Sunday, August 23, 2020

Medical Marijuana and the impact on hiring and drug testing Essay

Clinical Marijuana and the effect on recruiting and medication testing - Essay Example During the recruiting procedure, the applications are looked into, right up-and-comers chose for talk with, up-and-comers are tried, the recruiting choice is made by picking between the competitors, and doing different pre-work tests and checks including drug tests. The work might be needy upon a negative medication test. In any case, they are individuals who have been endorsed to utilize drugs, particularly cannabis for clinical purposes at the work environment. Along these lines, drawing on an assortment of sources the paper will examine the effect of clinical pot on the recruiting procedure subsequent to reaching four HR by means of PC helped interviews. Enlistment and choice is a significant human asset task. Elearn (15) characterizes enrollment as the way toward building up that the firm requires utilizing qualified individuals through serious application. Then again, choice involves the procedures of choosing candidate (s) who is/are appropriate candidate(s) to fill a post. Four human asset chiefs (HR) were talked with, two were in the vehicle part and two were in the drink business. They were reached by means of PC helped interviews since up close and personal meetings required various approvals and voyaging. In this manner, the PC helped interviews were advantageous. The interviewees comprised of: Arnnon Geshuri sof Tesla Motors, 3500 Deer Creek Road, Palo Alto, CA 94304, 650-681-500; James Williams of Polaris Industries Inc. who joined the firm in 2011. Contacts Marlys Knutson, 763-542-0533; Rebecca Alminiana of Monster Beverage Corporation. Contacts, 951-270-0660, Corona CA; at long last, Elsa Monterroso-Burgos who is the exec utive of HR at Tampico Beverages organization. Contacts 3106 North Campbell Ave, Chicago, IL. 60618, (773) 296-0190. In light of the meeting reactions I got from the four HR chiefs in the car business just as drink

Friday, August 21, 2020

Scholarship Essay Shit Essays - Central Processing Unit,

Grant Essay Shit No more noteworthy commitment can be made to a particular field than explore that prompts the improvement of another and unrivaled innovation. Colleges and organizations continually endeavor to stay on the front line of new structure, assembling, and application frameworks through innovative work. In the event that I were allowed the chance to lead my own examination, I would commit my endeavors to the structure of PC preparing chips with the objective of speeding up and computational capacity. It is currently conceivable to develop memory chips nearly particle by iota, taking into account about vast hardware limit. My exploration would endeavor to plan a chip that could procedure information quicker, and with more exactness, than is by and by conceivable. This chip could then deal with progressively complex programming, process information from CD's, and handle Internet applications at a quicker rate, taking into account adjustment with the speed up CD ROM drives and modems. The tec hnique for this exploration would involve first learning however much as could be expected about the plan of present chips, the particular materials that I should incorporate as channels, and which metals are most effortless to control. Next I would spread out the chip and endeavor to develop it with existing innovation. At last, I would need to test it with an end goal to make adjustments and enhancements in the first structure. The PC age presents great chances, and any examination that advances the effortless utilization of PC or system frameworks will help advance this reason. Therefore, I would devote my time of research to enhancements in the plan of focal handling units. Acknowledgment Essays

Tuesday, July 7, 2020

Analysis For Growth Of Islamic Banking In Pakistan Finance Essay - Free Essay Example

Over the last ten years, Islamic banking has developed significantly. It has evolveded global rates of 10-15 % per year and has gotten an increasing number of conventional financial systems. At present Islamic financial institutions have stretched through 51 countries all over the world. As a result, the modern banking system was introduced to Islamic nations during the time when these countries were economically and politically at low recede i.e. the late 19th century. (, 2009). Most of the banks in the home countries of the Islamic regions established home branches in the capitals of the subject nations and they provided mainly to the import / export needs of the overseas businesses. Banking industries were generally limited to the capital cities as well as the local population remained largely unaffected by the banking system. The local business community barred the foreign banks both for religious and nationalistic reasons. However, as time went on it became difficult to involve in trade and other tasks such as current accounts and money transfers. Scrounging from the banks as well as depositing their savings with the bank was strictly prevented so as to keep away from carrying out business with interest which is prohibited by the religion Islam. (1991). Yet, with the passage of time and other socio-economic factors which require more involvement in national monetary and financial activities, evading the interaction with the banks became impossible. Islamic banking is a depository activity which is consistent with the Islamic law. It is carried out in line with the rules of Shariah which is known as known as fiqh muamalat which means Islamic regulations on transactions. Islamic Banking does not allow the receiving and paying of riba (interest) and persuades greater degree of justice as well as equity in the performing of banking operations. Within Pakistan marketplace the Islamic banks have witnessed average growth rate higher than the benchmark growth average rate. Such growth rates are said to be spirited as compared to other banking industries. Being able to realize the speedy growth of Islamic banking, it is important to find out the factors or the reasons for its expansion and development. For this research, the study will endeavour to identify the factors that influence the development of Islamic banking and how it has surfaced as a competitive industry in the worldwide market. This paper also aims to establish the difference or resemblance of Islamic Banks with other conventional banks. 1.1 OBJECTIVE Our chief purpose of the study of this topic is to converge on the increasing acceptance and growth of Islamic Banking industry in Pakistan. It has been discovered through analysis that despite being slow in economic activities, Islamic banking sector developed at an increasing rate than the traditional banks in the country, therefore, we will draw attention to the growth in all facets of banking i.e. growth in Market segment it has been able to capture, Investment, Branch set-up, Depositors and some other factors will analyzed in this report. This paper aspires on analyzing the key reasons for an increase in acceptance and adapting to Islamic baking during last ten years; from different angles that include current schemes and offers by Islamic banks as opposed to traditional banks, along with an analysis form customers view point. In short, this paper intends to acquire these objectives: To find out the reasons for the growth of Islamic banking. To find out if the profit-sharing concept is actually the reason for growing acceptability for Islamic banking. To find out what the masses feel about Islamic banking. To find out the reason for growth of Islamic banking in the country, along with the acceptance level and functionality for both corporate and general consumers. To study and analyze the background and its eventual growth in Pakistan. This will make it possible to understand how Islamic banking has evolved over a period of time which could help us determine its usefulness for us. To focus on the growth of Islamic banking system in Pakistan, as declared in the report of the state bank of Pakistan that Islamic banks have shown more growth than the conventional banks in Pakistan. To weigh the differences between traditional banking i.e. with the normality of interest based transactions and Islamic banking. This will assist us in deducing as to whether Islamic Banking does indeed look after the interests of the debtor and will highlight noteworthy advantages and disadvantages of the two systems. To find out if Islamic banking technique is considered reasonable enough by local as well as foreign banks in Pakistan. If traditional banks are to start this banking technique along with the conventional banking methods, it has to incorporate some changes so that it can merge in the stream easily. To establish what the attitude of corporate as well as individual consumer is when contemplating to opt for either type of banking. Only then can we conclude whether this system is successful or not. When creating a new product for a market, it is necessary to know its demand and acceptance that is expected. For instance, if the expected market for a service that the banks have to offer not attractive enough, they would certainly try to make it come up to the consumers expectations to make it acceptable, such as Islamic Car Financing Schemes. 1.2 Overview / Description Muslims are not entitled by their religion to carry out business in interest (riba) in whatsoever means. Contributing and getting as well as observation are all banned. Therefore an Islamic banking technique cannot give any interest to its investors; neither can it entail or get hold of any interest from the receivers. Nor could the banks observe or hold accounts of these transactions. Simply the lender is allowed to the return of his funds fully. This is a Quranic enjoining. The recommended method of banking abides by with these core Islamic prerequisites. On the other hand an essential doctrine of commercial banking is funds guarantee. The funds given to the bank by an investor must be brought back to him entirely. The imagined method totally follows with this necessity. Islamic banking as exercised today does not provide a guarantee for the deposits in consumers accounts. This probably is the most vital expostulations in many countries to consent to the organization of Islamic banks. There is no opposition to giving zero interest on deposit. 1.3 Significance of the Study This study provides comprehensive information on the field of Islamic Banking. This study would be of great help to researchers who are planning to carry out a research on other issues related to the subject. This study could serve as an intellectual tool in informing its reader about the reasons for the growth of Islamic Banking. This investigation will help in adding to literature that will be supportive to many companies and organizations in the field of banking and finance; it might also open up opportunity for other researches in this area. The researcher thinks that this research might help in responding, to some extent, to the questions above. Although a general overview of literature on Islamic Banking will be assessed. 1.4 Limitation of the Study The research is carried out within the following confines: To keep the study controllable research is conducted on limited grounds. The study is conducted on small level and only the vital aspects are considered. There was a shortage of time, that is why some degree of data is collected. Still the researcher has tried to assemble sufficient data to make an effective analysis. While conducting the survey through questionnaire, the time available and allocated, as well as the sample size had to be kept within strict confines. The results presented in the report may not represent general or collective attitude of the population at large Some respondents, who have inadequate familiarity of what Islamic banking techniques are and on what principles does this concept stand also came back with the answers; for this reason their input in the research might be based on their own judgment. Chapter 2 Review of Relevant Literature 2.1 Introduction 2.2 Overview of Islamic Banking 2.3 Reasons for Islamic Banking Growth 2.4 Other Factors affecting Islamic Banking Competencies Chapter 3 Research Methodology 3.1Research Approach The study merges qualitative and quantitative approach. The qualitative approach is used to draw from accounts and/or descriptions from people that can provide first hand information on the circumstances or observable fact being studied ( 2003). The purpose of this approach is to describe thorough information on a specific phenomenon to derive rationalization, understanding, and simplification. It is aimed to gather an in-depth understanding of human actions and the reasons that administer such behavior. The qualitative method looks into the why and how of decision making, not only what, where, when. For this reason smaller but focused samples are more frequently needed, rather than large samples as talked about earlier in our limitations of the study. The study makes use of qualitative approach to derive accounts and/or descriptions from banking experts. The quantitative approach is used to draw measurable or scientific information on the phenomenon subject of the study ( 2003). Thi s reason for assembling quantifiable data is to determine the association between or among variables through descriptive statistics (i.e. frequencies and comparative data) articulated in the tables and graphs. In quantitative research your intention is to determine the association between one thing (an independent variable) and another (a dependent or outcome variable) in a population. In the study, scientific data is collected to determine the explanation for Islamic Banking growth. Although quantitative investigation is a powerful tool for evaluating investments, it rarely tellsan inclusive story without the help of its opposite qualitative analysis. This research will be supported on real-practices information available in the financial market; pertinent to Islamic financial institutions within Pakistani financial markets. 3.2 Data Collection Method To be able to collect applicable data and to achieve the objectives of the study, primary data and secondary data will be used. Primary Research Primary data is imperative for every kind and field of research as it is unembellished information about the fallout of an experiment or observation, similar to the eyewitness authentication at a trial. No one has mottled it or molded it according to their own view point. So it can form the starting point of objective wrapping up. Primary research will be performed based on: Interviews with CFOs and executives of Islamic and conventional banks. Research and questionnaire with commerce experts. Research and questionnaire with depositor/business owners. Secondary Research Secondary data is brought together by someone other than the user. Universal sources of secondary data for social science take account of censuses, surveys, organizational records and data collected by means of qualitative methodologies or qualitative research. Secondary data analysis avoids time that would otherwise be depleted collecting data and, above all in the case of quantitative data, provides superior and higher-quality databases than would be unable to be realized for one person to collect all by himself. Apart from that, people studying socio-economic developments deem secondary data crucial, as it is not possible to do a new survey that can sufficiently capture past change and/or incidents. Secondary research will be performed on the basis of Data on hand within the Islamic and Conventional banks annual reports, websites and marketing resources. Data accessible through international organizations and annual industry review reports. The secondary supply of data will come from the companys annual report, in print articles, business journals, research papers, and related studies on banking and financial industries, in particular Islamic Banking. On the other hand, primary research was drawn in using the survey strategy, which allowed the collecting of a large amount of data from a significant population in an financially viable way ( 2003). The interview method provides a way of collecting insights or similes of experiences of the respondents on a given phenomenon or state of affairs with answers expressed in words and analysed to draw insight from and meaning (2003). 3.3 Sample Participants Sampling is the progression of selecting units (e.g., people, organizations) from a population of interest so that by studying the sample we may comparatively take a broad view of our results back to the population from which they were chosen. The population for this study comprises of managers, CFOs, banking experts and business owners. To make certain that the sample for this study is characteristic of the population, the researcher will conduct a random sampling. The sample will be made up of 50 respondents. 3.4 Survey/Questionnaire Survey research is one of the most key areas of measurement in applied social research. The expansive area of survey research takes in any measurement procedures that engage in asking questions to the respondents. The survey method is applied in collecting primary data. Survey consists of a descriptive and non-experimental data collection method anticipated to draw information from a large sample. The survey method allowed the exploration to derive accurate and objective data to support conclusions and generalisations. This applies in studies having need of the determination and investigation of links or relationships between or among variables (2003). On the other hand, there are advantages and disadvantages in using the survey method so that, the disadvantages should be dealt with to justify the method and make certain the dependability and authority of the data collection process. An advantage is the capability to establish a relationship among variables but a parallel disadvantage is the failure of the method to point towards the direction of the relationship (1994). In the current study, uniting the quantitative and qualitative approaches led to the determination not only of the existence of a relationship but also the direction of the relationship and the rationalization for this. Another advantage is the ability of the survey to represent data from many respondents but a related disadvantage is the heavy dependence of the method on self-reported data ( 1994) by the respondents making it very important for the researcher to apply ways of ensuring the enthusiasm of the respondents to participate and freely share information to maintain research validity. In the study, respondents were contacted ahead of time to seek their readiness to cooperate in the data collection process by explaining to them the intention of the study and the need for their involvement in the data collection process to ensure that answers given can validly support conclusion. In addition, merging survey with interview method also allows the company to draw explanations for answers. Still another advantage is the capability of the data collection method to derive a extensive range of experiences and opinions on the subject of the study but this also entail the concurrent disadvantage of requiring a monotonous process ( 1994). The current study worked through a timetable that fixed sufficient time for data collection especially because of the call for to draw willing respondents and hang around for replies to the questionnaire. The survey employed a questionnaire, composed of two parts. The first part of questionnaire enclosed demographic information while the second part concerned the survey proper. The questionnaire was managed to the chosen respondents. In addition, a supplementary primary data collection method is interview with selected survey respondents carried out to derive insight on the answers. Method adopted for data collection would be a structured questionnaire would be founded on Likert scale. A Likert Scale is a rating scale that calls for the subject to specify how much he agrees or disagrees with the statement provided. The scales are going to be the same as usually used in all such kinds of surveys, for instance to find out if an object has or does not have a particular feature, like or dislike towards some feature, or the importance attached to a characteristic. The equivalent weights for the responses would be: Range Interpretation 4.50 5.00 Strongly Agree 3.50 4.00 Agree 2.50 3.49 Uncertain 1.50 2.49 Disagree 0.00 1.49 Strongly Disagree The assistance of the questionnaire would provide the project owner the capability to analyze the insights of the people taking the questionnaire, and what they feel towards the subject in question. The distribution and collation methods used to deal with the questionnaire process would ensure anonymity. For substantiation purpose, the survey will only be conducted among five respondents. After tabulating results for these five respondents, the researcher will ask them if they want to make any corrections in their answers, or if they feel any attitude change towards any question to ensure its further perfection and soundness. The answers and the content of the survey questions/statements will then be again scrutinized to find out the consistency of the instrument. Afterwards, the researchers will leave out unnecessary questions and change any technical jargon that might not be understood by the respondents to much simpler terms. The five respondents used in the beginning will not be included in the actual sample for conducting the research in order to get unbiased results. The researcher will then tallies score and tabularize all the responses in the provided questionnaire. 3.4Ethical Considerations There are a number of crucial phrases that describe the system of moral protections that the modern social and medical research establishments have shaped to try to protect better the rights of their research contributors. The principle of voluntary participation requires that people not be intimidated into participating in research. This is more than ever relevant where researchers had in the past relied on captive audiences for their subjects, prisons, universities, and places like that. Closely related to the impression of voluntary participation is the requisite of informed consent. In essence, this means that potential research participants must be fully informed about the dealings and perils involved in research and must give their assent to participate. There are two standards that are put into operation so that the confidentiality of people participating in the research is not jeopardized. Almost all research guarantees the participants confidentiality they are assured that discovered information will not be made on hand to anyone who is not unswervingly involved in the study. The stricter standard is the rule of anonymity which essentially means that the participant will linger anonymous throughout the study The ethical reflections arising in the exploration cover the permission of the respondents to the data collection course and the confidentiality of the information given by the respondents. This could lift concerns on the part of the respondents. Answering and mailing back the questionnaires specifies consent and intentional participation to the data collection process. In addition, shielding the confidentiality of identities of the respondents and the information given would also be guaranteed to the respondents during the interview process. These steps are obligatory to ensure that the respondents on purpose and willingly extend their assistance and participation to the research process. 3.5 Data Processing The method of data analysis for the qualitative data is drawing from and interpreting meaning and deriving connotations in relation to the aspiration and objectives of the study. Results and analysis are offered in text discussions and graphs or charts to assist readability. In relation to the quantitative data, correlation analysis ascertains the subsistence of a relationship between the dependent and the various independent variables. 3.6 Statistical Treatment of the Data After the compilation of information from self-administered questionnaire, and related studies, the researcher brought together all the data. The statistical analysis for the information from semi-structure questionnaire was conducted Percentage to find out the extent to which answers to the questionnaire were obtained: Where: n = number of responses N = total number of respondents Weighted Mean: Where: f weight given to each response x number of responses xt total number of responses To appraise the information gathered, the percentage analysis and mean analysis are used.

Tuesday, May 19, 2020

Nke I2 Erp - 3187 Words

Nike I2 ERP Implementation Failure Case Study February 9, 2014 Shafer Minnick Morgan Correll Jeff Harvey Nike stands as the World’s leading producer of Athletic Footwear, Apparel and Equipment. As of 2013 they held complete ownership or joint venture in the following companies: ïÆ' ¼ Nike Brand ïÆ' ¼ Cole Haan ïÆ' ¼ Converse ïÆ' ¼ Hurley International ïÆ' ¼ Umbro Athletic Wear ïÆ' ¼ Nike Golf ïÆ' ¼ Jordan Brand This is a rather long and somewhat surprising list to many, based on some of these brands are portrayed as competitors in the daily consumer market. Nike products are sold in over 170 countries worldwide through their network of 700 retails stores. They have 38,00 Nike employees worldwide, based in those retail store, or one of 65†¦show more content†¦Nike plans to operate with open communication and within a transparent and collaborative approach. Fig. 1 The Nike Value Chain ïÆ' ¼ Plan - At the core of our business is a plan – our opportunities, our resources and our values. It’s who we are. What we believe. And how we get things done. ïÆ' ¼ Design - Form. Function. Superior performance. Minimal impact. While our designers always strive to create products that are faster, lighter and stronger, they also pay close attention to smarter. ïÆ' ¼ Make - Ideas don’t become reality by magic. For a global business, it requires people, materials, tools, knowledge, skill and a whole lot of coordination. We contract with more than 900 factories globally to make products from our designs. ïÆ' ¼ Move - We ship products wherever and whenever they are needed, to get to thousands of partners and millions of consumers around the world. Airplanes, boats, trucks and trains are the tools our transport providers use to overcome the obstacle of distance every day. ïÆ' ¼ Sell - Nike operates more than 750 retail stores around the world across all our brands. Beyond selling products, each location strives to be a rewarding experience for its consumers and an asset to its community. The stores are in leased space. While NIKE and our Affiliate brands sell primarily through retail partners not owned by our company, our focus is on the impact of the selling we do in our own stores. ïÆ' ¼ Use - Once youShow MoreRelatedNike Erp2332 Words   |  10 PagesCase Study: Nike ERP Implementation Nike shoe division grew and spread rapidly around the globe from its inception in 1972 through 1998. Yet in 1999, Nike realized that in order to keep up with the growing demands of their products, and specifically their Air Jordan line of basketball shoes, they would have to make changes in the way they forecasted and projected demands and distributed their products. Eventually it was decided that these changes would take place in the form of the implementation

Wednesday, May 6, 2020

To Kill a Mockingbird by Harper Lee - 634 Words

The next morning Jem woke up all sore and stiff, endlessly complaining about how much pain he was in. Atticus walked into our room and sat down on Jem’s bed. â€Å"Atticus. I did it. I fought him off. I saved me and Scout, Atticus.† Atticus patted Jem on the back. I stared at Jem for what felt like forever after those words came out of his mouth. He was trying to take the credit from Boo Radley. Boo was the one who saved us. I know Jem could feel me staring at him because after he lied to Atticus, he turned his face away from me. â€Å"I†¦Ã¢â‚¬  I began but Atticus quickly hushed me and left the room. Thanksgiving was around the corner and we decided to just have Thanksgiving with Jem, Atticus, and me. I was happy that I was able to just enjoy the holiday with my brother, and Atticus. Atticus gave Calpurnia the holiday off, to spend with her family. She told us how she planned to spend the holiday at her church, along with her loving family. She seemed very excit ed. Recently, I noticed Jem was milking out his injury, and kept asking Calpurnia to get things for him. Every time Calpurnia returned with whatever it was Jem wanted, I let out a big sigh, hoping that Atticus would soon catch on. Jem would glance at me with a â€Å"knock it off† look on his face, but I ignored him. Soon enough, Atticus finally caught on and realized that Jem’s arm was healed, along with the rest of his injuries. He immediately punished Jem, and made him apologize to Calpurnia for asking her to do chores that he wasShow MoreRelatedKill A Mockingbird By Harper Lee1049 Words   |  5 PagesTo Kill a Mockingbird: How a Story could be based on True Events in Everyday LifeDaisy GaskinsCoastal Pines Technical Collegeâ€Æ'Harper Lee was born in Monroeville, Alabama. Her father was a former newspaper editor and proprietor, who had served as a state senator and practiced as a lawyer in Monroeville. Also Finch was known as the maiden name of Lee’s mother. W ith that being said Harper Lee became a writer like her father, but she became a American writer, famous for her race relations novel â€Å"ToRead MoreTo Kill a Mockingbird by Harper Lee1000 Words   |  4 Pagesworld-wide recognition to the many faces of prejudice is an accomplishment of its own. Author Harper Lee has had the honor to accomplish just that through her novel, To Kill a Mockingbird, a moving and inspirational story about a young girl learning the difference between the good and the bad of the world. In the small town of Monroeville, Alabama, Nelle Harper Lee was born on April 28, 1926. Growing up, Harper Lee had three siblings: two sisters and an older brother. She and her siblings grew up modestlyRead MoreKill A Mockingbird By Harper Lee1290 Words   |  6 PagesHarper Lee published To Kill a Mockingbird during a rough period in American history, also known as the Civil Rights Movement. This plot dives into the social issues faced by African-Americans in the sout h, like Tom Robinson. Lee felt that the unfair treatment towards blacks were persistent, not coming to an end any time in the foreseeable future. This dark movement drove her to publish this novel hopeful that it would encourage the society to realize that the harsh racism must stop. Lee effectivelyRead MoreHarper Lee and to Kill a Mockingbird931 Words   |  4 PagesHarper Lee and her Works Harper Lee knew first hand about the life in the south in the 1930s. She was born in Monroeville, Alabama in 1926 (Castleman 2). Harper Lee was described by one of her friends as Queen of the Tomboys (Castleman 3). Scout Finch, the main character of Lees Novel, To Kill a Mockinbird, was also a tomboy. Many aspects of To Kill a Mockingbird are autobiographical (Castleman 3). Harper Lees parents were Amasa Coleman Lee and Frances Finch Lee. She was the youngestRead MoreKill A Mockingbird By Harper Lee873 Words   |  4 PagesIn the book, To Kill a Mockingbird, Harper Lee illustrates that â€Å"it’s a sin to kill a mockingbird† throughout the novel by writing innocent characters that have been harmed by evil. Tom Robinson’s persecution is a symbol for the death of a mockingbird. The hunters shooting the bird would in this case be the Maycomb County folk. Lee sets the time in the story in the early 1950s, when the Great Depression was going on and there was pov erty everywhere. The mindset of people back then was that blackRead MoreKill A Mockingbird By Harper Lee963 Words   |  4 Pagesgrowing up, when older characters give advice to children or siblings.Growing up is used frequently in the novel To Kill a Mockingbird by Harper Lee. Harper Lee uses the theme growing up in To Kill a Mockingbird to change characters opinion, develop characters through their world, and utilizes prejudice to reveal growing up. One major cause growing up is used in To Kill a Mockingbird is to represent a change of opinion. One part growing up was shown in is through the trial in part two of the novelRead MoreKill A Mockingbird By Harper Lee1052 Words   |  5 PagesTo Kill a Mockingbird by Harper Lee takes place in Maycomb County, Alabama in the late 30s early 40s , after the great depression when poverty and unemployment were widespread throughout the United States. Why is the preconception of racism, discrimination, and antagonism so highly related to some of the characters in this book? People often have a preconceived idea or are biased about one’s decision to live, dress, or talk. Throughout To Kill a Mockingbird, Harper Lee examines the preconceptionRead MoreKill A Mockingbird, By Harper Lee1197 Words   |  5 Pagessuch as crops, houses, and land, and money was awfully limited. These conflicts construct Harper Lee’s novel, To Kill a Mocking Bird. In To Kill a Mocking Bird, Lee establ ishes the concurrence of good and evil, meaning whether people are naturally good or naturally evil. Lee uses symbolism, characterization, and plot to portray the instinctive of good and evil. To Kill a Mocking Bird, a novel by Harper Lee takes place during the 1930s in the Southern United States. The protagonist, Scout Finch,Read MoreKill A Mockingbird By Harper Lee1695 Words   |  7 PagesIn To Kill a Mockingbird Harper Lee presents as a ‘tired old town’ where the inhabitants have ‘nowhere to go’ it is set in the 1930s when prejudices and racism were at a peak. Lee uses Maycomb town to highlight prejudices, racism, poverty and social inequality. In chapter 2 Lee presents the town of Maycomb to be poverty stricken, emphasised through the characterisation of Walter Cunningham. When it is discovered he has no lunch on the first day of school, Scout tries to explain the situation to MissRead MoreKill A Mockingbird By Harper Lee1876 Words   |  8 PagesThough Harper Lee only published two novels, her accomplishments are abundant. Throughout her career Lee claimed: the Presidential Medal of Freedom, Pulitzer Prize for Fiction, Goodreads Choice Awards Best Fiction, and Quill Award for Audio Book. Lee was also inducted into the American Academy of Arts and Letters. This honor society is a huge accomplishment and is considered the highest recognition for artistic talent and accomplishment in the United States. Along with these accomplishments, her

Case Study NSW Government

Question: Discuss about theCase Studyfor NSW Government. Answer: Diagram for Security Risks Faced by NSW Government Figure 1: Diagram for Security Risks and Concerns (Source: Created by Author) Explanation of the Diagram The diagram above illustrate that there are number of factors, which are related with the information security risk of NSW government. From the diagram, it is analyzed that NSW government faces both the internal as well as external risks, which are categorized as Deliberate and Accidental threats. The interrelationships between different elements, which are associated with the security risks and control, are provided by the concept of risk. The development of Information Security Management System is dependent on the concept of risk relationship. The other important factor is ISMS as well as code of practice, which are used for selecting the control of information security. The risk assessment processes are quite important for selecting proper and effective method of control. It also helps in mitigating the issues that NSW governments are facing. Identification of the Areas of Risk Exposure Threats High Medium Medium-Low Low Risk Internal Risks Deliberate Fraud as well as Theft Actions of the organization Social Engineering Changes in the software that are not authorized Utilization of Pirated Software Sabotage Accidental Communication services Failures Outsourced Operations failures Absence of various key personnel Rerouting or misrouting of messages Error generated by the user or Operational Staff External Risks Deliberate Data access by using unauthorized procedure Denial of different services Malicious destruction of various data and facilities Repudiation Masquerade Intrusion in website Dial in access is unauthorized Accidental Errors in software programming Technical Failures ----- Transmission errors Comparative Analysis of Accidental and Deliberate Threats The NSW government is guided by the information security framework for reducing the risks and threats. The management security as well as information system of NSW government faces lot of threats and challenges in context to accessibility as well as reliability. The users who are not authorized can fetch or hack the personal information when the domain of ICT government changes. Different types of destruction and manipulation of hardware as well as software leads to the occurrence of deliberate threats. It is analyzed by Behnia, Rashid and Chaudhry (2012) that deliberate attacks generally target the website of various organizations for hacking the financial as well as personal information of the employees without proper information. There is several organizations including CNN. America online is attacked by using the denial type of services where the hackers does not needs much skills or perquisite tool. The attacks led to loss of business creditability (Digital Information Security Policy | NSW ICT STRATEGY., 2016). There are different types of worms like virus, Trojan horse and they generate destruction in the database of the system. It resulted to loss of financial data, loss of confidentiality and many more. Accidental threats are referred to as omission, which helps in exploiting the information security system. These types of problems as well as omission are generally created with the help of human actions. The accidental threats resulted into sabotage, which are generally accidental errors. The organization also faces loss in finances, loss of public confidentiality and various types disruption in the commercial system (Bernardo 2012). Failure in the communication system leads to loss of availability of information and their accessibility by using various services of the organization. Software as well as different types of programming errors are developed by any user can help in corrupting an information system and the data are difficult to retrieve which is an important before the government of NSW. Ranking of Threats in Terms of Importance Different types of threats are analyzed in the organizations and after proper analyzing, it is found that among the three different threats, deliberate threat is the most effective. The threats are generated due to the various activities of humans but the positions of various threats are very much dependent on the difficulties, which the organization generally faces. Threats Impact Ranking Deliberate After proper analysis, it is analyzed that different types of typical threats as well as privacy concerns are quite active. There are number of factors that are present in this threat including industrial action, unauthorized access of different data and information, DOS, theft as well as fraud. Security of data, their flexibility as well as reliability are not present (NSW Government Digital Information Security Policy | NSW ICT STRATEGY., 2016). Very High Accidental After analyzing in detail, it is analyzed that security, honesty, consistency as well as elasticity are present in accidental threats but in context to data security, it is not feasible in the framework (Nassimbeni Sartor and Dus 2012). High Justification of the Ranking Based on real life implementation, different types of ranks are provided. The case study illustrates that as per the to the rank of commercial loss the ranking include very high, high, medium, low and very low. The case study is fully dependent on deliberate as well as accidental threats that are faced by NSW government therefore, rankings are provided depending on the threats. The table above reflects that the ranking is too high in context with the deliberate threat as it is concerned with data security and privacy. The data including that is accumulated in the database including financial and personal, can be fetched without proper and effective authorization. The NSW government is affected by the threat and thus it the rank provided is too high. It is analyzed that the accidental threats are ranked high as this type of threat has negative impact on the information system. The actions of human can be unintentional or intentional during effective as well as proper control of risk management.. Challenges Faced by NSW Government in Security Risk Management There are number of challenges that the NSW government faces in context with the security risk management. The risks include: Community associated digital information security: The NSW government adopts various security communities for reducing the information-based issue (Peltier 2016). This policy practices helps the organizations to perform effectively in the secured platform as major data security problems or challenges are faced by the government. Integrity and accessibility: This is also considered as an important issue in which content of the information changes due to the passive as well as active attacks from the hackers (Pearce, Zeadally and Hunt 2013). Therefore, it is quite important to have flexibility as well as reliability within the information system for removing the security issues. Events disseminations: The NSW government faced different types of dissemination as well as data security issues. The NSW government also faces many challenges due to the problems that are associated with the information security. Differentiation Between Uncertainty and Risks It is analyzed that there are certain risks as well as uncertainty, which are present in NSW government. These are as follows: Risk: From the perspective of Information security of NSW government, risk are defined as the possibility of losing benefit or advantages (Lo and Chen 2012).The result is defined with the help of feasibility study and the risks which are associated with it are uncontrollable. Uncertainty: Uncertainty re generally defined as future prediction which are very much unknown to the IS management. They are neither controllable nor they can be managed. Various types of Risk Control and Risk Mitigation Approaches There are number of approaches, which must be evaluated by the NSW government in the risk management as well as risk control frameworks. These are as follows: Assessment of the Scenario: In order to resolve the security issues regarding various control management system, feasibility study as well as economic appraisal are required to be incorporated (Klaic and Golub 2013). Analysis of the decision: Proper and effective selection of various organizational decisions is considered as one of the important approach for mitigating the management related risks (Nassimbeni, Sartor and Dus 2012). Sensitivity analysis: For mitigating the sensitivity issues, the government incorporated different application models in order to maintain the various operations. References Behnia, A., Rashid, R. A., and Chaudhry, J. A., 2012. A survey of information security risk analysis methods. SmartCR, 2(1), 79-94. Bernardo, D. V., 2012. Security risk assessment: toward a comprehensive practical risk management. International Journal of Information and Computer Security, 5(2), 77-104. Burdon, M., Siganto, J., and Coles-Kemp, L., 2016. The regulatory challenges of Australian information security practice. Computer Law Security Review. Digital Information Security Policy | NSW ICT STRATEGY., 2016. Finance.nsw.gov.au. Retrieved 16 August 2016, from https://www.finance.nsw.gov.au/ict/priorities/managing-information-better-services/information-security Klaic, A., and Golub, M., 2013. Conceptual modeling of information systems within the information security policies. J Econ Bus Manage, 1(4), 371-376. Lo, C. C., and Chen, W. J., 2012. A hybrid information security risk assessment procedure considering interdependences between controls. Expert Systems with Applications, 39(1), 247-257. Nassimbeni, G., Sartor, M., and Dus, D., 2012. Security risks in service offshoring and outsourcing. Industrial Management Data Systems, 112(3), 405-440. NSW Government Digital Information Security Policy | NSW ICT STRATEGY., 2016. Finance.nsw.gov.au. Retrieved 16 August 2016, from https://www.finance.nsw.gov.au/ict/resources/nsw-government-digital-information-security-policy Pearce, M., Zeadally, S., and Hunt, R., 2013. Virtualization: Issues, security threats, and solutions. ACM Computing Surveys (CSUR), 45(2), 17. Peltier, T. R., 2016. Information Security Policies, Procedures, and Standards: guidelines for effective information security management. CRC Press.

Wednesday, April 22, 2020

Merton And Gandi Essays - Pacifism, Gandhism, Mystics, Thomas Merton

Merton And Gandi The Beliefs of Thomas Merton and Mahatma Gandhi David Wardwell Religion and Personal Experience . Thomas Merton and Mahatma Gandhi both speak of God in a personal way. They both speak of God as truth. Famous Thomas Merton, Trappist American monk, was a traditional Christian. Born in France in 1915 and died in Asia in 1968 Merton was greatly influenced by the complexities of the twentieth century. His writings served as a personal may in his search for God.. He pursued the ascending path towards the eternal kingdom of truth, towards heaven, while leaving the world of shadowy existence behind. Truth would be a passion of his life. He also took it upon himself to speak on behalf of the disenfranchised of the word. Thomas Merton was a dynamic, modern man who committed himself to a lifelong search for a meaningful and authentic way of life. He had only one desire and that was the desire for solitude-to disappear into God, to be submerged in his peace, to be lost in the secret of his face. This singular passion and boundless energy led him to combine in one life a unique variety of roles, prolific spiritual writer and poet, monk and hermit, social activist, all while living at the Trappist monastery in Gethsemani, Kentucky. Merton, a monk under a vow of silence, found fame by not seeking it, by speaking the truth. Much can be said with the praise ?the truth will set your free? Merton provided a path that is still setting people free. Freedom from silence. Many feel that a monastery is a sanctuary to escape from the realities of the real world. Merton saw it as helping rescue the world from the new dark ages. ?In the night of our technological barbarism, monks must be as trees which exist silently in the dark and by their vital presence purify the air.? Some believe Merton's world was the monastery grounds, the whole world was. He believed that all men and women are to be seen and treated as Christ. Failure to do this, involves condemnation for disloyalty to the most fundamental of revealed truths. Encounters with Christ must be followed by the encounters and both must be experienced with the same love. It's a love that frees, not a love that wants to possess or manipulate. The great Indian teacher, Mahatma Gandhi, philosophy was very similar. Merton loved people, but he also loved nature. He told us to begin ?by learning how to see and respect the visible creation which mirrors the glory and the perfection of the invisible God?. Everything that surrounds us, the trees, the ocean, the waves, the sky, the sun, the birds, it is in all this that we will find our answers. God is omnipresent; we do not see this because we are not contemplative. Merton believed a Christian society is one in which men give their share of labor and intelligence and in return receive their share of the fruits of the labor, which is seen in the Kingdom of God, a society centered upon the divine truth and the divine mercy. In such a society the prophetic role of the monk would be fulfilled, in the sense that his renunciation of the right of ownership was an affirmation of God's ownership of everything and of man's right to be a possessor only in so far as he was willing to share with others what he did not need. Merton did not feel impelled to become involved in political deeds. He believed the monk's duty was to cultivate consciousness and awareness however, truth and God demanded he speak out loudly and often against all forms of war. He stated that the Vietnam war was an example of Americans seeing their country as the center of the world, imposing their will, in the name of freedom, on weaker nations that might stand in their way. It was a needless destruction of human life, a rape of a culture which could only lead to the death of the spirit of an exhausted people. He saw men striving to negotiate for peace, and failing because their fear overbalanced their true good will. ?The root of all war is fear.?

Monday, March 16, 2020

Company Law The WritePass Journal

Company Law Abstract Company Law Abstract1.0. Introduction2.0. Civil Liability3.0. Criminal Liability4.0.Conclusion5.0. Bibliography5.1. Legislations5.2. Court casesRelated Abstract Companies and corporations exist as single entities with the capacity to sue and be sued. The premise of lawful ways under which a company may be sued for acts or omissions ensuing to injuries or demise of individuals lies in the personality of the company as a single entity. The law recognizes companies as solitary entities that have a detached personality from the individuals that comprise the company. This means that a company can transact as a solitary entity with the capacity to make claims against another company. Concomitantly, it is possible that the company becomes the subject of a legal suit falling under civil or criminal liability as deemed applicable. The determinants that establish whether to affix legal responsibility to the company for acts or omissions vary based on the legal jurisdiction pertinent to the circumstances. For instance, corporate law makes provisions for regulating the relationship of a company with that of its employees and other staff within the compa ny. This law does not apply to third parties that operate or affect the company externally. On the other hand, criminal and civil laws have jurisdiction over the affiliations of the company with external parties. 1.0. Introduction The process of holding a company legally responsible for acts or omissions resulting in injuries or death of individuals is a multifaceted tool. Since companies exist as solitary entities under law, responsibility falls on the company depending on the situation applicable. For situations that fall within the company, corporate laws have provisions for holding the company liable. In cases where external parties exist, then the jurisdiction shifts to civil and criminal laws. However, it is imperative to acknowledge that civil laws that cover aspects of tort, contracts and compensation apply to companies, as well as individuals’.[1] The provenance encompassing legal responsibility for corporations is rather challenging, as the legal provisions under this jurisdiction of law do not obligate contemplation of a liability. This is usually the case in negligence, which falls under tort laws because the evaluation of liability is objective on supporting legal responsibility of a compan y. On the contrary, criminal law entirely depends on appraisal of moral liability in support legal responsibility on the side of the company. Holding a company criminally liable is not easy because legal responsibility is not via reimbursement, but through penalties that look into intent, negligence and premeditation. This research shall discuss grounds on which a company can be sued for acts or omissions resulting in death or injuries based on provisions of laws such as the Corporate Manslaughter Act 2007, and Health and Safety at Work Act of 1974. Three principles provide for reasons to hold a company liable. One is the agency principle where the company must own up responsibility for acts or omissions of its employees or staff working as agents to the company, hence be sued for damages. The blame acknowledgment principle establishes that the company’s top executives assume responsibility for acts or omissions perpetrated by the company, implying that such executives whose decisions lead to acts or omissions that result in death or injuries can make the company be held liable. However, acts or omissions by junior staff in the company do not fall under this jurisdiction.[2] The third principle is the company culpability based on its way of transacting business, its systems, as well as culture. While the agency and the blame acknowledgement principles attach individuals to company liability, the company culpability based on its procedure and culture isolates individuals from the company. This implies that companies cannot be held liable for acts or omissions perpetrated by individuals, but rather the culture and procedure of the company. All these principles provide grounds for criminal and civil charge against companies. 2.0. Civil Liability Tort law attaches a civil liability to companies as long as it can be proven that the company perpetrated the act or omissions that resulted in serious injuries or death. A claimant could also file a criminal suit against the company based on the provisions of deliberate acts, negligence or omissions. Under civil laws, parties involved exist as private individuals, and the courts have the ultimate prerogative to determine whether the parties’ perpetrated injury or death based on evidence provided. The rights and obligation existing between the parties, in this case between the company and the plaintiff form the basis for a legal suit. Similarly, remedies for civil suits are damages that could be financial on non-financial, and the burden of proof depends on tangible evidence indicating that the act or omission was committed. Tort law attributes the legal responsibility of a company to acts or omissions that fall under civil wrong. Acts or omissions committed by the employee di rectly fall under the responsibility of the employer as discussed under the agency principle.[3] This means that vicarious liability shifts to the employer while personal liability rests on the shoulders of the employee. Under civil law, the claimant must provide proof that the defendant (the company) perpetrated the act or omission deliberately or negligently. The claimant must also provide proof that they suffered injuries or damage. For the claimant to attach a liability to the company the injury must be adjoining to the act or omission and the series of events must be continuous. In Rylands vs. Fletcher (1868), the contractor ignored vertical shafts in the course of construction of a dam.[4] As they later filled the dam with water, the shafts gave way to water that flooded a nearby mine. The court ruled that the corporation was legally responsible for damages caused due to negligence even if it was not intentional. As such, filing a civil suit against a company works best for claims on damages because they attribute direct liability to the company. 3.0. Criminal Liability Health and Safety at Work Act, the Corporate Manslaughter and the Corporate Homicide Act of 2007 provide avenues of filing a criminal suit against a company. These Acts have the same scope of jurisdiction for attributing a company to criminal liability and can be used simultaneously used. Section 37(1) of Health and Safety at Work Act has provisions that cover personal injuries at the work place.[5] The Act lays down measures requiring companies to incorporate policies and measures to avert personal damages or injuries at the work place. This Act does not make provisions for holding companies liable for deaths or personal injuries, but rather criminalizing acts or omissions that result in injuries and deaths. Section 37(2) of the Act prohibits companies from engaging in negligent and deliberate activities that may lead to personal injuries and deaths of its employees. This section attaches liability to the company’s management in cases where their decisions are connected to ac ts or omissions that result in death. However, the Corporate Manslaughter Act has stringent legislation on cases where a company’s activities lead to death due to gross negligence. As such, the Corporate Manslaughter Act provides exclusive provisions for attaching a criminal liability to companies for their acts or omission that result in death due to outright negligence. If the evidence presented before the court proves that negligence on the part of the company resulted in death, then the company can be held criminally liable for the act or omission that led to death. Section 1(1) of this Act reveals that the company is liable when the act or omission amounting to a criminal offence resulted in death.[6] However, there must be evidence of gross misconduct and violation of duty of care on the part of the company. In case of a successful claim in court by parties representing the deceased, which leads to the indictment of the company, Section 1(6) of the Act establishes a limitless fine as the punishment toward th e company. The duty of care for employees is the sole responsibility of the company. In situations where there is negligence of duty of care resulting in death, the plaintiff representing the deceased party can invoke sections of the Corporate Manslaughter Act to claim justice. Various cases have elucidated what duty of care means. Caparo Industries Plc vs. Dickman (1990) identified three elements that clarify what duty of care far as attaching a criminal liability to a company is concerned.[7] The elements include imposing reasonable duty of care on the plaintiff, foreseeing injury and establishing a close link between the plaintiff and the defendant. Determination of criminal intent (mens rea) also forms as a basis for holding a company criminally liable. The claimant must establish criminal intent as it was the case in Salomon vs. Salomon (1897) where the court had to identify the companys officers responsible for the acts or omissions that resulted in death.[8] However, it was quite a chall enge, which explains the reason why it is difficult to file a criminal suit against a company under the Corporate Manslaughter Act. 4.0.Conclusion Civil and criminal laws present suitable avenues for suing companies for acts or omissions that lead to injuries or death. Strict or vicarious liabilities apply in civil suits and could be direct in through the actions of the company’s agents or direct through the actions of the company regardless of culpability. Under criminal liability, Health and Safety at Work Act provides avenues for suing a company for negligence or failure to prevent personal injuries. The Corporate Manslaughter Act and the Corporate Homicide Act provide avenues for suing a company in situations where acts or omissions result in demise of an individual. 5.0. Bibliography Glazebook, P. R., A Better Way of Convicting Business of Avoidable Deaths and Injuries. The   Ã‚  Ã‚   Cambridge Law Journal, 16(2), (2002) pp 405-422. Barrett, B., Liability for safety offences: Is the law still fatally flawed? Industrial Law Journal,   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   37(1), (2007) pp 100-118. 5.1. Legislations Corporate Manslaughter and Corporate Homicide Act 2007 Health and Safety at Work Act 1974 5.2. Court cases Salomon v. Salomon Co Ltd, AC., Law Review, 2, (1897), pp 22 Rylands v. Fletcher, Law ReviewL. 3, (1868), pp 330 Caparo Industries plc v. Dickman, Law Review AC, 2, (1990), pp 605

Saturday, February 29, 2020

CONFLICT MANAGEMENT IN THE CHURCH Essay Example | Topics and Well Written Essays - 500 words

CONFLICT MANAGEMENT IN THE CHURCH - Essay Example nt and as such cannot cause conflict, in most cases, disregarding these sources creates bigger conflicts that could even contribute to bother breakup of the church. Although the church embraces morals in its operations, understanding the differences in the backgrounds of the members and leaders is important in dealing with conflict whenever they arise. Church attendance is one of the most important sources of conflict in the church. An increase and a decrease in people’s attendance in the church both have similar effects. They have a high likelihood of creating conflicts. While an increase in the number of people in the church raises an alarm to individuals holding leadership positions in the church, as they risk competition, a decrease in the attendance levels is an indication of poor leadership skills among the leaders (Turner 1991, p. 6). This could thus lead to a conflict between the members of the church and their leaders. Annual budget is yet another source of conflict in a church. Some of the people could have diverse views especially in the allocation of the total income of the church. Money, now more than ever, is a highly sensitive issue in the church. Budgeting should receive the approval of most of the members of the church, if not all (Spann & Wheeler 2010,  p. 241). Time changes for the leaders especially in addressing the members of the church is an important consideration too. Some of the leaders feel superior to others and thus regard them as coming later in the protocol. Time allocated to the leaders of the church to address the members of the church could also be a good breeding ground for church conflicts. When new influential people join the church, conflict is bound to arise. In most cases, these new people appear to receive more attention than the leaders of the church, something that would not go well with the leaders. Finally, the fear of the organization being out of control could be a source of conflict as the members deliberate on the

Wednesday, February 12, 2020

Team building Research Paper Example | Topics and Well Written Essays - 1000 words

Team building - Research Paper Example The communication premise is very significant because it removes the barriers that exist within a team and allows the team to progress further rather than sticking at a particular agenda for long periods of time. This is so needed because it resolves the ambiguities that arise within teams and takes care of the negatives which can creep up at any time. When one contemplates the issue of hiring individuals within an organization, it is of paramount importance that these people know exactly what is expected out of them and whether or not are they ready to become a part of a team within the organization that they are getting recruited within. If the answer to such a query is in the negative, it would be better for the organization to let go of such an individual and rely more heavily on how well they work in the form of their own space. However, there are many examples of individuals who would absolutely cherish the idea of working in a team, as long as it makes them think, feel and exp erience the dynamics of growth and development within the organization that they are getting hired in, across the board. In terms of recruitment, it is of paramount significance that the aspiring employee knows well in advance that he would be required to commit to a task which is in the middle of a team, and hence team building domains would be required of his professional self (Maddux & Wingfield, 2003). If the organizational values are such that the employees need to work in unison with one another, then it is only natural that the aspiring candidates for achieving employment know beforehand what is expected out of their realms and how they will go about completing these tasks and objectives that shall be assigned to them with flying colors. What remains... When one contemplates the issue of hiring individuals within an organization, it is of paramount importance that these people know exactly what is expected out of them and whether or not are they ready to become a part of a team within the organization that they are getting recruited within. If the answer to such a query is in the negative, it would be better for the organization to let go of such an individual and rely more heavily on how well they work in the form of their own space. However, there are many examples of individuals who would absolutely cherish the idea of working in a team, as long as it makes them think, feel and experience the dynamics of growth and development within the organization that they are getting hired in, across the board. In terms of recruitment, it is of paramount significance that the aspiring employee knows well in advance that he would be required to commit to a task which is in the middle of a team, and hence team building domains would be require d of his professional self. If the organizational values are such that the employees need to work in unison with one another, then it is only natural that the aspiring candidates for achieving employment know beforehand what is expected out of their realms and how they will go about completing these tasks and objectives that shall be assigned to them with flying colors. What remains to be seen is the management’s stance, and more so with the changing global dynamics, the perspectives have been aligned all the same.

Saturday, February 1, 2020

The Spiritual Dimension of Being a Beginning Teacher Personal Statement

The Spiritual Dimension of Being a Beginning Teacher - Personal Statement Example I believe teaching is a career choice that is geared towards uniting both people and ideas, which I think are key to my success as a profession in life. Teaching is a noble profession. Notwithstanding, teaching is also a profession that is adaptable to different personalities. My personality is generally very outgoing and people-oriented. I believe that working with others is key as a teacher, and think that I would be able to adapt well to a learning environment situation that requires me to interact with many different people on a daily basis. So much of a teacher’s attention is demanded every day in the smallest of interactions. I feel that I should teach because my personality is suited to meeting those many small and specific needs students have. I think I would be very good at that. Further, I would like to use my skills to help students learn, at varying levels. I have years of experience studying my field. Finally, I am interested in working in a profession that is gea red towards involving both people and ideas. I am convinced that the field that I would work in would have to include a human element besides just working strictly with information. So, I like the fact that I get to work with people and have social interactions with students, faculty, and staff. This is a key component of my happiness. After doing my teacher aiding, I realize that I cannot work with ideas and information alone. It is really the people at my workplace, in my profession—whom I will come across every day—who will make my life more enjoyable. That is what I look forward to as a teacher, is the camaraderie and sense of belonging to an organization. In closing, I am looking for many things as I search for my teaching career as I embark on a new journey. In essence, why teach? I don’t just teach because I can, but because I must, for the following reasons. Teaching is a profession which suits my personality. I want to teach in order to utilize my core subject skills to help other people. Last, but not least, I would like to be involved in a profession that includes both people and ideas as part of its schema—following in the footsteps of great former teachers before me. III. My Goals as a Beginning Teacher My goals as a beginning teacher are based on Curtain’s (2004) assertion that â€Å"the three characteristics of effective teachers [which are]: [having] classroom management skills, †¦teach[ing] for lesson mastery, and†¦ practice[ing] positive expectations† (pp. 205). I believe these goals will help me to be a well-prepared and productive teacher. These goals are important to have because they will keep me focused on what I should be striving for within the teaching profession. One cannot expect to be an effective teacher if the classroom environment is out-of-control.

Thursday, January 23, 2020

Bastard Out Of Carolina Essay -- English Literature

Bastard Out Of Carolina â€Å"Pay Attention to Detail† ========================= One must consider a little history on Dorothy Allison in order to see how the directions that she takes the novel add up. When she was 24, Allison lived in a lesbian-feminist collective. The women there gave her the confidence she needed and the ability to see the value in her own writing (Amazon.com). During this time, she also found someone who seemed normal, yet she had experienced the same â€Å"incest† (Megan 74). This discovery removed some of her separation that she believed her abuse created between her and the world (Amazon 74). Allison actually was born a â€Å"bastard† (Amazon 78), and her life was further complicated through dealing with her â€Å"brutal† step-father (Amazon 76). When she began writing, her goal as a writer, especially in Bastard Out of Carolina centers on having â€Å"compassion† and no â€Å"rage† (Megan 75). Allison hoped to further her goal in this book by making Bone appear to be able to survive through making others take ownership in the wrongs that have been dealt to her (Megan 73). Through Bone, Allison could comprehend how her childhood could have been better, so she would not raise her child in the same manner (Megan 75). In writing Bastard, she also learned how to turn a poem into a novel, a valuable skill for one who usually begins writing poetry (Megan 72). Which creates themes present in the novel and in order to truly get an appreciation of Bastard Out of Carolina, by Dorothy Allison, one must take a close look at the main concepts: Abuse, Fire, Legitimacy, Social Class, Hands, and Identity; to see how they all play a role in the overall tone and personification of the book. One of the main concepts in Ba... ...p to the man who tries to destroy her. In conclusion, we saw how in writing Bastard, she also learned how to turn a poem into a novel, which created themes present in the novel and in order to have truly gotten an appreciation of Bastard Out of Carolina, by Dorothy Allison, one must have taken a close look at the main concepts: Abuse, Fire, Legitimacy, Social Class, Hands, and Identity; to see how they all played a role in the overall tone and personification of the book. Works Cited: "Amazon.com Talks to Dorothy Allison." http://www.amazon.com/exec/obidos/show-interview/a-d-llisonorothy/ 1261-2240565-375045 (22 March 1998). "An Evening to Remember:Dorothy Allison." http://www.progway.org/dorothy.html (22 March 1998). Megan, Carolyn E. "Moving Toward Truth: An Interview with Dorothy Allison." The Kenyon Review Journals 16.4 (Fall 1994):71-83.

Wednesday, January 15, 2020

Drama Paper on Trifles †Susan Glaspell Essay

Susan Glaspell’s one act play Trifles is based upon actual events which occurred in Iowa at the turn of the century. Between 1899 and 1901 she worked as a reporter for the Des Moines News, during which time she covered a murder trial of a farmer’s wife, Margaret Hossack. The play was written some years later. (enotes. com, 2005) This essay aims to analyze the themes and ideas presented here by analyzing the central character. The full text of this play can be retrieved from http://www. vcu. edu/engweb/eng384/trifles. htm This paper aims to show, by conducting an analysis of the central character, Mrs. Wright (the accused), and discussing her thoughts, feelings and actions, how she is affected by events, other characters and environmental culture and values. Mrs. Wright is a farmer’s wife at the turn of the century, at a time when feminism was beginning to come to the fore, but many years before the active burning of bras, in the 1960s, without children. Moreover, she is married to a man who is not known in the outside community for his social skills – to quote Mrs. Hale, one of the female characters in the play, to pass the time of day with him would be like a raw wind that gets to the bone. We never actually meet Mrs. Wright in person, but it is from the conversation of the others that we learn about her. For instance, from the women’s observations, and despite the comments of the men, we learn that Mrs. Wright is in fact a good homemaker – she quilts well, is diligent about her preserves, the pans were neatly arranged under the sink, and the roller towel was in fact clean prior to Mrs. Wright’s departure (it was dirtied by the man who came in later). She also had bread set ready to be baked. This attitude displayed by the males in the play is indicative of unfair judgements made by men at the time. Even the title of the play, Trifles, indicates that what women worried about at the time was considered unimportant. Thoughts, feelings and actions Mrs. Wright, prior to her marriage, was a singer. We learn also that later in her marriage, she buys a bird. It becomes apparent that Mr. Wright cannot tolerate the bird’s singing and kills it. The women deduce that Mrs. Wright has begun to equate herself with the bird – initially feeling caged, stifled and killed – prior to her marriage, she went out, sang and had fun, and in the very last act, the cage broken, symbolizing freedom, if not of the bird’s body, at least of its spirit. Unwittingly, in one of the opening sentences, Mr. Hale contributes to this image of Mrs. Wright being oppressed by commenting that he didn’t think that what his wife wanted mattered much to Mr. Wright. Having lost everything prior to this, Mrs. Wright could not tolerate the loss of the one thing that she loved. This death of the bird was the act of anger that the men did not find. Her marriage has been similar to a caging, killing (of herself), and in the final act of killing her husband, she has in fact set herself free – although ironically she is now in jail. Mrs. Hale hits the nail on the head when in hindsight she realizes indirectly that Mrs. Wright was lonely – the unpleasantness and coldness of the place which kept her away kept others away too. With the death of the bird the one thing that was fun had now gone too. Interestingly, the bird died of strangulation – and Mr. Wright also died because of being constricted around his neck. Environmental culture The men have gone there with their minds made up and to them it is just a matter of trying to find the proof. The women have gone there with no such convictions, through going about their business they find the truth and yet are still able to show compassion – they decide to take Mrs. Wright the quilt, so that she can undo the last untidy square and complete a nice piece of work. Doing this, they find the dead body of the bird. Having been constricted and confined in life, the bird has been laid to rest in the most beautiful place Mrs. Wright can think of. They also find good fruit and decide to take this to her to convince her that after all her fruit did not rot. Instinctively, they know that this will make her feel better about herself. It is interesting that although it is the men who are there to investigate the case and get to the bottom of things, it is the women, through their observations and insight, get to the truth of the matter. They are the ones who notice, and understand, the erratic sewing of the last quilted square, for instance. The men believe that everything is clear, except for a reason for doing it – which they have not discovered despite having occupied the same premises as the women for the same amount of time. The women think briefly about disclosing this – their eyes meet – but they say nothing. They do not discuss it with the men – it would not be their place. Women at the time were considered inferior, the men where the authority. Thus, although some do know the truth, in fact, because of environmental cultures and the norm of the time, it is never discovered fully. Over 100 years later, one must believe, and be grateful that this would no longer happen. We have learned through trial and error and instances such as this that there are a variety of viewpoints and insights that can help us get to the truth. Works Cited Enotes. com, 2005, retrieved 10 April 2006 from the website http://www. enotes. com/trifles/ Trifles, Susan Glaspell, 1916, retrieved 10 April 2006 from the website http://www. vcu. edu/engweb/eng384/trifles. htm