Wednesday, October 30, 2019

Protecting Young Childrens Welfare Essay Example | Topics and Well Written Essays - 2500 words

Protecting Young Childrens Welfare - Essay Example The abuse maybe inflicted by adults, caregivers, acquaintances and at times by other children also. (DoH et al 2006). The protection of a child from maltreatment constitutes a step towards the welfare of the child, and it is especially important to take care of small vulnerable children. A child is said to be vulnerable when there is no assurance of satisfactory development of health. (section 17 (10) of the Children Act 1989). It is imperative that all caregivers give paramount importance to the fact that children are being encouraged to develop in conditions which are conducive to their welfare and protection. This will ensure that they enter adulthood with great confidence and on a sure footing. The issue of safety and protection for children has been the focus of child care agencies for a long time, but the crucial role they play and their duty towards children’s welfare has been brought into the limelight by certain tragic cases wherein the child had died due to negligence on the part of the caregivers. The death of Victoria Climbe made the government sit up and take serious note of the issue. Following the report prepared subsequent to the investigations, many hard facts about child safeguard programs have come up for review. The report that was published revealed that although the Children Act of 1989 is comprehensive, it fails due to improper interpretation and inefficient implementation. The staff in Area Child Protection Committees is often hampered due to inefficient authority and lack of resources. Apart from this, very often caregivers do not know whether they should classify the children as â€Å" in need† or as a case for ‘child protection†. Thus , in order to create a system which is effective in containing this defect, organizations have to pool in their resources and come together to improve the child’s safety net. They must guess the need for protection

Monday, October 28, 2019

Eng Compare and Contrast Essay Example for Free

Eng Compare and Contrast Essay This paper will be examining two theories on personality development; Sigmund Freud’s argument on the three structures of personality and Albert Bandura’s findings on social learning also called observational learning (Witt Mossler, 2010). Sigmund Freud the neurologist based his study on his grown mental patients while Albert Bandura the psychologist based his theory on observing young children within pre-set environments. Both Sigmund Freud and Albert Bandura have two different academic approaches to personality development. Sigmund Freud presented structured mental tendencies (Id, Ego and Super-ego) on personality development while on the other hand Albert Bandura stressed on external influences. Both theories have credible contrasting as well as similar assumptions. A theory can be defined as, â€Å"A coherent set of ideas that helps to explain data and make predictions† (Santrock, 1989, p. 33). Santrock further explained that a theory makes assumptions that can be tested to determine their accuracy. Personality, according to the Oxford Dictionary from http://oxforddictionaries.com/definition/personality is the combination of characteristics or qualities that form an individual’s distinctive character. In other words it is the combination of mental, emotional and physical character traits that are peculiar to an individual. The Oxford Dictionary also defined development as â€Å"A specified state of growth or advancement; or a change in situation.† Both Freud’s and Bandura’s theories are based on personality development. Sigmund Freud presented an argument that man’s personality is mainly governed by three different levels of consciousness or mental state; the id, the ego and the super-ego. He argued that the id is a demanding inborn force that drives a newborn to desire food, pass urine, defecate, be warm and gain sexual pleasure. He went on further to argue that the id demands immediate gratification and personal pleasure. It usually wants satisfaction and is ruled by what Freud called the pleasure principle. Freud presented the argument that this kind of self-gratifying behavior in infants is inborn not learned. For example, a young child will shamelessly play with its genitals in pursuit of the pleasure it receives. This child will seek this sexual pleasure regardless of where he/she is, or who is watching because according to Freud’s theory, the id is totally unconscious (Santrock, 1989, p. 34). While on the other hand, Albert Bandura did not present any argument on the children’s inborn nature (Witt Mossler, 2010). However, Bandura focused his study on how external forces such as caregivers and other children around them affected children’s behavior. He argued and demonstrated in his experiments that children carefully observed and modeled or copied the behavior of others around them. He went on further to suggest that those children who watched television also modeled the behavior that they witnessed on the screen. Dr. Bandura demonstrated in his experiment, how children learned and copied aggressive behavior towards a toy clown. He placed the clown along with many other toys and the children in a room. As part of the experiment, several adults walked through the room, each one hitting the clown in passing. The children in the room, after observing the adult behavior, modeled it by hitting the clown without any prompting or provocation. Unlike Sigmund Freud, Albert Bandura had no medical explanation attached to his assumptions. Freud’s next level is the super-ego. It is the conscience that governs behavior that is socially accepted. It is the level that teaches humans to imitate the behavior of his/her caregivers within the environment (Witt Mossler, 2010, p. 5 chapter 2). Similarly Bandura’s social learning states that children imitate the adults around them. This means that their super-ego governs their behavior just as Freud claimed. This is illustrated when girls play dress-up to look just like their mothers and boys display aggressive behavior just like their fathers. This means that Freud’s argument on super-ego which is formed through social learning is the same as Bandura’s observational learning (Witt Mossler, 2010). Freud’s final mental level of personality is the conscious mind named the ego; it balances the demands of the id and the super-ego. According to Freud, the ego makes rational decisions (Santrock, 1989 p. 34). An example of this is a New Yorker’s internal drive (id) to avoid buying a train ticket and jump over the turnstile at the subway station. The super-ego cautions against that behavior because of the probability of getting caught while the conscious, rational ego points away from the long line at the ticket counter and towards ticket vending machines that are available. The ego satisfies both the id (got on the train) and the super-ego (acted within the law). Similarly, Bandura’s social learning theory speaks to conforming to social behavior within the children’s environment (Witt Mossler, 2010). In that the children in his experiments were conforming whether in a good or bad way; the ego will respond to the super-ego (good or evil). Therefore, it can be argued Sigmund Freud the medical doctor/neurologist who based his study on his mentally ill adult patients and Albert Bandura the psychologist who pre-set modeled behavior before young children both arrived at credible assumptions. In most parts, the assumptions have similarities despite Freud’s medical approach as against Bandura’s psychological social environment approach. A significant contrast is the age difference of the subjects that they studied; Freud’s adults and Bandura’s young children. Dr. Sigmund Freud presented structured mental tendencies (Id, Ego and Super-ego) on personality development while on the other hand Dr. Albert Bandura stressed on external influences. Both theories have credible contrasting as well as similar assumptions. REFERENCE http://oxforddictionaries.com/definition/personality Santrock, J. W. (1995). Life-Span Development. Dubuque, IA: Brown Benchmark Witt, G. A., Mossler, R. A. (2010). Adult Development Life Assessment. San Diego, CA: Bridgepoint Education Inc

Saturday, October 26, 2019

Une Petite Mort: Death, Love and Liminality in the Fiction of Ali Smith :: Ali Smith Death Love Essays

Death, Love and Liminality in the Fiction of Ali Smith The morbid marriage of love and death is not an original topic to postmodernist writing or to Scottish literature. Diverse forms of literature from Greek myth to Shakespearian tragedies have hosted stories of tragic love and romantic deaths, with varying nuances of darkness and romance. Nonetheless, this paper will attempt to establish a link between Ali Smith’s writing, postmodernist fiction and Scottish fantasy, while looking at the topic of love and death in conjunction with the concept of liminality. Liminality (from the Latin limen: limit) is an intermediate state, it refers to passage rituals and to existence between borders. Stories of love and death often suggest the abrupt interruption of the former because of the sudden occurrence of the latter. Sometimes, however, love and death share the same intermediate dimension between life and afterlife: the liminal stage. As this paper will stress, Smith’s writing deals with love and death in the context of liminality. Characters’ identities fluctuate and sometimes crumble altogether. Rational boundaries of time and space lose coherence. Stories develop in the uncanny limbo left after a death or some other form of disappearance. It is in this liminal dimension that love and death are sinisterly married in Smith’s work. When asked to comment on the love and death motif in her stories, Smith admitted that the two are closely related. In her words: Of course love and death are linked, from the French notion of orgasmic small death through the metaphysical poets all the way to something Winterson sums up in the perfect opening sentence, in Written on the Body: ‘why is the measure of love loss?’ (Germanà  , p.370) In Smith’s fiction, ‘petite mort’ is a more complex motif than the French metaphor for sexual climax. In her stories the trope of love and death does not refer only to the erotic sphere of love. In fact, because of its close relationship to liminality, the traditional topic acquires a more metaphysical twist throughout Smith’s fiction. The coexistence of love and death questions the boundaries between life and death, overcomes the threshold of the physical world to reach beyond this limit, and explores all the possibilities in between. In fact, death often seems to be a paradoxical vehicle through which life and love are manifested and asserted. The notion that death may overcome the borders between life and afterlife suggests a deeper analysis of the concept of liminality.

Thursday, October 24, 2019

Unbalanced work

The cause of the problem in my department is the unbalanced work load between two secretaries, Jack Snyder, who is providing support to two executive members, Ralph Alane & Jessica Hilo, and Ruth Disselkoen who is providing support to other two executive members, Samuel Daley & Frank Daley. During the long time medical leave of Jessica Hilo, 37% of the work load has been handled by a full time administrative assistant and Jack for the total 80 hours of the week, whereas 63% of the work load has been handled by a part time administrative assistant and Ruth for the total 55 hours of the week. This imbalance in work environment creates stress for Ruth who can’t perform her work perfect, at the same time, makes Jack lazy and irregular. Ruth can’t concentrate in her work even though she works for more hours and the executive members start complain. On the other hand, Jack has enough time to finish his work on time with quality without any stress. This may create friction in the department and so overall quality of the work will go down. In order to solve the issue and make the department efficient, I am very much convinced that an immediate action is required. I would like to discuss this issue with two secretaries. The aim would be to convince both of them that team work is more important than an individual responsibility. Since this is a new approach to handle the situation, initially, I will assign the work. The current practice of work assignment will be changed and the work will be considered as a department work rather than individual. The same will be conveyed to the executive members. This change will result in no overtime and improved work quality for sure.

Wednesday, October 23, 2019

Qantas Airways Limited Group Essay

Introduction: Qantas Airways Limited is an Australian iconic airline group engaged in the operation of international and domestic air transportation services and the provision of freight services (Market Line, 2014). The airline also associates its services with the Jetstar brand, with QantasLink, Jetstar Asia and Jetstar Pacific grouped under the same business (Passport 2013). With a 17.7% market share of international passengers in Australia (Business Monitor, 2011), the company aims to upsurge its global market position through a demanding and reconstructive approach. The company has already accomplished a notable degree of achievement locally and internationally with its significant competitive positioning and strong alliance with Emirates and previously British Airways. Though with increasing global forces bestowing as challenges for the business, Qantas has to adapt to the macro-environmental factors appropriately in turn with their internal marketing mix. Clarke (2006) stresses that in a wo rldwide economical industry, competition is fierce and costs need to be through international eyes, so an arduous analysis of the strategic pillars is needed for the sustainability and improvement of Qantas in the international market. Internal Analysis 1.1 Strategic Alliances For the improvement of global marketing performance for a company such as Qantas, a global outlook on the affiliation between market condition, marketing policies and programs and consumer response needs to be developed systematically (Davidson, 1983). The application of internal factors relating to the strategic approach Qantas has applied has developed in an enhancement of its global branding in the international aviation market. Qantas tactically formed a strategic 10-year alliance with Emirates on 31 March 2013 (Passport 2013), to further strengthen its global service across various regions around the world as well as to improve its system coverage. With its international segment continuing to be loss making (Passport 2013), retaining the international division of market share with Emirates includes a permanent shift in their network of destinations that includes Europe,  Middle East and Africa; which is evidently a geographic advantage for the airline. The relationship deems m ore significant than a fixed agreement, including integrated network collaboration with coordinated pricing, sales as well as a benefit-sharing model (Market line 2013). The partnership also coincides with their loyalty program, standardising the benefits for customers across both airlines in turn expanding their business partners on a global level. 1.2 Competitors: The generated link between market share and competitors is relatively important, as Hazledine (2011) stresses the more competitors there are, the smaller the market share. By forging an alliance with an attractive competitor like Emirates, the company has gained a stronger network in Europe, Middle East and Africa, while gaining a competitive advantage in the international aviation market. However, since the formation of this new strategic alliance, the termination with the previous partnership with British Airways has led to a change in routes and the comprise of its position with Oneworld- an alliance of the world’s leading airlines working as one (Oneworld, 2014) There has been an increase of rivalry by a number of competing airlines targeting Qantas’ lucrative international and domestic routes. Hazledine (2011), discusses that the Australian market is ‘predominately duopolistic’, with about three quarters of the routes are shared between Virgin and the remaining are Qantas’ monopolies. This implication leads to its dominance in the Australasian market being targeted by other leading aviation companies. The bulk of Qantas’ sales are from Australasia (Passport, 2013), though has been increasing interests from competing airlines seeking to capture their share hold of the region. However, with the significant investment of the expansion of Jetstar in the Asian territory, the notion of retaining a stronger consumer base will significantly intensify due to the construction of new routes with a code-sharing agreement signed with China Eastern (Passport, 2013). External analysis: 2.1 Economic conditions In order to sustain their achievement thus far, the ability to capitalise  costs and expand travel options for consumers on a global level leaves Qantas to transform its programme entirely, ‘becoming one of the world’s best premium airlines, setting global standards for long haul travel†¦Ã¢â‚¬  (Mules, 2013). Though with the fluctuating inconsistencies in the global sphere, this economically impacts on the business itself. Before the economic downturn, the business illustrated the competitive pressures from Virgin Australia and various low-cost carriers flying to Australia (IBISWorld, 2014). Its competitors highly influenced the profitability of the company with Virgin Blue successfully capturing the market share from Qantas, highlighting 30% – 40% lower costs than those of Qantas (Oxenbridge et al, 2010). The combination of the Global Financial Crisis (GFC) and the inherent volatility of the aviation industry (Financial Management, 2013), meant that in te rms of economic environment, many were seeking to lower and affordable services. Jetstar, a positioned association of the Qantas brand, centres on minimizing costs through operational efficiencies (Oxenbridge et al, 2010). In recognition to this significant investment of Qantas, there has been an increased focus on Jetstar’s expansion into the Australasian region, by building stronger relationships in the effort to replicate the dominant market share of the domestic market to those in the Australasian region. Revenue evidently increased where it eventually reached the stage providing more than 100% of the Qantas group’s profits in 2009 (Danaher et al, 2011). Jetstar’s performance provides an opportunity to focus on Australian traffic into the Asian continent, as demand for low cost carriers remains high in Asia Pacific (Passport, 2013). Furthermore, the rising oil prices seem to reinstate huge challenges to the economic conditions of a company. They directly impact on the profitability of a business and has always been a major component contributing to cyclical nature of economic activity and the demand for air travel (O’Connell and Williams, 2011). With an 18% bill increase in 2012 (Market line, 2013), it pressurizes on the costs and margin of profitability of the company, which has led to an increase to internal and external costs. 2.2 Sociological factors: Moreover, it is important to recognize the severity of income levels across the heterogeneous market, which may influence sociological issues. The first  issue relates to the cost-cutting strategies which have been implemented by Qantas, including segmenting businesses, instituting pay freezes and the outsourcing of functions (Oxenbridge et al, 2010). According to Oxenbridge (2010), Qantas slashed thousands of jobs with redundancies and attrition in order to save costs and switch to lower cost providers. Due to this predicament this has led to shifting operations and agreements offshore, basing their tasks in Dubai ultimately resulting to the significant number of job cuts associated with the employment of the 5-year transformation programme (Mules, 2013). As profit margins are expected to increase with pressure, this has been an increasing implication for the company who are still establishing aggressive policies, which is ultimately affecting the suppliers and workers of the business. Furthermore, the second relates to the two-brand strategy Qantas has operated to cater for business travellers and leisure carriers. The study of global trends on an international level must be initiated in order to provide the correct service to diverse ranges of markets. With the emergence of their lower cost carrier Jetstar, the company has applied different ranges of classes to accommodate the social needs of their consumers. By operating the services of premium classes to business passengers and lower fare divisions to those of the leisure travellers, restructures the position to appeal to all consumers. 2.3 Environmental factors: Qantas’ key priority is the reduction of carbon emissions resulting in fuel burn (Holmes, 2013). Their environmental sustainability ensures the future vitality and maintenance for the company and the implementation of programs aids them to become a global environmental sustainability leader in the aviation industry (Qantas, 2014). The effect of their corporate social responsibility can be suggested through the application of minimising carbon emissions and carbon footprint through the introduction of the lower cost fleet, B787 Dreamliner. With its improved fuel efficiency, it is expected to use 20% less fuel (Passport, 2013). Human activities further reiterate climate and environmental issues, which ultimately influence the internal mix of the Qantas group. 2.4 Technological Factors: The importance of communication technology will always be of significance in regards to the tourism and airline industry (Coles and Hall, 2008).The enhancement of customer experience through the disbursement of modernised technology embedded in all carriers of Qantas has led to the rising operations of customers on a global scale. In an article relating to the key issues of the company, Holmes (2013) depicts the rewarding response in relation to the implementation of â€Å"online and mobile check-in, in-flight entertainment and electronic bag tagging† in regards to the intense global competition. The utilisation of an interactive application of RED, as well as the advanced browsing tool for frequent flyer users has been adapted to their global brand strategy in order for the improvement of quality and rewards for customers (Passport, 2013). Additionally, it has been noted that this generation of innovations is particularly reliant on information technology (IT) and communications technology (Pansiri and Courvisanos, 2010). In saying this, it is crucial for companies to navigate their views onto the online society to accommodate to a wider market. The functionality of particular social media strategies has aided Qantas to expose the brand in an online approach. With the extensive improvement of new forms and technologies, the continuing implementation of these devices is crucial for company as well as the consumer experience. 2.5 Political and legal factors: Reinforcing the fact that Qantas is a multinational company, the operation of its services must run in a highly regulated environment. Through global alliances and government regulation, the manifestation of air service agreements primarily dictates the spatial extent of the airline network (Coles and Hall, 2008). Amongst the complexity of the regulation of frameworks the aviation industry appear to regulate in, the requirement of considerable negotiations between global governments must be reiterated in some occasions when regulating their rights to specific routes and air space. Qantas continues to benefit from government protection in the Australia- Los Angeles route, where Qantas and United Airlines operate as a duopoly (Oxenbridge et al, 2010). Along with other alliances Qantas has tactically initiated, the air space is shared between Emirates, which inevitably upsurged their competition global position. Furthermore, the  implication of job security and the issues relating to Qantas’ legal dispute has created uncertainty for workers. With Qantas outsourcing their operations at a much lower rate of pay, has seized the attention of unions objectifying this notion. The major issued raised was the compatibility of the Fair Work Act in relation to the Qantas dispute. Forsyth and Stewart (2013) exemplify the issue of the ability of unions protecting their employee’s rights and jobs against the global competition of labour and outsourcing of jobs. This meant that in turn new enterprise agreements would be set out; pertaining Qantas to sought and revise their business strategy in the attempt to bargain with the unions. Nonetheless, this issue of the outsourcing of jobs is an increasing predicament resulting in long-term implications for workplace regulation in Australia (Forsyth and Stewart, 2013). Conclusion In this strenuous analysis, the difficulty of bestowing challenges faced upon Qantas has led to a tactical approach of forming alliances with the largest competitor in the aviation market. However, the application of internal and external factors must be applied in order to retain their market position. With its dominance of market share in the domestic market and increasing nature in the international segment, Qantas has the growth and potential to endure global forces imposing strategic approaches and marketing strategies. References: CLARKE, Andrew. The future for Qantas : still calling Australia home? [online]. ALTERNATIVE LAW JOURNAL; 31 (2) June 2006: 97-98. Coles, T and Hall, M.C., (2008) International Business and Tourism: Global Issues, Contemporary Interactions., Routledge Davidson, W. H. (1983). Market Similarity and Market Selection: Implications for International Marketing Strategy. Journal Of Business Research, 11(4), 439-456. Forsyth, Anthony and Stewart, Andrew. Of ‘kamikazes’ and ‘mad men’: The fallout from the Qantas industrial dispute [online]. Melbourne University Law Review, Vol. 36, No. 3, 2013: 785-830. Hazledine, T., (2011) Price discrimination in Australasian air travel markets. New Zealand Economic Papers., Vol. 45, Issue. 3 Holmes, L. (2013). High-flyer. Financial Management (14719185), 42(3), 32-34. IBISWorld (2014) Major companies. Accessed 3 April 2014 < http://clients1.ibisworld.com.au/reports/au/industry/majorcompanies.aspx?entid=471#MP32> Mules, R. (2013). The Long Haul:The QANTAS – Emirates Alliance. Busidate, 21(3), 2-4. Oneworld (2014) < http://www.oneworld.com/news-information/oneworld-fact-sheets/introduction-to-oneworld> Accessed on 9 April 2014 Oxenbridge, S., Wallace, J., White, L., Tiernan, S., & Lansbury, R. (2010). A comparative analysis of restructuring employment relationships in Qantas and Aer Lingus: different routes, similar destinations. International Journal Of Human Resource Management, 21(2), Pansiri, J., and Courvisanos, J., (2010) Attitude to Risk in technology-based strategic Alliances for Tourism. International Journal of Hospitality and Tourism Administration, Vol.11, Issue. 3 Passport QANTAS AIRWAYRS LTD IN TRAVEL AND TOURSIM (WORLD) (August 2013) Peter J. Danaher, John H. Roberts, Ken Roberts, Alan Simpson, (2011) Practice Prize Paper—Applying a Dynamic Model of Consumer Choice to Guide Brand Development at Jetstar Airways. Marketing Science 30(4):586-594 Qantas Airways Limited SWOT Analysis. (2014). Qantas Airways SWOT Analysis, 1-8. Qantas Group (2014) http://www.qantas.com.au/infodetail/about/environment/our-commitment-to-environmental-sustainability.pdf Accessed on 5 April 2014

Tuesday, October 22, 2019

Autobiography of William Penn essays

Autobiography of William Penn essays William Penn is one of the most famous and well-known figures of our history to this day. Through his many travels and his dedication, William Penn became for the future generations of Americans both a spokesman and a model for an ideal American. His autobiography, The Autobiography of William Penn, follows his life from a child to the time he died in 1718. It seems as though William Penn wrote what his life was really like in his autobiography. He did not seem boastful and make it seem like luxury. On the other hand, he did not tell all negative stories to make his life seem miserable either. He was not biased and he told it how it was. There were many ups and downs in his life and he had to work hard to become the person that he is perceived as being today. For example, his father, who was a sea captain, went away at sea after his sons baptism which was soon after his birth. This meant that he did not have much support from his family for most of his lifetime. He also was very poor after he returned to England and was fined for the new colony. This led to many challenges such as not being able to support his family and being unable to watch over his new settlement in America. He did not have an easy life as some may think. The autobiography actually answered many questions I had about William Penn. I was surprised to find out that his beliefs in Quakers were so strong that he went against his father who told him that was not what he should believe. I was also one of the people that thought that William Penn always lived a life of luxury. But the book proved me wrong in that he had to work hard to become the William Penn we all know today. I also found out that he had many problems in his life like most people. He actually is not different from most people. He had many ups and downs in his life like the rest of us. William Penn was born in London on October 14, 1644 during the civil wars in England. His father, Sir Willi...

Monday, October 21, 2019

Identify the Cottonwoods - Trees in the Willow Family

Identify the Cottonwoods - Trees in the Willow Family The common cottonwoods are three species of poplars in the section Aegiros of the genus Populus, native to North America, Europe, and western Asia. They are very similar to and in the same genus as other true poplars and aspens. They also tend to rustle and chitter in a breeze. The Eastern Cottonwood, Populus deltoides, is of the largest North American hardwood trees, although the wood is rather soft. It is a riparian zone tree. It occurs throughout the eastern United States and just into southern Canada. The Black Cottonwood,  Populus balsamifera, grows mostly west of the Rocky Mountains and is the largest Western cottonwood. It is also called Western balsam poplar and California poplar and the leaf has fine teeth, unlike the other cottonwoods. The Fremont Cottonwood, Populus fremontii occurs in California east to Utah and Arizona and south into northwest Mexico; it is similar to Eastern Cottonwood, differing mainly in the leaves having fewer, larger serrations on the leaf  edge  and small differences in the flower and seed pod structure. Quick  Identification Using Leaves, Bark and Flowers Leaves: alternate, triangular, coarsely curved teeth, leafstalks flattened.Bark: yellowish green and smooth on young trees but deeply furrowed in maturity.Flowers: catkins, male-female on separate trees. Quick Winter Identification Using Bark and Location These most common cottonwoods become very large trees (up to 165 feet) and usually occupy wet riparian  areas in the East or seasonally dry creek beds in the West. Mature trees have bark that is thick, grayish-brown, and deeply furrowed with scaly ridges. Young bark is smooth and thin.

Sunday, October 20, 2019

Eleanor, Queen of Castile (1162 - 1214)

Eleanor, Queen of Castile (1162 - 1214) Eleanor Plantagenet, born in 1162,   was the wife of Alfonso VIII of Castile, daughter of Henry II of England and  Eleanor of Aquitaine, sister of kings and a queen; mother of several queens and a king. This Eleanor was the first of a long line of Eleanors of Castile. She was also known as  Eleanor Plantagenet, Eleanor of England, Eleanor of Castile, Leonora of Castile, and Leonor of Castile. She died on October 31st, 1214.   Early Life Eleanor was named for her mother, Eleanor of Aquitaine. As a daughter of Henry II of England, her marriage was arranged for political purposes. She was paired with King Alfonso VIII of Castile, betrothed in 1170 and married sometime before September 17, 1177, when she was fourteen. Her full siblings were William IX, Count of Poitiers; Henry the Young King; Matilda, Duchess of Saxony; Richard I of England; Geoffrey II, Duke of Brittany;  Joan of England, Queen of Sicily; and John of England. Her older half-siblings were  Marie of France  and  Alix of France Eleanor as Queen Eleanor was granted control in her marriage treaty of lands and towns so that her own power was nearly as much as her husbands. The marriage of Eleanor and Alfonso produced a number of children. Several sons who were, in turn, expected heirs of their father died in childhood. Their youngest child, Henry or Enrique, survived to succeed his father. Alfonso claimed Gascony as part of Eleanors dowry, invading the duchy in his wifes name in 1205, and abandoning the claim in 1208.    Eleanor wielded considerable power in her new position.   Ã‚  She was also a patron of many religious sites and institutions,  including Santa Maria la Real at Las Huelgas where many in her family became nuns.   She sponsored troubadours to court.  She helped arrange the marriage of their daughter  Berenguela  (or Berengaria) to Leons king. Another daughter, Urraca, was married to the future king of Portugal, Alfonso II; a third daughter, Blanche or Blanca, was married to the future King Louis VIII of France; a fourth daughter, Leonor, married the king of Aragon (though their marriage was later dissolved by the church). Other daughters included Mafalda who married her sister Berenguelas stepson and Constanza who became an  Abbess. Her husband appointed her as ruler with their son upon his death, and also appointed her executor of his estate.   Death Although Eleanor thus became the regent for her son Enrique on her husbands death, in 1214 when Enrique was only ten, Eleanors grief was so great that her daughter Berenguela had to handle the burial of Alfonso. Eleanor died on October 31st, 1214, less than a month after Alfonsos death, leaving Berenguela as her brothers regent. Enrique died at age 13, killed by a falling roof tile. Eleanor was the mother of eleven children, but only six survived her: Berenguela  (1180 - 1246) - she married Conrad II of Swabia but the marriage contract was annulled. She married Alfonso IX of Leon, but that marriage was dissolved on grounds of consanguinity.   She became regent for her brother Enrique (Henry) I, and became Queen of Castile in her own right when he died in 1217. She abdicated right after that, and her son Ferdinand III of Castile brought together Castile and Leon.Sancho (1181 - 1181) - briefly heir to Castile, died at three monthsSancha (1182 - 1185)Enrique (1184 - 1184?) - heir during his very short life - there is some doubt that this child existed.Urraca - Urraca of Castile, Queen of Portugal (1187 - 1220), married to Afonso II of Portugal.Blanca -  Blanche of Castile, Queen of France (1188 - 1252), married the future Louis VIII of France, crowned Queen in 1223. She served as regent of France after Louis died and before their son was of age.Fernando (1189 - 1211). Died of a fever, heir to the throne at that time.Mafalda (11 91 - 1211). Betrothed to Ferdinand of Leon, stepson of her sister Berenguela. Constanza (1195 or 1202 - 1243), became a nun at Santa Maria la Real at Las Huelgas.Leonor - Eleanor of Castile (1200 or 1202 - 1244): married James I of Aragon but separated 8 years later, with consanguinity as the grounds.Enrique I of Castile (1204 - 1217). He became king in 1214 when his father died; he was only 10. He died three years later, struck by a tile that fell from a roof.

Saturday, October 19, 2019

Will attach the assignment Essay Example | Topics and Well Written Essays - 1000 words

Will attach the assignment - Essay Example In being in the presence of an illegal substance, I take the responsibility of accepting a sentence. Since this case is the first of a kind for me, I could attract a jail term of one year. Alternatively, I could receive a fine of 1000 US Dollars. I could partly blame ignorance for my situation. The rules of marijuana refer to possessors and peddlers. Most teenagers in the company of users of the drug fails to realize the repercussions tied to proximity to marijuana. In some states, the charges imposed on the possession of marijuana are less mild compared to charges imposed for possession of other dangerous controlled substances like cocaine. However, some judges in particular instances have often imposed tough sentences for ignorant first-time offenders. The ages of people involved in the possession of the drugs, the criminal records and the status in the community should be considered in determining worthy sentences or punishments. When caught in the possession of marijuana or association with marijuana users, questions are bound to arise. Any police or drug enforcement agencies would bombard any first-time offender with questions regarding the legal consequences of marijuana. Law officials usually outline the probable sentences that may befall individuals in case of possession of marijuana. The sentences would also be announced to people caught in proximity to marijuana users. Many law officials operate on the assumption that peers who associate have similar tendencies. Nevertheless, the perception is misplaced since marijuana users may have friends who never use the drug. In the event of possession or proximity to marijuana users, the law should bend. For people who associate with marijuana users, the punishments or sentences should be mild. Alternatively, the police should offer cautions. Prudently, the police should weigh between imposing wrong sentences and correcting first-time offenders more

Friday, October 18, 2019

Kerry James Marshall - Better Homes Better Gardens Essay

Kerry James Marshall - Better Homes Better Gardens - Essay Example The essay "Kerry James Marshall - Better Homes Better Gardens" explores the Better Homes Better Gardens by Kerry James Marshall. The African-American artist Kerry James Marshall has worked to include his own experience and background into his paintings in such a way that they work to provide a meaningful background to his subjects, adding subtleties of meaning to the overall work that helps to portray his idea of what the painting is attempting to say. Unlike Dali, however, the background meanings of many of Marshall’s paintings are easier to decipher, perhaps because they are drawn from such a broadly experienced background as the civil rights movements of the 1950s and the Watts riots and other cultural issues that hit the streets of Los Angeles in the 1960s. By understanding the social, cultural and political background from which Marshall is pulling as well as the way in which he combines a variety of mediums and inspirations to present a finished project that speaks volum es about its subject in every inch of his canvas, it is possible to analyze a painting such as â€Å"Better Homes, Better Gardens† in such a way as to approximate what Marshall himself was trying to express in his selections of color, form, subject and imagery. Kerry James Marshall was born in Montgomery, Alabama in 1955. This was the year of the bus boycott in Alabama, that launched Martin Luther King as a significant leader of the civil rights movement and that saw a great deal of violence in the city streetsÃ'Ž

Operations Management Essay Example | Topics and Well Written Essays - 500 words

Operations Management - Essay Example They don't just negotiate, but they also look at the vendor's commitment to supply quality goods. Once satisfied, a new business relationship is formed. After procuring the goods, Wal-Mart will stock the items in different distribution centers scattered in different locations. Barcode technology and hand-held computers were adopted that allows the company to manage a consistent flow of supply. The barcodes will serve as an identification tag of a certain product, while the hand-held computers will serve as the locator of an exact product being monitored (Chandran, 2003). 2.2 Logistics Outstanding transportation system of Wal-Mart makes the delivery of supplies from distribution centers to respective store outlets fast and reliable. The company would only hire experienced drivers who have good records in traffic rules. Also, all drivers will be monitored using the "Private Fleet Driver Handbook" that serves as a manual for all terms and conditions of delivery, code of conduct and othe r activities. On the other hand, Wal-Mart also adopted the 'cross-docking' logistics technique in which it reduces the handling and storage of finished goods at the distribution centers by directly delivering it to the customers after being manufactured (Chandran, 2003).

Thursday, October 17, 2019

Comparison & Contrast Essay Example | Topics and Well Written Essays - 500 words - 1

Comparison & Contrast - Essay Example The Play Intense cologne, on the other hand, is created using fragrances from patchouli, mandarin, bergamot, vetyver, coffee flower, Tonka bean, Caribbean Amyris wood, and pink pepper. This creates a strong, dynamic, and a little offbeat essence that can be worn to momentous events. Both of these brands of cologne contain mandarin orange and bergamot, which gives them a citrus scent. However, Play Intense has a milder citrus scent as compared to Play. The stronger citrus scent in the latter may be attributed to the added presence of grapefruit and bitter orange aside from the mandarin orange contained within it. The smell of Amyris wood is much stronger in Play Intense that in Play. Moreover, the Tonka bean, which is not a fragrance present in Play, can be noticed in Play Intense. Both of these brands of cologne contain vetyver and patchouli, which gives them a woody, earthy, and herbal scent. The patchouli also contributes an exotic and musky scent for both Play and Play Intense. The Play brand has an aroma of black pepper while Play Intense has the pink pepper aroma. In Play intense, the pink pepper provides a mild, pleasantly, sweet fruity, scent with a bit of spicy whiff in it. One would say that Play Intense strengthens the woodsy side of the cologne while toning down the citrus essence. Play, on the other hand, tones down the woodsy side and instead intensifies the citrus aroma. Play Intense is categorized as oriental-spicy while Play is categorized as citrus-fruity. These two colognes are similar in scent strength because both of them are considered to have a moderate fragrance. The target market of Play is college students or those males who are between the ages of 17 and 30. In contrast, Play Intense is targeted towards those males who are more mature, their age ranging from 30 onwards. Therefore, it can be

Electronic Communication Technology Essay Example | Topics and Well Written Essays - 2500 words

Electronic Communication Technology - Essay Example However, because of the additional tubes it used, the receiver did not become common until the 1930’s when the levels of performance it provided became an essential requirement and the technology involved became cheaper too. The super-heterodyne receiver operates on the principle of heterodyning or frequency mixing in a non-linear fashion. Two different signals are mixed using an RF mixer, to produce an output that is the product of the instantaneous levels of the signals at both the inputs. The resulting output will contain signals at a frequency that is different from the two original signals. If f1 and f2 are the two original signals, the resulting new frequencies are expressed as the sum (f1 + f2) and difference (f1 – f2) of the two. If two signals, one at a frequency of 7.0 MHz and the other at a frequency of 8.0 MHz are heterodyned together, two new frequencies of 15 MHz and 1.0 MHz are produced. A suitable antenna is required to receive the radio signals, and they are often built into the receiver itself. The frequencies enter the circuitry from the antenna and then pass through the different stages of the receiver. The RF amplifier is the first stage of the super-het receiver, and it is used to amplify the signals prior to mixing. The level of amplification has to be carefully chosen. The amplifier must enable the signals to be sufficiently amplified with a good signal to noise ratio and must not overload the mixer. The amplified and tuned signals are then fed into a mixer circuit. A local oscillator is connected to the other port of the mixer. This local oscillator consists of a variable frequency oscillator that produces sine waves. The mixer combines the local oscillator signal with the original RF signal, and produces two new frequencies. The local oscillator may also be a frequency synthesiser. The mixer stage is used to enhance the received frequency to an intermediate stage. The signals leaving the mixer enter the IF stage.

Wednesday, October 16, 2019

Comparison & Contrast Essay Example | Topics and Well Written Essays - 500 words - 1

Comparison & Contrast - Essay Example The Play Intense cologne, on the other hand, is created using fragrances from patchouli, mandarin, bergamot, vetyver, coffee flower, Tonka bean, Caribbean Amyris wood, and pink pepper. This creates a strong, dynamic, and a little offbeat essence that can be worn to momentous events. Both of these brands of cologne contain mandarin orange and bergamot, which gives them a citrus scent. However, Play Intense has a milder citrus scent as compared to Play. The stronger citrus scent in the latter may be attributed to the added presence of grapefruit and bitter orange aside from the mandarin orange contained within it. The smell of Amyris wood is much stronger in Play Intense that in Play. Moreover, the Tonka bean, which is not a fragrance present in Play, can be noticed in Play Intense. Both of these brands of cologne contain vetyver and patchouli, which gives them a woody, earthy, and herbal scent. The patchouli also contributes an exotic and musky scent for both Play and Play Intense. The Play brand has an aroma of black pepper while Play Intense has the pink pepper aroma. In Play intense, the pink pepper provides a mild, pleasantly, sweet fruity, scent with a bit of spicy whiff in it. One would say that Play Intense strengthens the woodsy side of the cologne while toning down the citrus essence. Play, on the other hand, tones down the woodsy side and instead intensifies the citrus aroma. Play Intense is categorized as oriental-spicy while Play is categorized as citrus-fruity. These two colognes are similar in scent strength because both of them are considered to have a moderate fragrance. The target market of Play is college students or those males who are between the ages of 17 and 30. In contrast, Play Intense is targeted towards those males who are more mature, their age ranging from 30 onwards. Therefore, it can be

Tuesday, October 15, 2019

Fire Facility Tour Report Essay Example | Topics and Well Written Essays - 750 words

Fire Facility Tour Report - Essay Example They have an engine truck that they use as a backup when necessary. On each of their trucks are printed, â€Å"Dedicated. Professional. Quality. Care. Service.†, which is their theme. In order to properly use this equipment, as well as the self-contained breathing apparatuses, hoses and rescue operations, the fire fighters here undergo a minimum of two years of training. Along with the basic training that they receive, they also undergo aircraft accident response procedures, despite the fact that this fire station is not a first responder to such incidents. However, in the event that an air accident occurs within their jurisdiction, they require training for such responses in their area. Therefore, they have been trained in aircraft accidents, understanding that fires occur in the engines, cabins, wheel well and fuel tanks. They have to understand for their own safety how each material that is used in the building of any aircraft will act in the event of a fire, in order to pr operly evaluate their safety and how to douse the fire quickly and safely. In the last two years, they have responded to two aircraft accidents, which were used as training exercises for the team. They used a single engine Cessna for the training exercise in which the plane was crashed into the ground. There were no injuries, as this was a training exercise that was staged and used only highly trained professionals. This accident happened in a large field about 10 miles from the station. The response time for this fire station to the scene was 20 minutes. It is this type of staged accident that puts the fire fighters’ training to the test. They were sent to the scene of the aircraft accident with three engine trucks, using one from an adjacent fire station, one ladder truck, two rescue ambulances from another jurisdiction and one Battalion Chief. Upon arrival, the men were already in full fire fighting gear. They jumped out of their trucks, grabbed their hoses and ran to the scene of the accident with no hesitation. The fire fighters took a very quick account of the wind direction, where the fire was emanating from within seconds and went to work. The fire was doused within minutes, using a structural fire fighting foam product mixed with the water. This required an exceptional amount of teamwork, coordination and trust in one another. They use this training in the event that the local airport notifies their respective communications center that additional assistance is needed, thus dispatching the Osceola County Fire Department for help. Although there are no mutual aid agreements in place, the Osceola County Fire Department is always ready and willing to be dispatched at any time. They run three eight-hour shifts, with five separate crews on each shift. This allows them to be well manned and ready to respond to any fire, at any time. Touring Lieutenant Huskket’s fire station was not only interesting and educational, but fun as well. It allowed me to learn more about the inner workings of a fire department and what exactly the fire fighters have to endure in training as well as reality. I not only learned about the techniques and tenacity of these brave men, but found a new respect for them and their character as

Monday, October 14, 2019

Social Work Theory and Methods of Intervention Essay Example for Free

Social Work Theory and Methods of Intervention Essay This piece of work will attempt to look at how a chosen Social Work method can be useful in case work intervention with an individual. It will look at the theory in detail with regards to its application in the client/worker relationship, taking into consideration issues of anti-discriminatory practice and the limitations which the method may have in delivering a holistic service. It will then consider the benefits of using another method in conjunction with the first in order to compliment this and provide more robust ministrations. The individual chosen from the case study is Michael. He is 15 years old and has recently been arrested along with two friends. This is not his first offence and he has intimated that he feels confused and has no-one to talk to. Additionally his relationship with family members is tentative at the present time and he has been blamed for the arrest by his friends. The method chosen in this instance is Cognitive Behavioural. This approach is concerned with the way we think. It makes the assumption that behaviour is directed by thoughts. Unlike many other concepts, which concentrate more on unconcious drives, feelings or internal conflict. Cigno and Bourne 1998, believe that most of what makes us individuals rather than clones, what shapes our personalities, including behaviour, emotion and cognition, is a result of what we have learned. This paradigm is rooted in behaviourist theory. Pavlov introduced classical conditioning after his work on physiological processes of digestion. This was a specifically centred around work with laboratory animals, which when observed in experiments began to develop associations and anticipations about food. Pavlov named this stimulus association learning. Operant conditioning is also part of this model, introduced by B. F Skinner 1953, it interposed the concepts of positive and negative reinforcment as a result of stimulus. He believed that almost any set of stimuli can aquire reinforcing or punishing associations through the consequences they bring Cigno and Bourne1998. Cognitive and behavioural theories are principles from two related streams of psychological writing, Payne 1997. Social learning theory (Bandura), focuses the fact that most behaviour is learned. However it goes further than behavioural theory by implying that peoples perceptions and thinking about their experiences and modelling what they see around them are vital to the process and interdependent to the feelings that they have regarding this. Basically Bandura believed that how we think has an affect on our behaviour and that both of these are open to change. The way we think about a situation mediates between the outside world and our inner self, Harrison and Butler 2004. People have the capacity to change and behaviour is assimilated by goals, Sheldon 1995. Cognitive behavioural programmes are based on the application of both social learning theory and cognitive theory to inform therapeutic methods, Cigno and Bourne 1998. This assessment would be done with the intention of helping Michael to see where he is at present with his own thought processes (hopes, fears,values) and to progress from these to try to make Michaels behaviour goal orientated, e. g getting Michael to think about offending in a different way and continuous reinforcment of a desired behaviour will work quickly to decrease in the behaviour which leads to offending, this promotes change in the thinking behind offending behaviour. Shaping can also be used, reinforcing small steps made toward a required behaviour. The worker also needs to challenge negative thought processes. Feedback needs to be encouraged so that Michael can see what he has achieved oustide sessions, Harrison and Butler 2004. Once the desired behaviour is achieved fading would be used to reduce the amount or type of reinforcement. This enables Michael to transfer his behaviour to other settings, Payne1997. The principle of self-talk can be tried out with Michael also. Cigno and Bourne 1998 indicate that children gain self-control over their actions as their inner speech develops. Using this formula in the form of self-talk can help with self-appraisal and self-support. Self-Instructional Training (SIT -Goldstein and Keller 1987) was developed with this as a central concept. This intervention can help to establish self control in young offenders, thus helping to decrease the arousal which may lead to offending behaviour. Beck et al 1985 followed on from Bowlbys (1977) work on attachment and loss and may take the stance that Michael has a sociotropic personality. This means that he values closeness and the loss of a relationship, a rejection or an experience of social deprivation could affect his mood and leave him feeling confused and isolated, Dryden1996. Hence the abnormal thought which lead to offending. Another use of cognitve techniques could be offered to Michael and his family in the form of Functional Family Therapy if his family were willing to participate. This focuses on family interaction. It uses contingency contracting as a means of changing family interaction in the case of young offenders. It can help to reduce recidivism and have a beneficial effect on the interactions between families. It has become increasingly evident

Sunday, October 13, 2019

Chronic Obstructive Pulmonary Disease Case Study

Chronic Obstructive Pulmonary Disease Case Study CASE STUDY : COPD This piece of work will explore the comprehensively physical examination, differential diagnosis and various diagnostic tests to confirm the disease condition that is CHRONIC OBSTRUCTIVE PULMONARY DISEASE. It will then move further to discover the comprehensive treatment plan and present a argument on an excellent method to treat the disease condition on the basis of current evidenced based studies. The actual name of the patient is replaced with another name so as to retain confidentiality (Dimond, 2002). Mr.X is a 58 year retired office manager came to the emergency ward with his son. He had chief complaints of difficulty in breathing, severe cough, weakness and was feeling discomfort. Patient general appearance shows that he is weak, sitting in high fowlers position, respiring through pursed lips. Suggest that this type of breathing is the indication of emphysema. Pursed lip breathing helps in emitting the air which is trapped in the lungs and limits the force for taking breath (Rik Gosselink, 2003). History taking and proper investigations are the two main components for confirming the disease condition. Complete history is essential to determine the exact etiology of shortness of breath that includes past history of asthmatic attack, family history of asthma, occupational history, present history of smoking, alcohol intake, medication history, episodes of cough whether it is productive or not, presence of any heart problems (Walsh, 2008). COPD develops due to the lack of alpha one antitrypsin hereditary factor. Furthermore the occupational hazards along with genetic factor deteriorate the condition. So detail history collection including all the aspects is significant (Yohannes and Hardy, 2003). History of patient reveals that patient was a chronic smoker from the past 20 years and consume near about twenty cigarettes every day, although patient left smoking 6 months ago his smoking history provides estimation of 20 packs a year. Moreover COPD is more prevalent in patient who consume 20 packs of cigarettes in one year (Georgios et al, 2004). However there are various other diseases that occur due to cigarette smoking such as cancer, heart diseases, pulmonary diseases, influenza, pneumococcal, meningococcal, tuberculosis etc (Arcavi and Benowitz, 2004). Also patient is not able to perform daily activities due to shortness of breath and cough with sputum production. These symptoms are quite common in carcinoma of bronchus, however difficulty in breathing, cough and sputum production are also main clinical symptom of COPD (Pauwels and Rabe, 2004). Moreover, history of the client indicates that plentiful production of sputum for more than three months for two years which shows t he presence of chronic bronchitis (GOLD, 2008). Patient is also not able to sleep during night. Awakening during night which occurs by shortness of breath reveal presence of congestive heart failure or asthma (Price, 2010). Complaints of patient we loss of weight, fatigue, chest tightness due to severe episodes of cough, disturbance in sleep. Dietary history shows that patient is non vegetarian, family history does not provide any significant data. Client having age more than 40 and have sign and symptom such as formation of sputum, difficulty in breathing, history of cigarette smoking and any inhalation of noxious fumes and chances of occurrence of COPD is more at the age above 40 ,therefore patient is believed to have COPD (Vestbo, 2010). Although all the sign and symptom of the client signify that patient is suffering from COPD still functional diagnosis is necessary to confirm the exact diagnosis and proper physical assessment is necessary to confirm the diagnosis (Ferrara, 2011). In high risk cases of COPD proper cardinal sign, body mass index, height and weight of the patient is to be notified as component of assessment (Stockle, 2007). The vital sign of patient are blood pressure:124/76mmHg, height: 174cm, rate of respiration: 20/minute, temperature: 98.2F, Weight: 56kg and body mass index is 19kg/m2. During inspection it is observed that shape of chest of patient is barrel and patient respire with the help of accessory muscle which indicates presence of emphysema (Smeltzer et al, 2009). This less amount of air in the lungs causes disturbance in breathing pattern (Celli, 2007). This alteration in shape of chest shape occur due to the decrease in flexibility of lungs muscles and therefore extra energy is required for this forceful type of breathing as a result client is not able to eat in adequate manner and loosen the weight (Smeltzer et al, 2009). Percussion indicate presence of tympanic resonance that occur because of less motion of diaphragm and presence of wheezing sounds indicating COPD (Celli, 2007). Auscultation indicate that there is extended forced expiratory pattern due to the decrease in air in the lungs. Congestive heart failure or lung fibrosis is differentiated from COPD on the basis of wheezing sound and presence of ronchi. Club shape finger of patient may indicate the presence of other disease condition such as cancer of lungs, bronchiectasis, and pulmonary fibrosis. The skin mucosa of the client is bluish which signify that less of oxygen in blood (American thoracic society, 2004) . Physical assessment of respiratory system does not provide the relevant and valid information for the detection of disease condition but related co morbid state and differential diagnosis are well judged with the help of thorough examination (Mcivor et al, 2004). However the decrease in flow of air in lungs is not predicted with the help of history collection and general assessment. Therefore pulmonary functional test such as spirometry is useful in diagnosing COPD (Travers et al, 2007). Furthermore for identification and confirmation of the COPD and its progress level can be easily identify with the help of spirometry (Stoloff, 2011). COPD is well detected with the help of satandarized device that is spirometry however this device is inconsistent in clinical area (Gold, 2008). Spirometry reading of patient reveals that FEV1/FVC is 56% , this value is less than 70% and it is categorize as stage two that is moderate. However spirometry is not believed to be valid tool for the evaluati on of broad category of airflow obstruction diseases (Borg, 2010, American Thoracic Society, 2004, GOLD, 2008). But provision of bronchodilators are beneficial in diagnosis of asthma and COPD and determine the limit of flow of air that is not reversible fully. Still the exact value of reversibility that helps in judging the patient asthmatic or COPD pdiseases is not known. However differential diagnosis of COPD can be clinically evaluated and also can determine by various non invasive procedures (Vestbo, 2010). Chest radiography is useful technique in excluding various differential diagnosis such as pneumothorax, chronic heart disease, pneumonia (Man et al, 2004). Therefore, to clear out the differential diagnosis, a proper clinical examination and simple investigations including chest radiography could resolve uncertainty if any (Vestbo, 2010). Radiography of chest mostly exhibit clear interstitial markings in patient with chronic bronchitis however there is no particular outcomes that provide evidence that radiography is beneficial for the diagnosis of COPD or Chronic bronchitis (Kane Graham, 2004). In the patient, chest radiography reveals that lung field is hyper distensded, diaphragms are flattened and retrosternal space is more which is the sign of emphysema. Moreover determination of various changes in lungs in case of emphysema can be determined with the help of superior type of chest film (Vestbo, 2010). However with the help of chest x ray it is not possible to detect initial stages of COPD (Gold, 2008). Therefore high resolution Computed tomography is used for identifying emphysema in the initial stages. Moreover the lesions in the lungs can be identifying with the help of high resolution computed tomography (HRCT) without any trouble (Gold, 2008). There are various other diagnostic test which are helpful in COPD confirmation with more accuracy such as arterial blood gas analysis, cardio pulmonary exercise test (GOLD, 2008). The presence of pulmonary emphysema and various other alternative diseases such as asthma and other minor airway diseases can be determined by the value of total lung capacity and diffusing capacity for carbon monoxide(Vandevoorde, 2006) suggest that through examination of blood gas, saturation of oxygen in blood, blood perfusion is determined (Smeltzer et al, 2009). (also supported that arterial blood analysis in moderate and severe cases of COPD should be performed (Vestbo, 2010). However this test is not is not a reliable test to confirm COPD but in high risk cases of emphysema this test is helpful to know hypoxemia (Travers et al, 2010). Value of ABG analysis of patient was PH-7.30, Pao2-84mmHg, Paco2-48mmHg, HCO3-25mg/dl and Sao2 94% Haemoglobin level of patient was 13.4 mg/dl . Chronic Obstructive Pulmonary Disease is the disease of respiratory system that causes non reversible and progressive decrease in pulmonary function (Higginson, 2010). The air flow is not proper in lungs due to this reduction of lung function. The diseases it includes are bronchitis, asthma and emphysema. It effect more than three million people in England. (Jones, 2001) In the Western World, the main cause of COPD is smoking, smoking is related with over 90% of this disease, however COPD occurs in merely 10% to 20% of chronic chain smokers. (Beyer et al, 2008)Respiratory illness is also occurred by passive smoking. (Higginson, 2010) Genetic factor is also responsible for yhe occurrence of COPD however there is only one genetic factor alpha antitrypsin that involes in causing this disease. The lack of this genetic factor is the single major risk factor for the occurrence of this disease. Though determine in only one percemt cases of COPD. Contact with noxious substances is the most c ommon cause of COPD. (Yohannes and Hardy, 2003) There are various diseases in childhood such as pneumonia and whooping cough prior to the age of 12 year are considered to be the risk factor of bronchiectasis and bronchiolitis. Females are at high risk of COPD than man however argues that there is no difference in occurrence of COPD in male and females (Lindberg, 2006). The progress of the disease inside body is mostly described by the inflammation that involve central and peripheral airways. By the inhalation of the noxious substances or irritants , inflammation occurs in the central airway. Due to this soreness , there is more secretion of mucus that damage the ciliary clearance. As a result the glands of the mucus turn into large size and therefore more production of mucus take place due to more amount of goblet cells. This increase production of mucus provides an brilliant medium for the growth of microorganism cause the impairment of airway. Repeated infection causes damage to cilliary body and further inflammation. This progression leads to constriction of airway . Following obstruction trapping of air inside lungs occurs that result in hyperinflation, difficulty in breathing and less tolerance to exercise. The chronic obstruction diseases are chronic bronchitis, emphysema (Higginson, 2010). For the appropriate management of COPD, holistic approach must be taken in account (Paul, 2004). Individually management plan must be made that covers the essential components such as termination of smoking, dietary management and function of lungs should be maintained by medication therapy. Instant treatment in emergency unit is started with the provision of oxygen and sometime bronchodilator may be beneficial to find out reaction to the treatment (Gold, 2008). Moreover administration of oxygen helps in treating hypoxemia and hence improves breathing problem (Downs Appel, 2007). However excess utilization of oxygen may lead to withholding of carbon dioxide level in lungs. So it should be provided with cautious (Kevin, 2007). Patient was provided with oxygen therapy for short duration, the partial pressure of oxygen of the patient is 74% so there is no requirement of oxgen for long term (Gold, 2008). Drug therapy is beneficial for the treatment of COPD and it is provided according to the seriousness level of disease condition (Incalzi et al, 2006). In mild COPD cases, short acting beta 2 adrenoceptor agonists is advised whereas in moderate and severe cases long acting beta 2 adrenoreceptor agonist are recommended. Moreover anti cholinergic is beneficial and easily bearable in older people. Pharmacotherapy is essential in relieving the various symptoms however there is no medication that reveals long lasting improvement of lung function (Gold, 2004). Suggest that with the combination of different drug therapy can give better result and reduce the harmful effects as compared to large amount of single dosage. The preference of different bronchodilators depends upon, accomplishment of desired reaction and ill effects (Downs Appel, 2007). Suggest that due to very few harmful effects and less dosage requirement, inhalation route is chosen for treatment (American thoracic society, 2004) . The widely used short acting beta agonist are salbutamol, terbutaline, pirbut erol and salmeterol, formoterol are the long acting beta agonist also methylxanthines such as theophylline , antichollinergic and inhaled corticosteroid are commonly used that are beneficial in reducing m mucus secretion in airway (Nazir and Erbland, 2009). Pharmacotherapy in the patient was begin with the administration of combined therapy of salbutamol of dose 50Â µg with ipratropium 20Â µg. these are the bronchodilators which is provided with the help of inhaled and injection of theophyllin also administered through intra muscular route. There are some other drugs that are beneficial in severe stage such as antioxidants and immunoregulators (Gold, 2008) Improper nutrition in COPD patient is quite general and it has harmful influence on the pulmonary functioning. So helping the client in maintenance of adequate nutrition level is important and beneficial in improving the respiratory functioning (Shepherd, 2010). Moreover the client whose BMI is less than 21 kg/m2 should be given supplementary diet in order to improve condition of client further (Vermeeren et al, 2001). However age associated alteration in structure, height, muscular changes and if value of BMI is more than also malnutrition cannot be identified (Shepherd, 2010). In patient BMI is in normal category instead patient is advised to take adequate calories, carbhohydrate and proteins in diet. Patient is also advised to avoid caffeine, restrict sodium and taking more milk. The other preventive measure is vaccination of influenza. It has much influence in prevention of various acute respiratory illnesses along with COPD. This type of vaccination must be advised to each patient suffering from COPD (Wongsurakiat, 2004) . Patient who is moderate or severe deterioration of lung function then pulmonary rehabilitation is beneficial to gain maximum functioning to manage with disease condition. Patients are motivated to do different types of exercise to keep body healty Such as steps up, walking , various arm exercises, self handling of various activites such as taking medication, that helps in keeping the function of different system appropriately. Also exercise for decreasing hyperinflation and manage dyspnoea such as deep breathing and pursed lip is advised to the patient (Barnett, 2008). Moreover advantages of rehabilitation of lung fuction maintain for numerous months even after the end of this program (O` Donell, 2007) . COPD is the most prevalent problem that effect mostly elderly people. The mai symptom of COPD is shortness of breath, production of cough with sputum. The main cause of occurrence of this disease is cigarette smoking. History taking and physical examination is beneficial in excluding all the differential diagnosis. Through spirometry diagnosis of COPD can be made. Pharmacology is helpful in controlling the further spread of disease but medication does not provide efficient result in long term care. CASE STUDY ON SPINAL CORD INJURY This case study will throw light on the complete physical examination and diagnostic test and a range of laboratory investigation to confirm the diagnosis. It will then undergo detail treatment plan along with differential diagnosis to explain the appropriate intervention on the basis of present evidence sources. Also it will explore the recent issues regarding care of spinal cord injured patent. The actual name of the patient is changed in the study so that data cannot be recognized (Dimond, 2002). Mr. Malik Aggarwal is a 21 year old student studying in University of Greenwich doing mastering in marketing. During summer break in France, Malik was struck with an motorbike accident. During accident he fall harshly on the footpath from his bike and was lying towards his abdomen . This accident was witnessed by the policeman and he quickly gave call for first aid management. Ambulance was arrived soon and emergency staff identify the severity of Malik injury, they protect the neck of the victim with the help of strong board and immobilize the part before transferring him to the emergency department of the closest hospital. Patient was awake and also familiarized with current date, day and location. He was also replying in well manner. After reaching hospital, he complained of loss of feeling on his both legs, severe pain in neck, mild pain on his back and all extremities, patient was not able to move his neck and lower extremities properly. The assessment was carried out by the eme rgency specialist staff, and found that there were contusions and lesions present on his trunk and lower extremities, the restriction of the neck was rapidly maintained by the staff with the help of firm cervical collar. In order to limit further deterioration of condition, patient was supported with cervical traction and head was also supported with motion restricted devices that are helpful in maintaining proper alignment (Grubb, 2006) . The cardinal signs were checked and indicate that patient has Blood pressure of 100/70, pulse rate: 90/minute, respiration: 20/mt, temperature: 98.4 F and oxygen saturation was 90%. During history collection main emphasis should be given on complete mechanism that how the injury took place, this data is confirmed from the witness and also who is present at the time of accident to so as to proceed accurately towards confirmation of diagnosis (Schreiber, 2009). Other physical and social factors should be noticed that may interfere with the proper assessment of pain (Cruz-Almeida, 2007). Moreover complete history plays an important role in knowing possible etiology of different symptoms and also helps in excluding differential diagnosis. Proper pharmacological history , family history and dietary history should be taken because it might be beneficial in knowing the disease (Cox, 2008) . History collection of patient reveals that patient was anxious and had complaint of pain at the site of neck. The constant pain occur due to the contraction of muscles of neck muscls. There were presence of mild lesions on the trunk and extremities. Therefore it might be the case of injury on cervical cord because continual pain is the indication of spinal cord injury (Lee and Ostrander, 2003) . The exact cause of injury is the extreme flexion of head towards the chest that is due to hyperflexion. Moreover if the main reason of spinal cord injury is hyperflexion or hyperextension then it might be the case of spinal cord injury (ElFaramawy, 2009). Client gave appropriate reaction to each question during history taking , this shows that patient has good level of consciousness. As patient vital sign indicate that patient has hypotension, low respiratory rate and decrease in temperature. The one reason for the occurrence of hypotension might be the interference of vagal and symphathetic vascular tone (Karlet 2001). The client symptoms of hypotension, bradycardia indicates that it might be due to neurogenic shock (McLeod, 2004). After the collection of data it is essential to carry out physical assessment by covering all the aspects. Adequate Physical assessment is the basis in determining the injury related to spinal cord (Bono and Lee, 2004). Moreover physical examination especially of neurological system is beneficial in gathering the baseline data. The main section in neurological examination include will be cranial nerves, sensory and motor function and also reflexes (Noah, 2004). Assessment take place by mkaintaing proper interpersonal relationship with patient. While doing inspection assess for the mental condition, intellectual and cognitive response of the patient (Crimlisk, Grande 2004). Assess for the posture of the patient, if posture maintained by patient is decerebrate thenit may indicate trauma in the midbrain. With the help of Glasgow coma scale, level of consciousness should be assessed and also this scale is beneficial in determining the sensory, motor and verbal response. However the response through this scale is not satisfactory in determing the verbal function (Iyer, 2009). Assess for the extremities for spasticity, presence of weakness, flaccidity as these are the significant mark of damage to neurologic system and also assess for the pronator drift which signify hemiparesis (Crimlisk and Grande, 2004). In the patient, level of consciousness through Glasgow coma is assessed and it is found to be 13 which is normal(Iyer, 2009). Inspection of the patient indicates that there is presence of abrasions on the body and he has difficulty in breathing which is indicated from the use of accessory muscles. This data may be crucial in determine that damage occur in between C3 and C5 vertebrae (Walker, 2009). Neck and trunk should be properly palpated as it is helpful in determine any kind of defect in the neurological system. Palpation should be done in an appropriate manner starting from the cranium and regularly descending along the vertebral disc. On palpation of patient there is feeling of rigidity of muscles of cervical and tenderness. So there are chances of cervical injury (Noah, 2004). Diagnosis of spinal cord injury is based not just on history collection and examination infact complete neurological examination and radiographic studies are essential for the confirmation of diagnosis (Berney, et al 2011) . Spinal nerve assessment should be done with the help of hammer that should be strike beneath the knee. Striking causing sending of nerve impulse and thigh muscles contracted due to this flow of nerve impulse. If there is no contraction of muscles then it indicates there is distruption in the pathway and some sensory or motor deficit. In patient there was mild contraction of muscle fibre indicate neurological deficit(Cox, 2008). After that cranial nerves should be assessed by various method such as recognization of smell, assessment of the vision through snellen chart, assess for speech ,facial expression, assess for optic fundi with the help of opthalmoscope, if there is presence of papilloedema it may be the case of increase intracranial pressure. In patient all the cranial nerves are intact and also no papilloedema is present which exclude the diagnosis of increased intracranial pressure (Cox, 2008) . Patient motor and sensory function is determined by the American Spinal Injury Association (AISA) impairment scale. In this scale sensory deficit and motor impairment is recognized with the help of broad categorization. In the patient the strength of elbows, wrist was normal, the stretch of the biceps and triceps was also normal. The response of the patient towards light touch and pin prick was normal up to the inguinal area however due to weakness of lower limbs, the response of lower extremities was not adequate indicate sensory deficit due to spinal cord trauma (Dodwell, 2010) . However the proper alignment of the vertebrae and recognizing of fracture cannot be possible with such scale so for that radiography is essential (Sheerin, 2005). The radiography is beneficial in determine the fracture of thoracic vertebrae, it gives reliable information but it is not useful in case of cervical vertebrae as these vertebrae are to small to be visible appropriately in radiography (Jorge, 2009). Radiography of the patient provide inadequate data as the film was not properly clear. The deep examination of displacement of bone segments and fractures is possible with the help of computed tomography. The CT scan is beneficial in visualization of the image in different cross section (Jorge, 2009). It is possible to get exact information regarding injury of bone with the help of CT scan and radiography films however the injury to the soft tissue on the cord, intervertebral disc then these diagnostic test does not provide complete information regarding soft tissues (Sheerin, 2005). The CT scan of patient exhibit that injury take place at the level of C5 spine. Magnetic Resonance Imaging is helpful in visualization of injury that occurs on soft tissues by providing well clarify image. The further deterioration and injury that occur due to soft tissues is clearly recognized with the help of MRI (Sheerin, 2005). The MRI of patient shows that there is no soft tissue injury. Functional studies such as positron emission tomography, electromyograms are not of use in case of conscious client. They are only essential in patients who are not cooperative (McDonald and Sadowsky, 2002). From the above history collection, physical assessment, various diagnostic test it is clear that client has cervical injury at the level of 5 intercostals vertebra. Spinal cord is the basic part of central nervous system. It consists of thirty one segments. However due to the fusion of coccygeal bones there are 30 segments in vertebral column (Sheerin, 2004). Spinal cord has two region that is cervical and lumber and it is consist of grey matter (Sheerin, 2004). Approximation of 500 to 700 people each year suffers from traumatic spinal cord injury in UK. The main aetiology of spinal cord injury is straight mechanical injury and injury develops due to the compression on cord (Pellatt, 2010). This compression develops from traumatic and non traumatic reason (McDonald Sandusky, 2002). Due to this overstress of cord, intense flexion, extension or rotation develops. If injury develops due to direct force then within little duration discharge of enzymes from cells and vasoactive substance take place. After that neutrophills and macrophages infilterate in that region. The amount of potassium in extracellular fluid boost up and cells become depolarized and result in hypoxic conditions. Where as in case of indirect cause, vascular system compromised causing lack of blood supply in tissues. Which further leads to development of various haemorrhages, due to this haemorrhages the endothelium of blood vessels become disrupted. Further development of aneurysms occurs causing thrombi development in blood vessels. Due to stimulation of vagus nerve, imbalance thermoregulation develops and because of dermal blood vessel dilatation various life threatening sign and symptoms are developed such as neurogenic shock due to vasodilatation (McDonald and Sadowsky, 2002). There are also development of various syndrome such as anterior cord syndrome which occurs due to the injury to the two third of spinal cord in the anterior side, and next is the posterior cord syndrome that occurs due to the injury to the two third of spinal cord in the posterior side (Bailes et al, 200) . Central cord syndrome mainly occupies the cervical part of spinal cord. This syndrome usually influence elderly people and develop cervical spondylosis due to hyperextension. This spondylosis and hyperextension injury together put compression on the anterior and posterior side of cord. Due to which ligament turn towards inner side and put force on the anterior horn cells. This will further causes development of oedema (Bailes et al, 200) . Management of the patient begins from the site of the accident. First priority of the management is the maintenance of the airway, breathing and circulation. Oxygen therapy helps to prevent hypoxic conditions along with that oxygen therapy stop secondary injury that occurs due to the hypoxic conditions. For maintain airway jaw thrust method should be used chin lift method should be avoided as this may deteriorate the neck by extension (Pellatt, 2010). Immediately stabilization of spine must be maintain with the help of stiff cervical colour. The client must be positioned on hard board so as to maintain proper alignment. If there is requirement of intubation then it should be maintained with the help of three people without mobilizing the patient. However immobilization is not as important as the oxygen therapy because death of the patient may take place due to development of encephalopathy in hypoxic condition (Sheerin, 2005). After the confirmation of diagnosis, drug therapy should be started without any delay. Currently this drug therapy is recognized as basic treatment and helps in limiting secondary damage due to hypoxic condition. Steroid treatment must be started immediately. Methylprednisolone is more preferable. The amount needed for this drug is 30mg/kg in 15minutes, subsequently 5.44mg/kg/hr within 24 hours. Steroid treatment helps in improving neurologic deficit through blood flow toward central nervous system. However this drug is helps in only protection of neurological function and also use of elevated amount this drug result in side effects such as gastric bleeding and infection of wound (Weant, 2008). Further supporting, this drug is usually beneficial within 8 hours of injury. Also in the study organized by the researcher in random controlled trial to see the impact of nimodipine and methylprednisolone on patient with spinal cord injury in acute phase is that both the drugs produce side e ffects and these drugs are not of much beneficial (Pointillart, 2000). Also respiratory and cardiovascular function should be adequately maintained in spinal cord injury. Excessive damage if occur by spinal cord injury has remarkable effect on respiratory system. Mostly colloidal solutions maintain pulmonary wedge pressure. (Nockels, 2001) Moreover due to spinal cord injury the tidal volume generated by accessory muscles is not adequate and result in further damage to pulmonary function so there is need of maintainence of respiratory function. Also hypotension may develop in patient as a result of neurogenic shock. Therefore it is essential to check blood pressure and average arterial pressure should be more than 85mmHg. However if blood pressure is too low than it can be managed with the help of vasopressin agent such as dopamine (Sheerin, 2005). Mr. Malik was provided oxygen about 2 litres/min so as to maintain proper perfusion. Pulse oxymetry was continued and part

Saturday, October 12, 2019

Free College Essays - Symbolism in Hawthornes The Scarlet Letter :: Scarlet Letter essays

The Scarlet Letter  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Symbolism      Ã‚  The book The Scarlet Letter is all about symbolism.   People and objects are symbolic of events and thoughts.   Throughout the course of the book, Nathaniel Hawthorne uses Hester, Pearl, and Arthur Dimmesdale to signify Puritanic and Romantic philosophies.   Hester Prynne, through the eyes of the Puritans, is an extreme sinner; she has gone against the Puritan ways, committing adultery.   For this irrevocably harsh sin, she must wear a symbol of shame for the rest of her life.   However, the Romantic philosophies of Hawthorne put down the Puritanic beliefs.   She is a beautiful, young woman who has sinned, but is forgiven.   Hawthorne portrays Hester as "divine maternity" and she can do no wrong.   Not only Hester, but the physical scarlet letter, a Puritanical sign of disownment, is shown through the author's tone and diction as a beautiful, gold and colorful piece.   Pearl, Hester's child, is portrayed Puritanically, as a child of sin who should be treated as such, ugly, evil, and shamed.   The reader more evidently notices that Hawthorne carefully, and sometimes not subtly at all, places Pearl above the rest.   She wears colorful clothes, is extremely smart, pretty, and nice.   More often than not, she shows her intelligence and free thought, a trait of the Romantics.   One of Pearl's favorite activities is playing with flowers and trees.   (The reader will recall that anything affiliated with the forest was evil to Puritans.   To Hawthorne, however, the forest was beautiful and natural.)   "And she was gentler here [the forest] than in the grassy-margined streets of the settlement, or in her mother's cottage.   The flowers appeared to know it" (194) Pearl fit in with natural things.   Also, Pearl is always effervescent and joyous, which is definitely a negative to the Puritans.   Pearl is a virtual shouting match between the Puritanical views and the Romantic ways.   To most, but especially the Puritans, one of the most important members of a community is the religious leader; Arthur Dimmesdale is no exception.

Friday, October 11, 2019

Is Gaming Harmful?

Is Gaming Harmful? Video and computer games, like many popular, entertaining and addicting kid activities, are looked down on by many parents as time wasters, but why? , is it because they are harmful? , or is it simply because they are spending too much time on them instead of studying. Both have many good arguments, but I am going to write about the one in which I feel are most valid. One of the many good points against gaming is that children, teenagers and adults alike are losing sleep over video games because they are staying up all night and letting their â€Å"addiction† take over.The definition of addiction is: â€Å"The condition of being habitually or compulsively occupied with or involved in something. † And anyone who likes and plays videogames has experienced this at some point. Its not only kids that think about going home from school to play video games, many adults think about at work too, the average game player is 30 and has been gaming for about 12 ye ars. This means that many people, no matter of their age or sex, are putting video games before their school or work by missing out on important sleep and not putting their full concentration into their work.On the other hand, Gaming has been proven to increase social skills in young people as most games include a multiplayer feature that encourages people to play the game with others, whether it be online with friends or sitting together which is important for young kids growing up as it helps them make friends and sustain relationships. It also helps them realize how important it is to be sociable when they are starting school or a new job.Although some could argue that video games can do children social harm as many children play there selves for many hours each day and rarely interact with their family or friends. They could also argue that video games can cause great physical harm. The physical harm can occur when the child spends long hours of concentration on fast movement or because of the screen flicker. Also when children play video games they sit in for long hours that in the long run will stunt their natural growth and damage their backbone.Video games are more commonly known as a hobby you do sitting down somewhere comfortable and relaxing but what most people fail to realize is that there are a new type of video game emerging that get you on your toes and exercising. These include such consoles as PlayStation Move, Xbox Kinect , Wii, etc. These devices are designed to keep you active while you game and can give you a good physical work out instead of playing seated, these kind of games also can give you a good mental work out as most games for these console require lots of problem solving and also help improve your hand eye co-ordination skills.However, there are some that would say playing videogames can cause mental and psychological harm. Their reasons for this are they believe that when playing video games, children do not apply much mental e ffort and believe that video games are not creative enough. This could lead to the child developing lazy mental habits and also being impatient as real life is not as fast as their game might be. There are also some that believe that children can become violent because they become habituated to the violence that occurs in some games they might play.

Thursday, October 10, 2019

Brown V. Louisiana Essay

During the 1960’s, many African-Americans believed that civil rights should become a national priority. Young civil rights activists brought their cause to the national stage and demanded the federal government assist them and help resolve the issues that plagued them. Many of them challenged segregation in the South by protesting at stores and schools that practiced segregation. Despite the efforts of these groups and Supreme Court rulings that ordered the desegregation of buses and bus stations, violence and prejudice against African-Americans in the South continued Meyer, F. S. , 1968). In the 1960’s many things were off limits to African-Americans. They weren’t revered as equals and suffered greatly because of it. There’s an unfamiliar case to most that took place in Louisiana that helped shaped the use of public facilities for all people. This case is known as Brown v. Louisiana. The Audubon Regional Library in Clinton, Louisiana, Parish of East Feliciana did not serve blacks. Blacks, at that time, were expected to use one of two bookmobiles. The red bookmobile served whites and the blue bookmobile served blacks. On March 7, 1964, ive young African-American males entered the adult reading room and one of the men, Brown, requested a book called, â€Å"The Story of the Negro,† by Arna Bontemps. The assistant librarian checked the card catalogue and discovered that the library did not have the book. She told Brown that she would request it from the state library and he could either have it mailed to his home address or he could pick it up from the bookmobile. After the men had been given the news about the book they sat down quietly. After the men failed to leave the library, the assistant librarian requested that they go. They did not. Brown sat down while the others stood nearby. The assistant librarian then went to the head librarian who requested them to leave as well. Again, they did not. A few moments later, the sheriff arrived and requested that they leave again, and again, they did not. The sheriff arrested them and charged them with the intention to provoke a breach of peace and failure to leave a public building when ordered to do so (Coates, R. , 2005). The five men were tried and found guilty. Brown was sentenced to pay $150 for court costs or spend 90 days in Jail. The four other men were sentenced to $35 for court costs or 15 days in ail. Under Louisiana law, the convictions weren’t appealable therefore; their requests for discretionary reviews were denied. The Supreme Court granted certiorari. A certiorari is an extraordinary privilege injunction granted in cases that otherwise would not be entitled to review. In writing for the majority, Justice Fortas first examined whether the protesters could be convicted for refusing to leave the library. He concluded that they could not since their protest was peaceful and blacks could not be denied access since whites were allowed inside as well. He reviewed the onduct of the men and felt that this had no merit either. The state argued that the men were proving their intent to disturb the peace and upset the librarian. Justice Fortas concluded that the arrest was a violation of the men’s First and Fourteenth Amendment rights that guarantee freedom of speech and assembly and the right to opposed this opinion and took to issue with the majoritys reasoning. He disagreed that the Constitution prohibits any state from making â€Å"sit-ins† or â€Å"stand-ups† in public libraries illegal. Second, Black argued that the previous breach of the peace cases in Louisiana differed from Brown v. Louisiana. Previously there had been several other situations where there were peaceful demonstrations over discriminatory practices. Garner v. Louisiana (1961) involved a sit-in at a lunch counter to protest service for whites only. In Taylor v. Louisiana (1962) blacks again protested the presence of bus depot that was for white customers only. In Coxv. Louisiana (1965) a man led a demonstration near the courthouse and Jail to protest the arrest of other demonstrations. Each of the protests, along with Brown v. Louisiana, was all orderly and peaceful and was over discriminatory practices that denied the protesters’ rights hat were guaranteed to them under the Constitution. Justice Black opposition was joined by three other Justices. They argued that the First Amendment did not guarantee to any person the right to use someone else’s property even that owned by the government and dedicated to other purposes. On Wednesday, February 23, 1966 the decision was made; 5 votes for Brown and 4 against him (Coates, R. , 2005). The young men won! The Court’s ruling in this case, along with the others, proved vital to the Civil Rights struggles and also to the Vietnam War protests that would follow. Indeed, without these rulings the 1960’s and early 1970’s may have been a completely different period in time, especially when it comes to the Civil Rights movement. In the last line of Justice Blacks opinion in Brown v. Louisiana he wrote: â€Å"The holding in this case today makes it more necessary than ever that we stop and look more closely at where we are going† (Meyer, F. S. , 1968). In conclusion, had it not been for demonstrations of this kind, and the Supreme Court granting certiorari there is a strong possibility that none of this would have ever taken place. Oftentimes, it is in a ime of pain and suffering that the Just shall prevail, and I believe this is no different. There is more work to do but with the Supreme Court being behind you, at least you know it’s not in vain.

Comparative Religion

Judea, Islam, Hindu – these are just a few of the various religions practiced all over the world, and with these religions, come their Gods, such as Allah, who is practiced by those with Islamic belief, and Brahman, who is known by a variety of names and forms by Hindus around the globe. Each religion has their own unique practices, their own unique beliefs, but with these differences comes similarities. Those who follow the faiths of either Islamic or Hindu religions have conflicting ideas, but still, both religions have similar aspects, such as the fact that both religions are monotheistic, not to mention the practice of charity and pilgrimage to God. Though with diverse names, both Islamic and Hindu religions worship one true God, making them both monotheistic, meaning that their religions only believe in one deity. The Qur’an, which is the holy book of Islam, asserts the existence of a single and absolute God that transcends the world. Though often mistaken as a polytheistic religion, Hinduism too believes in a one true God, but believes that He comes in a variety of shapes and forms. And it is here, that the two religions diverse. Islamic followers believe in an all mighty being known as Allah, unlike the Hindus, who worship Maya, Shakti and the sorts, all of whom are different extensions of the one true God. One could see as to why Hinduism is often mistaken as a polytheistic religion. But in truth, both are monotheistic. To become closer with God – this is the ultimate goal in life when it comes to both the Islamic and Hindu religions. The difference between the two lies as to how they become closer to God. Islam’s believe that their one purpose in life is to worship God, Islam literally meaning submission, specifically to God; the Islamic are expected to worship and adore him. The Hindu’s too belief that one’s goal in life is too become as close with God as possible through the acts of positive karma, in which one is reincarnated over and over again until a follower is one with God. To be one with God is the goal for followers of both religions. To become closer with God, followers of both religions are expected to associate themselves with acts of charities and good deeds. With the Hindus, this is similar to positive karma, in which they believe that when one does a positive act, something good will happen in return, and vice versa. Those of the Islamic faith though, strongly follow the Five Pillars, in which the basis of Islamic religion is worshipped upon; Confession, Prayer, Fasting, Charity, and Pilgrimage. Both Islam’s and Hindus alike commit themselves to charity. Hindu and Islam are practiced by millions of people around the world, in all four corners of the globe. As noted earlier, both religions are monotheistic, meaning that they worship none but one true God. Islam’s and Hindu’s alike wish for pilgrimage with their God, and followers of both religions must commit themselves to charity. But in the end, despite their differences, Hindu and Islamic religions do have their similarities.