitute a specific action against dumping under Anti-Dumping agreement. The panel answered this by stating we do not express a view on the question of whether a defence under Article XX (d) of the GATT 1994 was available to the United States. The panel failed to give a definitive answer. However most recently in the in China-Publications and Audio-visual products[37] China invoked Article XX (a) to Justify the inconsistent trading rights commitments in paragraph 5.1 of Chinas Accession protocol. As in the Case of the US-Customs Bond directive[38] the panel decided to first measure whether the measures met the requirements of Article XX (d) rather than expressly on the availability of Article XX as a defence. However the Appellate Body did provide a definitive answer and criticized the panels reliance on the arguendo in answering the  Ãƒâ€šÃ‚   in question.[39] The Body observed that the provisions that China seeks to justify have a clearly discernible, objective link to Chinas regulation of trade in the relevant products. In the light of this relationship between provisions of Chinas measures that are inconsistent with Chinas trading rights commitments, and Chinas regulation of trade in the relevant products, we find that China may rely upon the introductory clause of paragraph 5.1 of its Accession Protocol and seek to justify these provisions as necessary to protect public morals in China, within the meaning of Article XX (a) of the GATT 1994.In light of the above China could rely on Article XX to Justify measures in a WTO agreement other than GATT 1994 in this case, Chinas accession Protocol. Specific Exceptions under Article XX of the GATT 1994 Subparagraphs (a)-(j) of Article XX lists detailed and specified exceptions for measures inconsistent with other provisions of GATT 1994.The specified exceptions provide a comprehensive list of grounds[40] that can be used to justify an inconsistent measure. The wording of various terms in the exceptions denotes a difference objective. As analysed in US-Gasoline the appellate Body stated that: In enumerating the various categories of governmental acts, laws or regulations which WTO Members may carry out or promulgate in pursuit of differing legitimate state policies or interests outside the realm of trade liberalization, Article XX uses different terms in respect of different categories. It does not seem reasonable to suppose that the WTO Members intended to require, in respect of each and every category, the same kind or degree of connection or relationship between the measure under appraisal and the state interest or policy sought to be promoted or realized. Each and every subparagraph enjoys a certain amount of autonomy, in this respect they serve a different purpose and as such should be interpreted in their ordinary meaning in accordance with the general rules of interpretation. Article XX (a) On the offset, the issue of public morals and international trade proves to be a problematic. Public morals differ between states, the relativity is bound to conflict with norms and rules set out in international practice. Article XX(a) as an exemption is designed to allow a nation to participate in the international trade while preserving certain aspects of its sovereignty over its domestic, political and legal order.[41]It is a provision that maintains self-preservation. The issue of public morals invites a sense of ambiguity, broadening its scope of application, it becomes important to underline a basis for an interpretation of its meaning within the context of international trade. The problem is there have been few decisions and scholarly articles touching on this exception.[42] In US-Gambling (2005) the stated that the term public morals denotes standards of right and wrong conduct maintained by or on behalf of a community or nation, the content of the concept of public morals can vary from member to member, depending upon a range of factors, including prevailing social, cultural ,ethical and religious values and members should be given some scope to define and apply for themselves the concept of public morals in their respective territories, according to their own systems and scales of values. This definition was adopted by the panel in China-Publications and Audio-visual products (2010). The panel then set the ground work for a GATT inconsistent measure to be justified under Article XX(a) it stated the measure must be designed to protect public morals and necessary to fulfil the that policy objective.[43] The lack of jurisprudence with this article is bound to create problems in the future. It is clear that it is impossible to set a baseline for what is morally right or wrong. This exception is solely aimed at maintaining the sovereign integrity of a member. Article XX (b) The scope of paragraph XX (b) is not definitive however it is clear that sanitary and phytosanitary measures were the principal measures that occupied the minds of the drafters[44]This is clear in the Sanitary and Phytosanitary Measures (the Sps Agreement) where the preamble states; Preamble to the Sps Agreement that refers to Article xx (b): Desiring therefore to elaborate rules for the application of the provisions of GATT 1994 which relate to the use of sanitary or phytosanitary measures, in particular the provisions of Article xx(b) This article concerns measures that are necessary to protect human, animal or plant life or health. Jurisprudence on the application of Article XX (b) relies on three requirements: (i) Whether the policy reflected in the measure falls within the range of policies designed to achieve the objective of protecting human à ¢Ã¢â€š ¬Ã‚ ¦ life or health. In other words, whether the measure is one designed to achieve that health policy objective; (ii) whether the measure is necessary to achieve said objective; and (iii) whether the measure is applied in a manner consistent with the chapeau of Article XX.[45] The requirement is relatively straightforward and hasnt created problems with interpretation. The adjudicators must determine if a risk exists and analyse the degree of risk caused by the product[46]. This risk has to have a direct relation to the measures taken, to do this, the Appellate Bodies have examined, the design and structure of the measure and it has become apparent that the measures undertaken to achieve this objective are broad. In Japan-Alcoholic Beverages II the Appellate Body stated: the aim of a measure may not be easily ascertained, nevertheless, its protective application can most often be discerned from the design, the architecture and the revealing structure of a measure[47] In Brazil-Retreaded Tyres (2007), Brazil submitted a claim that the accumulation of waste tyres creates a perfect breeding ground for disease carrying mosquitoes which posed a substantial risk through the transmitting of diseases such as dengue and yellow fever. The accumulation of waste tyres also created the risk of tyre fires and toxic leaching. Brazil argued also argued that the risk posed to animals was high due to mosquito-borne diseases and numerous toxic chemicals and heavy metals contained in the pyrolytic oil released from tyre flames.[48] The panel accepted Brazils argument and concluded that, Brazils Policy of reducing exposure to the risks to human, animal or plant life or health arising from the accumulation of waste tyres falls within the range of policies covered by Article XX (b).[49] The correlation between a measure and a policy can be adduced from the analysis of the objective. Measures that have no subjective relations are often required to fulfil the policy objective on health policies. The scope is broad and can easily invite protective measures under the guise or Article XX (b). Secondly For a measure to fall under the ambit of Article XX (b), has to meet the necessity requirement and meet the requirements of the chapeau.[50] In addition the description of the necessity requirement with respect to the chapeau.[51]However in order understand the necessity requirement within the meaning of Article XX(b) the Appellate body in Brazil-Retreaded[52] tyres stated that, a panel must consider the importance of the interests or values at stake, the extent of the contribution to the achievement of the measures objective and its trade restrictiveness. In this balancing approach, a balance of probabilities taking into account all relevant factors assists the adjudicator reach an appropriate decision. However other texts argue that this is not a balancing or proportionality test, rather it is a reasonable test, whether a reasonable regulator could have adopted the measure it did[53]. This approach is narrow and takes on a defensive approach, I do not agree with this view as it limits the rights of a member to achieve a policy objective. In this situation protection of national interests specifically relating to health policies. The more vital or important the common interests or values pursued, the easier it would be to acc

Sunday, October 13, 2019

Mans Ability to Adapt as Evidenced in To Sir With Love :: Movie Film comparison compare contrast

Man's Ability to Adapt as Evidenced in To Sir With Love    In the novel To Sir With Love various human characteristics are portrayed. Of these, the idea that humans are able to adapt and change their way of thinking seems to be demonstrated throughout the story. In the novel, both the teacher, Braithewaite, and his students end up going through many changes that ultimately result in their coming to change their way of thinking about each other. In life, as in this fictionalized account, the ability to adapt to the world around one's self is a very important trait. In my own life, this has occured on many occasions. Thus, it can be said that to be able to change and adapt ourselves and our ways at looking at things to our to our situations we are truly at advantage.   In the story, Braithewaite begins with a set of preconceived ideas about his students. He expects them to be unintelligent, rough, racially intolerant children with no future-hardly deserving of his respect. But, as he sees later, they are are the total opposites of his of his initial ideas. This is gradually shown through their actions, such as such as the students all going to visit the house of their black friend during his crisis, or their learning to treat each other with respect;they learned to address each other as their last names, inthe case of the boys, and "Miss", for the girls. For the students,they learned to respect and really learn from their teacher,something they had never cared to do before. Braithewaite helped them to break out of the the pattern of intolerance and roughness that society had placed them in. They began to respect themselves and then to respect others. In short, it was obvious that both the teacher and his students were able to adapt their way of thinking to their advantage;they did not get stuck in their original set of preconceived notions about each other. This is a key point of the novel, this idea that people can change their ways.   In my own experiences, I have ended up changing my ways as I have become wiser.

Friday, October 11, 2019

The Study Of Akali Metal Contamination In Road Side Soil :: essays research papers

The Study of Akali Metal Contamination in Road Side Soil Abstract Six soil samples were taken from a roadside that was expected to exhibit characteristic of road salt contamination. This contamination is characterized by the presence of magnesium, calcium and sodium. The relationship between akali metal concentration and distance from the pavement was examined and determined to be nonexistent. Additionally, atomic absorbtion and atomic emission spectroscopy were compared and and atomic absorbtion was found to be 1.89 times as sensitive as atomic emission. Introduction A common technique in snow and ice removal on roadways is the application of magnesium, calcium, and sodium chloride salts to the surface of the road. When the ice melts it dissolves these salts and causes them to migrate into soil that is adjacent to the pavement. Over time, the accumulation akali metal salts can change the chemical profile of the soil which can lead to detrimental biological effects. Flame atomic spectroscopy provides a technique that can quantify metal concentrations in the extracts of the soil samples and consequently examine the relationship between distance from the point of road salt application and akali metal concentrations. Experimental Soil preparation: Six surface soil samples were collected at the intersection of Cold Spring Lane and the exit ramp of Interstate 83, in northwest Baltimore city. These samples were collected at distances from the roadway of 0m, 2m, 4m, 6m, 10m, and 20m. These samples were dried in a convection oven at 110Â °C for over 24 hours then crushed. Aliquots of approximately one gram were weighed and then extracted with 10.0 mL of 1M ammonium acetate. The extract was filtered with an inline filter disc with a pore size of 5mm and then diluted to 100.0 mL. Instrumental: The extracts were analyzed for Ca, Na, and Mg using a Varian model AA-3 flame atomization spectrophotometer with a diffraction grating monochromator. Data was collected with a Houston Instrument chart recorder. An acetylene/air reducing flame was used for all determinations (10 psi acetylene/7 psi air). Two replicates of each sample were made and averaged for both AA and AE. The analysis was seperated into two methods; atomic absorbtion (AA) and atomic emission (AE). The emission intensities and absorbances were determined from the measured peak height obtained from the chart recordings. Atomic Emission: Na and Ca concentrations in the soil were determined using AE. The spectrophotometer was calibrated using the standard series method for both elements. Regression analysis was performed on the calibration data to provide a functional relationship between emision intensity and concentration. Results and Conclusions: Sodium: The atomic line used in the analysis for sodium was at 589.0 nm. The relationship between emision intensity and concentration was found to be

Industrialization by Invitation

Industrialisation is the process of social and economic change whereby a social group is transferred from a manual labor based structure to a more technologically driven society and where the economy gains much more capital via manufacturing industries. Caribbean economies have been labeled as weak and dependent, and controlled by stronger foreign states and institutions (The Plantation Economy). Sir Arthur Lewis, St. Lucia? s first Nobel Prize winner, has released several publications on the issue of underdeveloped nations in the Caribbean and solutions to correct this underdevelopment.Of these publications is the concept of ? Industrialisation by invitation?. Lewis felt that this was a step needed to be taken for the British West Indies to develop. Sir Arthur Lewis policy aided in the development of the B. W. I but the policy itself also hindered development as well as left out major aspects of development. After Lewis studied the system known as Operation Bootstrap (policy of deli berately inviting foreign direct investors) in Puerto Rico, he set out to adopt and implement similar in the British West Indies.The economies of the British Caribbean were mainly agricultural and there was a need to stimulate industrial growth and trade in manufactured goods, to diversify the economic base, since these economies were mainly monocrop economies. This term not only refers to the dependence on sugar and bananas, it also characterizes the dependence on tourism or the oil industry. Lewis therefore proposed the strategy to invite foreign investment as a way to stimulate growth, not only in industry but also agriculture, and therefore to reduce the dependency on the export sector.He reasoned that the British West Indies had a great abundance of unskilled labour in agriculture and amongst the unemployed. These countries did not have much capital. Thus multinational corporations (MNCs) with millions of dollars at their disposal were to be invited to the British West Indies w here they could earn huge profits by employing cheap surplus labour from agriculture. They would also benefit from tax holidays for the first five or ten years of their operations, and other concessions such as subsidies.In other words incentives would be offered to encourage these corporations to invest . Caribbean governments popularly adopted this policy in the 1960s. Several foreign based companies that are established today in the Caribbean are the result of Sir Lewis’ policy. This is most apparent in the tourist industry many foreigners have invested in hotels which employ the majority of people. Several countries within the Caribbean have attempted Sir Arthur Lewis? concept of ? Industrialisation by Invitation? with the outcomes being mixed. This meaning that it expanded direct foreign investment, injecting capital into local institutions. However, this increase in foreign investment brought about a higher dependency level on technology, raw materials and capital from abroad. Without these investments, the Caribbean would still be in a pre-industrialised state, with little growth in the economies. It has been argued that Caribbean economies have achieved a lot of growth; however without or in fact limited development.Yes, the region? s infrastructure has improved dramatically but their industries and companies are mainly foreign and therefore a substantial amount of profits made are sent abroad. Development therefore has been limited with the major organizations within the economy being foreign and not indigenous. Sir Arthur Lewis? concept of ? Industrialisation by Invitation? was not completely successful since the ? development? of the countries? economies did not reach the limits Lewis predicted.Currently the world market has a major negative effect and influence on the Caribbean economies due to the region? s dependence on foreign investments. Example of an essay on industrialization invitation theory Arthur Lewis Industrializagtion by invita tion To what extent can it be argued that Sir Arthur Lewis policy of ‘Industrialisation by Invitation’ aided in the development of the B. W. I By Jennine Small. According to Nassur Mustapha development is defined as, ‘the progressive process of human, cultural, political, economic and social change, which shapes people’s lives. The southern countries particularly the Caribbean have been classified as developing countries, which are still somewhat dependent on the metropolis which once colonized them. Sir Arthur Lewis in the immediate post- World War II period advocated industrialization of the British West Indies, he adopted a policy called ‘ Industrialisation by Invitation. ’ He felt that this was a step needed to be taken for the British West Indies to develop. Sir Arthur Lewis policy aided in the development of the B. W. I but the policy itself also hindered development as well as left out major aspects of development.The Industrial Revoluti on was one of those historical events which drastically changed societies all over the world. Despite the revolution having its roots in Europe , particularly Britain it then spread to places like the U. S. A and later the Caribbean. Industrialization became the mechanism used for a society to make the transition from a traditional, labour intensive economy based on agriculture (agrarian) to a more capital- intensive economy based on manufacturing by machines , specialized labour and Industrial factories.Sir Arthur Lewis recognized the importance of Industrialisation but realized that the British West Indies could not do it on their own, they would need financial aid, in the form of investments which could stimulate Industrialisation. After Lewis studied the system known as Operation Bootstrap (policy of deliberately inviting foreign direct investors) in Puerto Rico, he set out to adopt and implement similar in the British West Indies.The economies of the British Caribbean were main ly agricultural and there was a need to stimulate industrial growth and trade in manufactured goods, to diversify the economic base, since these economies were mainly monocrop economies. This term not only refers to the dependence on sugar and bananas, it also characterizes the dependence on tourism or the oil industry. Lewis therefore proposed the strategy to invite foreign investment as a way to stimulate growth, not only in industry but also agriculture, and therefore to reduce the dependency on the export sector.He reasoned that the British West Indies had a great abundance of unskilled labour in agriculture and amongst the unemployed. These countries did not have much capital. Thus multinational corporations (MNCs) with millions of dollars at their disposal were to be invited to the British West Indies where they could earn huge profits by employing cheap surplus labour from agriculture. They would also benefit from tax holidays for the first five or ten years of their operatio ns, and other concessions such as subsidies.In other words incentives would be offered to encourage these corporations to invest . Caribbean governments popularly adopted this policy in the 1960s. Several foreign based companies that are established today in the Caribbean are the result of Sir Lewis’ policy. This is most apparent in the tourist industry many foreigners have invested in hotels which employ the majority of people. In Antigua for example, 50% of the population is employed in the tourism industry.In addition to this, infrastructure such as roads and transportation has been developed by governments to complement these businesses. Foreign investors have introduced the latest technologies and influenced the improvement of public services. On the contrary, the policy is very much economically based , its aim is for countries to achieve economic growth. However development also includes other aspects, there is no indication on how foreign investers may positively impa ct the quality of life , welfare or education.Therefore this policy cannot be seen as aiding development in the British West Indies as a whole , as the policy was based primarily on the stimulation of economic growth. In addition, most of the money earned by these investors have been repatriated to their home countries thus money is not invested in the economy, this is a grave issue with serious implications for the tourism industry. The policy eventually failed in the British West Indies, mainly because the Caribbean governments invited the MNCs but did not control them.When the initial period of the tax-free holidays were up they ‘closed up shop' and moved on. They were mainly capital-intensive industries, virtually no provisions were made for training citizens to organize and run similar plants, such as the assembly of motor vehicles and small appliances. Hence no sustainable development. Neo-marxists who came up with the dependency theory, also initially developed their th eory in Latin America. Andre Gunder Frank and Samir Amin were the two theorists associated with this school of thought .Both argued that the third world countries are classified as the Peripheries and the Western/ Industrialised capitalist countries are the core. The former being largely dependent on the latter. The development of the core countries caused the underdevelopment of the periphery since economic surplus was transferred from the latter to the former for expansion purposes. These sociologists recommended that the peripheries need to break the link between them and the core in order to be self- sufficient and independent.Therefore the MNCs can be seen as detrimental according to this perspective dependence is an undesired state and situation . It only causes, injustice, unfairness and exploitation. Following from the dependency theory, we can assert that foreign companies therefore would not be aiding development but hindering it for their metropolis benefit. They would en courage the mindset of preference for foreign goods thus maintaining dependence.It can be seen that the Industrialisation by Invitiation policy is indeed a controversial one when considering whether it has aided development in the Caribbean. There is no doubt that MNCs are an important means to economic development. However in order for a country to develop, the country must have control of its own businesses and resources, move away from traditional economic models that make them dependent on foreigners and also perpetuate the legacy of colonialism in how the Caribbean economy is structured.Grade Profile Knowledge & Understanding – 7/10 Interpretation & Analysis – 7 /10 Synthesis & Evaluation – 7/10 The student demonstrates a very good understanding of the subject matter under examination. Interpreted and evaluated the question well. Student should have named some Companies or a company that emerged as a result of IbyI in their territory and explain the advanta ges and disadvantges of the policy using the ‘live' example as the base. Altogether however this was a good

Thursday, October 10, 2019

Pedro Calungsod

MOVIE REVIEW(Pagsusuri ng Pelikula)While Calungsod’s importance in our country’s history is indisputable, his significance as a compelling subject for a feature length film is an entirely different matter. If the film’s narrative is anything to go on, Calungsod’s life is nothing more than a series of drudging sermons that ultimately lead to an untimely death on the beach. The film itself does its best to remain faithful to the historical events surrounding Calungsod’s missionary work, focusing on his life in the Marianas in an effort to baptize the local Chamorro natives. But the end result feels more like a dispassionate history lesson than a compelling cinematic experience.PEDRO CALUNGSODâ€Å"The Filipino Saint†THE MOVIEBUOD(Summary)Pedro Calungsod is a teenage Saint. He Was Killed in Guam at a Very Young age.But Despie his Youthfulness,he was a man of Character,he was responsible in his Duties at Catechesist,he was firm in depending his f aith and he was steadfast in in shielding his friends. Saint Pedro Calungsod (c. 1654 – April 2, 1672) is a Filipino Roman Catholic martyr who was killed while doing missionary work in Guam in 1672. He was beatified on March 5, 2000, by Pope John Paul II. As a skilled sacristan and teacher of cathecism, he was a companion of Blessed Diego Luis de San Vitores to the Marianas Islands. Through their efforts, many receive the sacraments especially that of baptism.A man named Choco became envious of the prestige that the missionaries were gaining among the Chamorros. He started to spread rumors that the baptismal water of the missionaries was poisonous. Because some sickly Chamorro infants who had been baptized died, many believed Choco and eventually apostatized. Choco found an ally in the local medicine man, Macanjas, and the Urritaos, young native men who were given to some immoral practices. These, along with the apostates, began to persecute the missionaries, many of whom wer e killed.At around seven o'clock that morning, Padre Diego and Pedro Calungsod went to the village of Tomhon in Guam because they were told that a baby girl was just born in the village. They went to ask Matapang, the child's father, to bring the baby out for baptism. Matapang had been a Christian and a friend of the missionaries but had apostatized. He angrily refused to have his baby christened. Those who personally knew Pedro believed that he would have defeated his aggressors and would have freed both himself and Padre Diego if only he had some weapon. But Padre Diego never allowed his companions to carry arms. The faith that was planted in the Marianas in 1668 did not die with Padre Diego, Pedro Calungsod and the first missionaries.It grew, thanks to the blood of the martyrs and the perseverance of the succeeding missionaries. Today, Blessed Pedro Calungsod intercedes for the young, in particular those of his native Philippines, and he challenges them. Young friends, do not hes itate to follow the example of Pedro, who ‘pleased God and was loved by him’ and who, having come to perfection in so short a time, lived a full life.† The feast of Blessed Pedro is celebrated every 2 April, the anniversary of his martyrdom.If the date falls within Holy Week or Easter Week, the feast is observed on the Saturday before Passion Sunday as was 2 April in 1672. On 21 October 2012, Pope Benedict XVI, in a solemn ceremony at Saint Peter’s Basilica, will inscribe the name of Blessed Pedro Calungsod in the Canon or list of Saints and from then on, the teenage Visayan martyr will be invoked as Saint Pedro Calungsod or San Pedro Calungsod.REFLECTION Tama ba ang Napanuod ko?NAME: DELA CRUZ, Gay SUBJECT: Philippine History and Nationalism TIME: 8:30-10:00AM MOVIE REVIEWNot so long ago, I finally came into a certain understanding that Filipino films will always be inclined into ‘melodrama': The sappy music, intense displays of physical animation to accompany the drama, and of course, tears. It's a nauseating phenomenon in the Philippine movie industry when  absolutely done the wrong way. But thank god there are films such as â€Å"Tatlong Taong Walang Diyos† to serve as timeless testaments to the magic that ‘melodrama' can create and manifest within one's senses and emotions, from simple to complex, when done perfectly.The film started with Hitler's rhyming, mouth-foaming speech regarding the strength of his socialist party. Being set in the times of the Second World War, the film unveils like how a history text book would for a student. But after this run-of-the-mill introduction, its story unfolds like how a poet affects to even the farthest of souls.In plain sight, the film may look like your typical ‘love caught by the tides of war' and a period vehicle for its star and producer, Nora Aunor. Granted, the love story arc is already established prior to the complications of the narrative, but I am deeply surprised and pleasured how complex the film really was.TATLONG TAONG WALANG DIYOS

Wednesday, October 9, 2019

Annotated bibliography Example | Topics and Well Written Essays - 500 words

Annotated Bibliography Example Examples include â€Å"Do men and women read alike? Do feminist critics know the female author or her point of view? Does plot have anything to do with being a man or woman? Do feminist have an opinion on the relationship between political and literature points of view. One of the first books to really breakdown African American literature and literary theory, this is a must read. Examples of prominent African American writers like Henry Lois Gates Jr. are interwoven with descriptions and study guides on how to better understand African American writers. African American can write about their experiences in a way that can be understood by all cultures. The value of these opinions and views are priceless. This is a good guide for every race or gender. Censorship is a part of literature. Since most Americans live in an uncensored society, censorship is a foreign concept. This book drags the curtain back revealing another side of Apartheid. Censorship helped keep the Apartheid in place. Since the white minority censored generations of African Americans writers, the stifling of this creativity had lasting effects. Not only were these authors censored, so were all of the resistant writers. The criticism of the Apartheid government was limited to sources outside of South America. This book examines the consequences of the censorship in Apartheid South Africa. It is a must read for all individuals concerned about censorship. Many books have been written on Ancient Egypt, but little has been said about Ancient Egyptian women. Gay Robins has reexamined ancient artifacts of Egypt to tell the Egyptian woman’s perspective. This colorfully illustrated book tells of how rich, middle class, and poor women lived in Ancient Egypt. From slaves to royalty, a new look at women from Ancient Egypt brings up interesting facts and interpretations. Literature, art, and other artifacts are examined by Robins.

Tuesday, October 8, 2019

Jonas Salk Research Paper Example | Topics and Well Written Essays - 750 words

Jonas Salk - Research Paper Example Salk was the oldest of three children, having two younger brothers by the names of Herman and Lee. Despite the fact that Salk’s parents, being Russian-Jewish immigrants, had not been able to receive substantial and formal education, Salk was raised to be an intellectual, brilliant young man. Salk attended the local public schools of New York, but when it was time for him to begin high school at the young age of thirteen, he was sent to Townsend Harris High School. This high school was a free alternative to the expensive private schools for intellectually gifted students, catering to intellectually talented males of immigrant parents, just like Salk (McPherson 11). While in high school, Salk quickly became known for his intelligence and his desperate want to learn; he was constantly reading and he was one of the few students at the school who completed his four-year education in the required three, whereas most of his classmates dropped out before the three years were up. This success enabled Salk to attend City College of New York, which is one of the most competitive colleges in the United States. While Salk was in college, he worked for and obtained his Bachelor of Science degree. Salk originally attended the college with the hopes of one day becoming a lawyer, but his mother encouraged him to take an interest in the medical field instead. After his years at CCNY, Salk was accepted into New York University School of Medicine. Although Salk remained strong in his dislike of studying medicine, he found an interest in the research and scientific aspects of the medical field. He studied biochemistry and then eventually made his primary focus bacteriology, claiming that his â€Å"desire was to help humankind in general rather than single patients (Bookchin & Schumacher 72).† When Salk was in his final year at the medical school, he did a work study program in the laboratory of Doctor Thomas Francis, who was noted for having discovered the Type B infl uenza virus. Francis’ influence was great over Salk, and Salk became addicted to the field of virology. After medical school, Salk obtained an internship at New York’s Mount Sinai Hospital and continued to work in Francis’ laboratory whenever he got the chance. After his time at Mount Sinai, Salk sought for a more permanent research job, but had difficulty in doing so because of his Jewish heritage. He was unable to be hired at Mount Sinai, as this went against their rules, and Francis had moved and could not help Salk in his job-seeking endeavors. However, Francis had extra grant money and was able to give Salk a job, enabling him to work on an army-commissioned project to develop an influenza vaccine. It was during this time that Salk â€Å"discovered and isolated one of the flu strains that was included in the final vaccine (Sherrow 31).† In 1947, Salk set out to find an institution that would allow him to take charge of his own laboratory. He was offe red space at the University of Pittsburg School of Medicine. After obtaining numerous grants, he was able to create the laboratory he required to continue his research on flu vaccines. Not too long after, Salk was offered a job to work with the National Foundation for Infantile Paralysis and aid the other researchers in creating a polio vaccination, a position that Salk was only too eager to accept. Polio had been a disease that stalked the human species since 1835 and Salk was desperate to rid the world of the devastation it caused. In the years leading up to 1955, Salk worked relentlessly to discover a safe and effective vaccination to treat the polio disease. People were so optimistic about the science that Salk was doing that, six months prior to the completion and approval of