Sunday, December 29, 2019

Differentiate Between Delirium And Dementia - 938 Words

ABNORMAL PSYCHOLOGY Student’s name Prof’s name Course title Date Qsn. 1 Differentiate between delirium and dementia Delirium is also referred to acute state of confusion that presents in three forms. Its symptoms are severe confusion and bewilderment in the hyperactive form it is also characterized by an equally sudden pulling out from dealings with friends and the rest of the outside world. In the third form that is mixed delirium all these symptoms occur in an individual, it however occurs in people in their later years, Birks, J 2006. Delirium is also characterized by attention deficits, irregular course and a broad-spectrum severe ineptitude of performance. Cognitive deficits, perceptual deficits, tainted sleep-wake cycle, psychotic features and changes in arousal. These psychotic features include hallucinations and delusions. Delirium is a clinical set of symptoms and not a disease and mostly consequences from a core disease. Dementia is a broad category of brain disease that is often characterized by the ability to clear reasoning and the ability to thin are lost resulting into a severe effe ct on how one functions. People with dementia have symptoms such as agitation, balance problems, tremor, speech and language difficulty, memory distortions, depression or anxiety, disinhibition and impulsivity, wandering or restlessness and trouble eating and swallowing, Rochon P.A. 2009. Qsn. 2Describe differences in dementia from Alzheimer’s disease, HIV-1Show MoreRelatedEssay on Understanding Dementia in the Elderly532 Words   |  3 PagesDelirium, Depression, and Dementia are some of the most common psychological diagnoses in the elderly today. The three D’s are difficult to differentiate between in older adults because they overlap with each other and can all exist in the same patient at once. Delirium, Dementia, and Depression all affect the elderly’s quality of life and often increase the risks for one another (Downing, Caprio Lyness, 2013). For the purpose of this paper I will be focusing primarily on the diagnosis of DementiaRead MoreBiopsychosocial Model Essay1531 Words   |  7 Pagesto be an improved model than biomedical model as it is a way of examining patients at the two important interlinked systems: mind-body connection. (Engel, 1977, p.132) Mr smith an 84 year old man who lives alone was admitted on a medical ward for delirium but has previously been diagnosed with COPD.Cognitive obstructive pulmonary disease is a chronic inflammatory lung disease that causes obstructive airway to the lungs (British Lung Foundation, 2017). Due to the ageing process, the immune system declinesRead MoreChapter 60 Nursing Management Alzheimers Disease And Dement Essay2946 Words   |  12 PagesChapter 60: Nursing Management: Alzheimers Disease, Dementia, and Delirium Test Bank MULTIPLE CHOICE 1. A 68-year-old patient who is hospitalized with pneumonia is disoriented and confused 3 days after admission. Which information indicates that the patient is experiencing delirium rather than dementia? a. The patient was oriented and alert when admitted. b. The patient’s speech is fragmented and incoherent. c. The patient is oriented to person but disoriented to place and time. d. The patientRead MoreOlder Clients Essay8017 Words   |  33 PagesGovernment [Department of Health Ageing],(2011) http://www.health.gov.au/ 1. Understanding the aged care environment: a) What is the difference between a hostel and a nursing home? A Hostel is for residents with low care needs and a Nursing Home offers high care for residents requiring more intensive care. b) Differentiate between nd identify the classifications of clients you might find in each. Hostel Care – (Low Care) Low Carel accommodation is primarily for people who findRead More Substance-Related Disorders Essay examples795 Words   |  4 Pagessubdivided into two groups: the Substance Use Disorders (Substance Abuse and Substance Dependence) and the Substance-Induced Disorders (Substance Intoxication, Substance Withdrawal, Substance-Induced Persisting Dementia, Substance-Induced Persisting Amnestic Disorder, Substance-Induced Delirium, Substance-Induced Psychotic Disorder, Substance-Induced Mood Disorder, Substance-Induced Anxiety Disorder, Substance-Induced Sexual Dysfunction, and Substance-Induced Sleep Disorder) (American Psychiatric AssociationRead MoreDefining Abnormality1408 Words   |  6 Pagesbe called dementia or senility and is growing more common among American adults. A person with Alzheimer’s can have serious memory lapses, forget the meaning of certain commonly used words, and may even fail to recognize loved ones (Meyer, 2005). Older adults can also suffer from delir ium, which is â€Å"an acute cognitive disorder involving disruptions in attention, and changes to cognitive capacity such as memory loss, disorientation, or language problems (Damour Hansell, 2005). Delirium can be broughtRead MoreSymptoms And Treatment Of Schizophrenia3448 Words   |  14 Pagesmost stress generating cause to the disease. Provided, is an elaboration of its pathology and therapies as a manner of reducing the taboos and prejudice held by society pertaining to the disease. 2. DEFINITION Schizophrenia was initially known as Dementia Praecox, a term stressing a distinct mental process (Sadock, 2000). At the beginning of the twentieth century, Dr. Paul Eugen Bleuler, a Swiss psychiatrist, adopted the term schizophrenia; with the opinion the previous expression was inappropriateRead MoreAbnormal Psychology Terms9960 Words   |  40 Pageshas just been arrested for the third time for shoplifting. he would most likely be labeled a(n) a 65-year-old in otherwise very good health typically will experience occasional a 65-year-old is about what percent likely to be suffering some form of dementia a 74-year-old man has experienced a very sudden decrement in attention, language production, and memory. CT scans show localized damage to specific areas of the brain. he has a history of cardiovascular disease. his diagnosis would most likely beRead MoreThe Effects Of Sleep Deprivation On The Elderly2664 Words   |  11 Pagessafety and security, as these are the primary basic nee ds of every hospitalized patient. With the elderly, it is important to be able to make them feel safe to an even further extent, due to their poorer eyesight and decreased ability to differentiate between certain colors. It is also notable to understand they are at an increased risk for falls, so placement of beds, chairs, and restrooms are crucially important. After setting up the environment and dealing with any physical issues, the nextRead MoreSocm Study Guide Essay30404 Words   |  122 Pagesmovement. Refers to all chemical operations under way in the body. Define Anatomy and physiology, and describe the various specialties within each discipline Anatomy – the study of internal and external structures and the physical relationship between body parts. Physiology – the study of how living organisms p0erform the vital functions. Microscopic Anatomy – study of structures that can not be seen by the naked eye. Cytology – analyzes the internal structure of individual cells. Histology

Saturday, December 21, 2019

Elizabeth Cady Stanton Women s Rights - 888 Words

Elizabeth Cady Stanton was a woman that can be best described under a countless amount of titles. She was a women’s rights activist, feminist, editor, writer, abolitionist, and the list continues. Living in a world in which women were made to feel inferior, Stanton utilized this oppression as a catalyst for permeating into male â€Å"territory†. Fortunately for her, particular opportunities came about naturally, being that she was raised in a privileged household. Her parents were of high respect in their city, and had the means to provide their kids with formal and informal methods of education. A couple years after graduating from the Willard’s Troy Seminary in 1832, she married her husband, Henry Stanton- a fellow abolitionist and antislavery orator. Their marriage is infamous for the exclusion of â€Å"promise to obey† from the traditional vows, due to Elizabeth’s conviction that it translated in both parties not being equal to one another. Even within the confinements of marriage, fortune continued to follow Stanton in her endeavors, because through her marriage she was exposed to even larger pavements of reformation. Stanton was among a group of female abolitionists that traveled to London, England to participate as delegates in the World’s Anti-Slavery Convention. When they arrived to this event, they quickly discovered that meeting’s intentions did not require the presence or involvement of women. The women that attended were neither allowed to vote, or even speak theirShow MoreRelatedElizabeth Cady Stanton : Women s Rights1922 Words   |  8 Pages Abstract Elizabeth Cady Stanton forever changed the social and political landscape of the United States of America by succeeding in her work to guarantee rights for women and slaves. Elizabeth Cady Stanton was a leader in the 19th century for women’s activist and women’s suffrage leader. As an active American abolitionist, she gave many lectures and wrote books. Among those fighting for women’s rights, she was a primary leader. Though she was interested in women’s rights from many perspectivesRead MoreWomen s Rights By Elizabeth Cady Stanton1015 Words   |  5 PagesWomen in the 1920’s were expected to keep out of the public eye.  They were not allowed to vote, or serve on juries. Legally, they were supposed to be subordinated.   Women did not have the same rights as men pertaining to their political involvement. Because of this unfair inequality towards them, women decided to take a stance. In 1848 the movement for women’s rights was organize on a worldwide status. In July, Elizabeth Cady Stanton and Lucretia Mott created the first women’s rights convention inRead MoreElizabeth Cady Stanton : A Radical For Women s Rights1105 Words   |  5 PagesLois W. Banner is the author of Elizabeth Cady Stanton: A Radical for Women s Rights. She is also the author of many other books based on women, such as Women in Modern America: A Brief History. Banner wrote this book in order to showcase to the world all of the situatuions that Elizabeth Cady Stanton faced and overcame. This very informative novel shows how Stanton has had doors opened for the population of women. She received her PhD at Columbia University. As a history professor at the UniversityRead MoreElizabeth Cady Stanton : Women s Rights978 Words   |  4 PagesDuring the late 1830s through the late 1870s women had little to no rights when it came to certain situations. Some women Such as Elizabeth Cady Stanton, Catherine Beecher and Mary Livermore all had thei r different opinions on women rights. Elizabeth Cady Stanton who was a woman activist believed that when it comes to marriage a woman should have the same equal opportunities as a man. Catherine Beecher a prominent writer believed that women should have no rights when it comes to abolition societies. BeecherRead MoreElizabeth Cady Stanton: Fighting for Womens Rights Essay986 Words   |  4 PagesElizabeth Cady Stanton Elizabeth Cady Stanton didn’t want to be remembered as a household but the women they will admire. The purpose of this paper is to explain the life of Elizabeth Stanton and how she had a huge effect on the outcome of seeking equal rights for woman. Early Childhood First of all, the most famous influential feminist lead was known when she was a child. Elizabeth was born in November 12, 1815 in Johnstown, NY (Elizabeth Cady Stanton Biography). Her father was a judge andRead MoreEssay on Elizabeth Cady Stantons Fight for Equality 1252 Words   |  6 PagesElizabeth Cady Stanton was not just a mother, daughter, feminist, and writer; but she is the woman who changed the lives of women everywhere by fighting for equality. Stanton lived a normal childhood, but one that motivated her to never give up hope in reaching her goal. A quick background of her life will help better understand why she became such a powerful woman’s rights activist. Also, what she accomplished that changed history and how it still affects us today in 2011. I will also express myRead MoreElizabeth Cady Stanton : America s First Feminist1222 Words   |  5 Pages Elizabeth Cady Stanton: America’s First Feminist Feminism. The word, depending on the person, could leave a sweet or sour taste. It means, simply, â€Å"The advocacy of women s rights on the grounds of political, social, and economic equality to men†(oxforddictionaries.com). But the connotation varies, from the aggressive to the convincing. When the eight-letter word pops into someone s brain, they might picture powerful modern and inspiring figures, like Malala Yousafzai, the youngest person, maleRead MoreElizabeth Cady Stantons Heroic Qualities737 Words   |  3 PagesIntroduction- background on mid-late 1800’s and the Civil Rights Movement. Define what it would take to be a hero during that time period. (Thesis) Elizabeth Cady Stanton demonstrated how she was a hero through her passion for women’s rights, her courage to stand up for what she believed, and her ability to overcome the discrimination that she faced all her life. Elizabeth Cady Stanton showed heroism through her strong passion for women’s rights. All throughout her life, Stanton’s actions showedRead MoreWomen s Degradation By Elizabeth Cady Stanton928 Words   |  4 Pagessexual rights. Our religion, laws and customs are all founded on the belief that woman was made for man† (Stanton) Believed to be one of the greatest and most influential feminists of not only her generation, but of all time, Elizabeth Cady Stanton paved the way for women and their rights in a time when they had none. Elizabeth, was one of the first feminist theorists in America and through her beliefs that women deserve equality and equal rights, she paved the way for the future of women and herRead More`` The Best Protection Any Woman Can Have Courage Essay1669 Words   |  7 Pagesâ€Å"The best protection any woman can have is courage† -Elizabeth Cady Stanton. The antebellum period was of rapid technological change and westward expansion. This time rose a belief of Manifest Destiny and the rise of abolitionism. The antebellum period brought out great change to the nation ;however, the greatest change was the change of social attitudes toward the women in this time period. Women started slowly emerging out of their traditional roles in a fight to eventually be seen as an equal

Thursday, December 12, 2019

Parental Separation & Divorce Often Affectsâ€Myassignmenthelp.Com

Question: Discuss About the Parental Separation Divorce Often Affects? Answer: Introduction: Parental separation and divorce often affects the children in an extensive way harming his psychological development (Mandamaker Kalmijin, 2014). It not only has immediate short term impacts but also affects the lives of such individuals with long term harms resulting of a various types of psychological impacts. The work of a psychologist would be to research over the issues so that while counseling he may provide the best solutions and hence develop better quality lives of peoples (Phipps et al., 2014). Guinart, M., Grau, M. (2014). Qualitative Analysis of the Short-Term and Long-Term Impact of Family Breakdown on Children: Case Study.Journal of Divorce Remarriage,55(5), 408-422. According to the authors namely Guinart and Grau (2014), family breakdown has a massive psychological impact on the children leading to a number of various disorders and behavioral changes which they wanted to investigate through their experiences. For this, the researchers conducted there important procedures to a selected family comprising of a lady who had broken up with her husband due to his infidelity and has two daughters belonging. They belong to upper socioeconomic class. Information has been derives by jotting their life history, conducting interviews with the help of a personality and factorial questionnaire and also performed the million clinical multiaxial inventory III to explore and indentify emotional and personal difficulties faced by children. It was found from the research that among the short term negative impacts, participants reported intense suffering and often developed a feeling of abandonment, mood disorders, behavioral disorders as well as serious emotional disturbances. Poor school performance was also noted. For long term effects, it was seen that the daughters always seeked to look for a parental figure for reference and developed fears for the future thinking that this incident might also happen to them. The article when summarized that the way the divorce and separation takes place has impacts on parents. The separation which takes all of a sudden due to petition filing has a negative toll on the opposite partner and often results in intensification of the depression and in such scenario; it is the self control of the partner that acts as an important aspect. Children often develop both long and short term issues resulting in massive psychological impacts that created a fear in them for the future that affected their personal adult life as well (Heteherington Arasteh, 22014). Therefore the researchers have provided recommendations of immediate professional psychological help to overcome the short impacts effectively and so that it does not result in long term impacts as well. Francia, L., Millear, P. (2015). Mastery or misery: conflict between separated parents a psychological burden for children.Journal of Divorce Remarriage,56(7), 551-568. The researchers Francia and Millear (2015) wanted to portray how the behaviors of the parents in conflicts can affect the children psychologically and how they can affect different cognitive skill of children affecting their present and future. 19 participants out of whom 15 women and 4 men of 16 to 27 years of age were interviewed who have faced parental conflicts, suffered from parental separation, no knowledge of biological mother or father and others were considered and interviewed for 15 minutes. The research was guided by social conflict theory, attachment theory and Cooperative Competitive Parental Conflict model. The separation or the conflict that is faced by the partners in the family often tends to affect the children both physically and also mentally. The psychological impact on the children are mainly guided by three important factors called the shared parenting, the viewpoint that each of the parents share about the other as well as money. Researchers have stated that t he environment created by the parents is one of the most important decisive factors about what king of psychology will be determined by the children. When the parents have conflicts the children develop appraisals relating to each issue such as establishment of trust, beliefs, regulation of emotions and others. When the issue gets resolved, the child learns self efficacy and problem solving. However when the parental conflict remains unresolved, the development of the child is challenged. With unresolved conflict and unresponsive parenting, the children receive potentially damaging elf-esteem information. He may develop maladaptive coping strategies, little or no emotional regulation and thereby low ability to manage conflict. Often parents, who remain in engaged in different conflicts among themselves, often fail to provide a responsible parenting (Carr, 2015). They remaining so wrapped up that they fail to watch the anxiety and other psychological changes that are impacting them o n both on a short term and long term basis. Hence researchers have successfully portrayed the importance of emotional security and responsive parenting and reflective actions in cases of treating children during conflict times with their partners. Baker, A. J., Ben-Ami, N. (2011). Adult recall of childhood psychological maltreatment in adult children of divorce: Prevalence and associations with concurrent measures of well-being.Journal of Divorce Remarriage,52(4), 203-219. Baker and Ben-Ami has conducted a study to explore the extent to which adult children of divorces couples experience childhood psychological maltreatment and for this he had taken 118 adults who have faced parental separation when they were 15 or younger than the age. A web survey was conducted with two open ended questions. Individual belonging the divorced couples reported denial of emotional responsiveness which had a long term impact on their psychology and had been a contributor of psychological maltreatment. Moreover, relationships between relationship security as well as with the psychological maltreatment (PM) has been found out. It has been found that higher the range of PM, there is lower range of security with higher range of fearfulness and also preoccupation. To simplify, it means that greater psychological maltreatment that occurs due to parental irresponsibility and responsiveness results in creating a greater sense of insecurity which harms the mentality of the child and affects his behaviors. Higher the level of psychological maltreatment, it is also found that there is a reduced level of self sufficiency skill. This includes lower self-esteem, learned helplessness and also difficulty separating. Moreover, psychological maltreatment behaviors are also found to be closely associated with lack of infants need for acceptance, emotional connection as well as nurturance (Anthony, Diperna Amato, 2014). This in turn affects proper psychological and behavioral development of child affecting his realization of his self views. This results in development of self esteem, insecure attachments, depression as well as inability to take care of the self in the individual. Conclusion: Different types of negative impacts are often recorded by different researchers which include lack of security, fear for future, loneliness, emotional stress, sleep disorder, poor cognitive development and many others. It also leads to many long term impacts when the children grow into adults since they also fear having proper relationships, security in such relationships and others. In such a scenario, there lies a great responsibility of the parents to provide proper parental responsiveness and emotional security to protect their children from the harmful effects of separation and help them lead a better quality lives. Reflection: While preparing the assignment, I faced issues in selecting articles with common themes and topics as I was not being able to provide the correct key words for which unnecessary articles took a lot of my time. Therefore from the next time, I will properly decide the exclusion and inclusion criteria to rapidly select articles and perform tasks appropriately. References: Anthony, C. J., DiPerna, J. C., Amato, P. R. (2014). Divorce, approaches to learning, and children's academic achievement: A longitudinal analysis of mediated and moderated effects.Journal of school psychology,52(3), 249-261. Baker, A. J., Ben-Ami, N. (2011). Adult recall of childhood psychological maltreatment in adult children of divorce: Prevalence and associations with concurrent measures of well-being.Journal of Divorce Remarriage,52(4), 203-219. Carr, A. (2015).The handbook of child and adolescent clinical psychology: A contextual approach. Routledge. Francia, L., Millear, P. (2015). Mastery or misery: conflict between separated parents a psychological burden for children.Journal of Divorce Remarriage,56(7), 551-568. Guinart, M., Grau, M. (2014). Qualitative Analysis of the Short-Term and Long-Term Impact of Family Breakdown on Children: Case Study.Journal of Divorce Remarriage,55(5), 408-422. Hetherington, E. M., Arasteh, J. D. (2014).Impact of divorce, single parenting and stepparenting on children: a case study of visual agnosia. Psychology Press. Mandemakers, J. J., Kalmijn, M. (2014). Do mothers and fathers education condition the impact of parental divorce on child well-being?.Social Science Research,44, 187-199. Phipps, S., Klosky, J. L., Long, A., Hudson, M. M., Huang, Q., Zhang, H., Noll, R. B. (2014). Posttraumatic stress and psychological growth in children with cancer: Has the traumatic impact of cancer been overestimated?.Journal of Clinical Oncology,32(7), 641-646.

Thursday, December 5, 2019

Human rights in tibet Essay Example For Students

Human rights in tibet Essay Human rights in tibet Essay In 1949, newly communist China sent 35,000 troops to invade Tibet (Tibet Support Group UK 1). The year after that a treaty was made. The treaty acknowledged sovereignty over Tibet, but recognized the Tibetan governments autonomy with respect to internal affairs. The Chinese violated the treaty on many occasions, though. This lead to the National Uprising in 1959, and after that, the exile of the Dalai Lama, spiritual leader of Tibet, and many governmental leaders (Office of Tibet 1). During and after the Chinese invasion of Tibet, there was mass destruction of Tibetan buildings. Over 6,000 monasteries, temples and other cultural and historic buildings were destroyed. The contents of the thousands of buildings destroyed was taken back to China and sold (Office of Tibet 3). The Tibetan people tried to rebuild their country, but the political leader who tried to start the recuperation policy was forced to resign from office shortly after (Office of Tibet 2). During the National Uprising alone 87,000 Tibetans were killed. Another 430,000 died in the fifteen years of guerilla warfare that followed. Sources also say that up to 260,000 have died in prisons and in labour camps (Tibet Support Group UK 3). Also, 200 unarmed civilians were killed during non-violent protests between 1987 and 1989. Overall 1,200,000 Tibetans have died since 1959. That is roughly one fifth of the population of Tibet (Office of Tibet 1). That does not include all of the deaths of Tibetans during the Chinese invasion, and all of those who froze to death trying to flee Tibet. The Tibetan people who survived the killing were denied what most consider primal freedoms. One of which is freedom of religion. Tibetan religious practice was forcibly suppressed until 1979 (Tibet Support Group UK 4). Also, in early 1989, Chinese authorities undertook a campaign to tighten control over religious practice. This campaign intensified the crackdown on the pro-democracy movement (Churchward 1). The campaign affected Catholics, Protestants, Muslims, and Buddhists. Another religious suppression on the part of the Chinese is that they have banned public celebrations of Tibets Great Prayer Festival because China believed that it would lead to nationalist demonstrations (Churchward 2). Now all Tibetan churches, mosques, and temples must be registered, and to do so, they must meet official standards (Churchward 1). Also, the only people permitted to perform religious duties, according to Document #19, are those who after examination are deemed politically reliable, patriotic, and law-abiding (Churchward 3). On May 23, 1951, the 17-point agreement was enacted. It stated that the Chinese would not interfere with Tibets existing system of government and society. China never kept those promises, though, and in 1959 reneged on the treaty altogether (Tibet Support Group UK 1). China renamed two of Tibets three provinces as part of China. The remaining province was named Tibet Autonomous Region (TAR), but there is no evidence to support Chinas claim that TAR is autonomous. All of TARs local legislation is subject to approval of the central government in Beijing, and all local government is subject to the regional party, which in Tibet has never been run by a Tibetan (Tibet Support Group UK 3). The Tibetan people also do not have the right to a fair trial. In Tibet non-violent opposition to the Chinese is met with charges of counter revolution and the offender is classed an enemy of the people. Chinese authorities regard anyone arrested for nationalist activities as undeserving of the protection of the law, because they have lost their right to be considered part of the people (Lawasia and Tibet Information Network 31). The Tibetans suspected of opposing the Peoples Republic of China (PRC) have been held as political prisoners for lengthy periods, decades for some. The Great Gatsby - The Characters Essay The US government presented China with a list of 108 political prisoners in 1993. Nine months later China finally responded. They listed 51 as can not be found and did not even say where the other prisoners were being held. The charges against them are often unknown, some were even sentenced or executed without a trial. Thousands of Tibetans are in custody for political reasons, but accurate figures are impossible to find due to Chinas reluctance to provide any information and their .

Thursday, November 28, 2019

Nadine Gordimer Essays - Historical Novels, Nadine Gordimer

Nadine Gordimer Gordimer (1923-) South African novelist and short-story writer, who received Nobel Prize for Literature in 1991. Gordimer's main themes are exile, loneliness and strong political opposition towards racial segregation. She was a founding member of Congress of South African Writers, and even at the height of the apartheid regime, she never considered leaving her country. Nadine Gordimer was born into a well-off family in Springs, Transvaal, an East Rand mining town outside Johannesburg. It was the setting for Gordimer's first novel, THE LYING DAYS (1953). Her father was a Jewish jeweller originally from Latvia and her mother of British descent. From her early childhood Gordimer witnessed the increase of white power at the expense of the rights of the black majority. Gordimer was educated in a convent school and she spent a year at Witwaterstrand University, Johannesburg without taking a degree. Often kept at home by a mother who imagined she had a weak heart, Gordimer began writing from the age of nine and her first story, 'Come Again Tomorrow', appeared in the Johannesburg magazine Forum when she was fifteen. By her twenties Gordimer had had stories published in many of the local magazines and in 1951 the New Yorker accepted a story, publishing her ever since. From her first collection of short stories, FACE TO FACE (1949), which is not listed in some of her biographies, Gordimer has revealed the effects of alienation of racies on society. It was followed by THE SOFT VOICE OF THE SERPENT (1952), and novel The Lying Days (1953), which exhibited Gordimer's unsentimental technique, already hallmark of her narrative. The story was based largely on the author's own life and depicted a white girl who attempts to escape the racism of a small-town life. Other works in the 1950s and 1960s include A WORLD OF STRANGERS (1958), OCCASION FOR LOVING (1963), and THE LATE BOURGEOIS WORLD (1966). In these novels Gordimer studies the master-servant relations characteristic of South African life, spiritual and sexual paranoias of colonialism, and the political responsibilities of privileged white South Africans. "A line in a statute book has more authority than the claims of one man's love or another's. All claims of natural feeling are over-ridden alike by a line in a statute book that takes no account of humanness, that recognises neither love nor respect nor jealousy nor rivalry nor compassion nor hate - nor any human attitude where there are black and white together. What Boaz felt towards Ann; what Gideon felt towards Ann, what Ann felt about Boaz, what she felt for Gideon - all this that was real and rooted in life was void before the clumsy words that reduced the delicacy and towering complexity of living to a race theory..." (from Occasion for Loving) Occasion for Loving was concerned with the 'line in a statute book' - South Africa's cruel racial law. In the story an illicit love affair between a black man and a white woman ends bitterly. Ann Davis is married to a gentle Jew called Boaz Davis, a dedicated scholar who has travelled all over the country in search of African music. Gideon Shibalo, a talented painter, is black, he has a marriage and several affairs behind. The liberal Mrs Jessie Stilwell is a reluctant hostess to the law-breaking lovers. Boaz, the cuckold, is on the side of the struggling South African black majority, and Ann plays with two men's emotions. Gordimer won early international recognition for her short stories and novels. THE CONSERVATIONIST (1974) juxtaposed wealthy white South African world with the rituals and mythology of Zulus. BURGER'S DAUGHTER (1979), written during the aftermath of Soweto uprising. In the story a daughter analyzes her relationship to her father. JULY'S PEOPLE (1981) was a futuristic novel about a white family feeing from war-torn Johannesburg into the country. Gordimer's early short story collections include SIX FEET OF THE COUNTRY (1956), NOT FOR PUBLICATION (1965) and LIVINGSTONE'S COMPANIONS (1971). Since 1948 Gordimer has lived in Johannesburg and taught in the USA in several universities during the 1960s and '70s. She has written books of non-fiction on South African subjects and made television documentaries, notably collaborating with her son Hugo Cassirer on the television film Choosing Justice: Allan Boesak. In THE HOUSE GUN (1998) Gordimer explored the problems of the violence ridden post-apartheid society through a murder trial. Two white privileged liberals, Harald and Claudia Lindgard, face the fact that their architect-son, Duncan, has killed his friend Carl Jesperson. Where does it lead, when violence becomes the common hell? For further reading: The Novels of

Sunday, November 24, 2019

The Wretched Of The Earth essays

The Wretched Of The Earth essays Fanon's book, "The Wretched Of The Earth" like Foucault's "Discipline and Punish" question the basic assumptions that underlie society. Both books writers come from vastly different perspectives and this shapes what both authors see as the technologies that keep the populace in line. Foucault coming out of the French intellectual class sees technologies as prisons, family, mental institutions, and other institutions and cultural traits of French society. In contrast Frantz Fanon (1925-1961) born in Martinique into a lower middle class family of mixed race ancestry and receiving a conventional colonial education sees the technologies of control as being the white colonists of the third world. Fanon at first was a assimilationist thinking colonists and colonized should try to build a future together. But quickly Fanon's assimilationist illusions were destroyed by the gaze of metropolitan racism both in France and in the colonized world. He responded to the shattering of his neo-colonial identity, his white mask, with his first book, Black Skin, White Mask, written in 1952 at the age of twenty-seven and originally titled "An Essay for the Disalienation of Blacks." Fanon defined the colonial relationship as one of the non recognition of the colonized's humanity, his subjecthood, by the colonizer in order to justify his exploitation. Fanon's next novel, "The Wretched Of The Earth" views the colonized world from the perspective of the colonized. Like Foucault's questioning of a disciplinary society Fanon questions the basic assumptions of colonialism. He questions whether violence is a tactic that should be employed to eliminate colonialism. He questions whether native intellectuals who have adopted western methods of thought and urge slow decolonization are in fact part of the same technology of control that the white world ...

Thursday, November 21, 2019

Information Security Essay Example | Topics and Well Written Essays - 500 words

Information Security - Essay Example Thus, it becomes must for an organization to safeguard and make certain about the security of all the stored data. The intention of the policy in relation to information security is to defend the privacy, dependability and ease of admission of the systems as well as the information’s (CMS, 2006). The organization OUMC Edmond checks with the security policies regarding the information security as how developed and effective they are by reviewing them occasionally and also by updating them. The organization also monitors that whether the employees are abiding by the policies or not. They keep a check that whether any unlawful access is being taking place or not. This is how the organization makes sure about the development and effectiveness of its policies regarding the safety of the data. There are numerous policies that can be implemented by organizations to make certain of the privacy, accessibility and dependability of the data. OUMC Edmond sets its security policies in order to protect the information. The organization applies specific security policies such as data ownership, security and classification, usage of password, cryptography, data content, physical security, and mail ownership in electronic form, measures to manage and prevent virus, accountability regarding the end user as well as acceptable use, security awareness, backup and even preservation of the records among others. The above mentioned policies can be observed as the measures to prevent unlawful access to the information. The organization implements data content, data ownership, data classification and data security to deal with the stated issues. These are the security policies that are applied by OUMC Edmond so as to make sure of the confidentiality, accessibility and dependability of the da ta (Weise & Martin, 2001). An organization can protect itself from the loss of its data with the help of the Data Protection Act. In order to abide by this act, an

Wednesday, November 20, 2019

A description of the UK economy Essay Example | Topics and Well Written Essays - 1500 words

A description of the UK economy - Essay Example The UK economy is currently doing well and might be begrudged by many emerging economies. It has high employment levels, minimal inflation rates and a good annual growth of 0.2%. however, if the government continues increasing its expenditure, the UK might soon find itself in another self-imposed crisis. The UK government should realize that the real risk from increased government expenditure is the burden of interest that has to be paid on the money borrowed to finance government activities. Though the government has the role of stimulating economic growth, it must use methods and/or policies that will not conflict with some of its goals and/or objectives. Apparently, tax reduction might work in further improving the performance of the UK economy but such reductions must not be at the expense of government revenues. Vast as it is, the UK government requires lumpsome amounts of money to provide for its population and finance its numerous activities hence taxes must still be considere d as an important source of the government’s existence.

Monday, November 18, 2019

Business Law Essay Example | Topics and Well Written Essays - 250 words - 27

Business Law - Essay Example For Leighton Industries the amount of consideration was the specific brand of steel requested. For Callier Steel, the consideration must have been the amount of money included in the invoice. The two companies are of contractual capacity (Richards, 22). Thus a valid and binding contract existed between the two parties. The next step will be to find out if the two companies met their contractual obligations under the contract and if their contractual rights under the sale of goods contracts were mutually respected. A contract is normally considered as an act of good faith that is free from any ill intent from the contracting parties. An act of misrepresentation constitutes a vitiating element in a contract. The representation must be inaccurate, misleading or untrue (Richards, 78). The representee must have reasonably relied on the misrepresentation and the damages that he suffered must be as a result of this reliance as was the case in Andrews Vs Mockford (1986). By delivering a wrong brand of steel, Callier Steel would be liable for innocent, fraudulent or negligent misrepresentation that breached the contractual obligation of good faith. By obtaining leaking furnaces as a result of the wrong brand of steel that was delivered, Leighton suffered damages which the court must remedy. Leighton

Friday, November 15, 2019

Personal Previous Job Reflection Social Work Essay

Personal Previous Job Reflection Social Work Essay DISCUSSION: This question reveals a lot about you. You want to indicate that what you liked best about your last job are things that will appeal to the Hiring Manager. Show that your last job allowed you to demonstrate many of the desirable Behavioral Competencies that are discussed at the beginning of this Guide. Give specific examples of how your last job allowed you to flex your skills and show your maturity. Never make statements like I like that my last company gave me a lot of vacation days, or something similar. When answering about what you liked least, keep it short, do not be negative, and relate your answer to how your last job limited you in your ability to exhibit positive Behavioral Competencies. What I liked about my last job was the fact that there was good on the job training. I was able to really develop my X skills, which I know will help me succeed here if I am fortunate enough to be able to join your team. What are the qualities and skills of the people who have been most successful at this company? One thing I liked about my last job was that it allowed me to develop my leadership skills. FOR EXAMPLE, I was put in charge of a project where I had to earn the buy-in of people from multiple different departments including Marketing, IT, Product Development, and even HR. I held all the responsibility for getting this project completed on time, even though I had no real authority over my teammates since they did not report to me. I was able to create a project vision that the team agreed on, and then day-to-day I made sure that each team member completed their work on time. I did this in most cases by appealing to my teammates own self-interests. FOR EXAMPLE What I liked least about my last job was that the management style was pretty hands off, and this was fine for me because I am self-motivated and work hard to achieve. But the lack of structure sometimes allowed some of my teammates to slack off from time to time and I often ended up having to pick up the extra work. I would not mind that SOMETIMES, but it got old after a while. I had to constructively approach my manager and let her know what was going on WITHOUT creating any friction between me and the slacker teammates, who I actually liked as people. In the end, it worked out well, because I was pro-active. Have you ever run into that type of situation as a manager? What have you learned from your mistakes? DISCUSSION: Show that you are able to learn from your mistakes, but dont offer up any negative examples concerning your past performance. Show that you have been successful, but that you have the maturity it takes to examine your own behavior so that you can learn and grow and be a better employee. Be brief. Good question. Well, I have been successful at every job I have had, but I have had the normal ups and downs. Id say that I do actively try to monitor my work habits and the quality of my work so that I can constantly be improving myself. FOR EXAMPLE, I have had one or two hiccups with customers where their satisfaction was not where I thought it was. I learned that I have to really monitor certain difficult customers closely and take their temperature so I can keep their satisfaction level as high as possible. Have you had any customers like that here? Give me an example of a problem you faced on the job, and tell me how you solved it. DISCUSSION: This is a problem solving question that tests your critical thinking skills. This is a great question for showing that you are a creative and capable problem solver. The problem you select to use as an example should be as similar as possible to a problem that you are likely to face at the job you are interviewing for. I try to take a systematic approach to problem solving where I take the time to gather the relevant data, clearly define the problem or goal, then come up with possible solutions. I think it is important to get the information and clarify the problem first before you start coming up with possible solutions, or wasting other peoples time. FOR INSTANCE, when I was at Job X What kinds of challenges are you currently facing in your department? How tough a position does this put you in? What could the ideal candidate do to help solve this problem in his or her first three months on the job? Describe a situation when working with a team produced more successful results than if you had completed the project on your own. DISCUSSION: This is a behavioral interviewing style of question. The Hiring Manager wants to learn more about your thought process, and how well you can form examples to answer this teamwork related question. You will want to show your ability to solicit ideas from others, listen carefully, and persuade people to your point of view. Well, I have worked both independently and as a member of team, throughout my career. I enjoy both, and can do both equally well. I will have to say, though, that working with others has often yielded great results for projects I have worked on specifically when it comes to brainstorming. I try to get everyone involved in coming up with new solutions by making time for sessions where there are no wrong ideas or answers. The creativity of a group of people is always going to be greater than that of one person, and thus the results will be more successful. I did that a lot a Job Y. FOR EXAMPLE Working with others allows you data-mine other peoples skills and experiences, get perspectives and ideas that you would not have on your own, and check the quality of your own work before it goes out the door. FOR EXAMPLE, at Job X I worked with many great people. I was able to pick their brains so to speak about the effectiveness of various techniques, estimates on how long it would take to get various things done, etc. I would not have been able to do my job as effectively with out them. Will there be the opportunity to work in team situations at this job? Describe a time when you were faced with problems or stresses at work that tested your coping skills. What did you do? DISCUSSION: Workplace stress is an issue for everyone. Dont pretend that you never get stressed out. You want to show that you can deal with stress and cope with difficult situations. Show that you are calm under pressure, and know how to avoid stress in the first place through planning and time management. Well I think it is important to remember that stress effects everyone, and it is inevitable that sometimes people are going to have bad days. That is why I try to give people the benefit of the doubt when they seem to have a short fuse. What I do personally is try to control my response to a situation. You cant necessarily control what happens to you, but you can control your response. What I try to do is lengthen the time between the stressful situation and my response so that I can identify the cause of the stress and decide what I can do about it. FOR EXAMPLE, on several occasions I have had to deal with very irate customers who actually yelled at me. What I did was stay calm and not let them get under my skin. I really tried to listen and decide exactly what it was that was at the root of their problem. Then I provided solutions that could be completed within a specific time-frame. I always find that it is best to face those types of situations head-on and be objective about the m. I do my best to be professional and not get my emotions involved. Also, I try to avoid stress in the first place by tackling difficult tasks or conversations sooner rather than later. Does that make sense? What was your role in your departments most recent success? DISCUSSION: Youll want to be very specific here, and frame your answer in terms of how you saved time and money. The Hiring Manager is looking for a pattern of success, and you need to describe recent successes in detail. Use the S.T.A.R. Statement formula for your examples. Be prepared with at least three examples concerning your recent successes, and make sure at least one of them relates to teamwork and something you accomplished as part of a group. Make sure you address how your work made other people FEEL, as well as the time you saved and the revenue or cost-savings you generated. I guess that would be a recent project for client X. I handled all of the communication with the client for our last project. It was a three month long project where my team had to build a custom package based on the needs of client. I was instrumental in translating the clients business needs into detailed product features. I had to make sure that my team understood what the client wanted, and then check the quality to make sure that we were delivering a quality product with the features that the client was expecting. Well, it was an ongoing process that required a lot of communication and teamwork with my team as well as the client. I think my role really was to clarify the scope of the project, and then manage the clients expectations. We were able to deliver on time, and the client was thrilled! I was able to make sure no time was wasted on adding unnecessary features, and since we were working on a fixed bid price, we saved my company time and money. My manager and everybody on my team felt great because the project went so smoothly. Is that the kind of experience that would help me be successful here?

Wednesday, November 13, 2019

Sherlock Holmes :: Essays Papers

Sherlock Holmes The Man with the Twisted Lip In this short story, by Sir Arthur Conan Doyle, Mr. Neville St. Clair has been kidnapped. His wife is in town one day and she sees him hanging outside of a window. As she looks up at him, he lets out a scream and is yanked back into the room from where he stands. She is very concerned about seeing her husband in this situation and thinks that he is in trouble. She runs to the entrance of the building that she saw him standing in and she tries to get upstairs to where he is and help him. She is stopped by the doorman and not allowed access to the upstairs. Once the police get to the scene, they barge into the upstairs area and discover that Mr. Neville St. Clair is not in the room. The only person in the room is a beggar man named Hugh Boone. Everyone is familiar with Boone because he sits in the city and begs for a living. The police demand an explanation on where St. Clair is and there is not one given by Boone or the doorman. On the backside of the building there was a body of water that at high tide came up to the bottom of the lone window in the room. Traces of blood were found on the window seal of this window and drops of blood on the floor. The clothing of St. Clair was found in the corner of the room and his coat was found in the water at the bottom of the window. The assumption was made that Boone killed St. Clair and the body was disposed of in the water. The police detained Boone but the body was not found. Sherlock Holmes was interested in finding the body. Holmes, along with Watson, went to the St. Clair home and interviewed Mrs. St. Clair. Holmes admitted to Mrs. St. Clair that the he thought her husband might still be living. She agreed with great anticipation and told her that the most startling thing had happened to her that day. It was three days since the disappearance of her husband and she had received a letter dated AFTER her husband’s disappearance. Holmes asked to see the letter so he could examine it.

Sunday, November 10, 2019

Dolphin 1984

In 1984, he co-founded and led the spin-off company Pain Capital, a highly profitable private equity investment firm that became one of the largest of its kind in the nation. Economy, everyone might wonder what mitt will do and he believes in free enterprise, hard work, and innovation. His plan consist of reduce taxes, spending, regulation, and government programs. Mitt's plan to help The United States of America, is to increase the number in Jobs. Rooney plans to increase trade, energy production, human capital, and labor flexibility. With Rooney in the house, Obama care would be out. Roomers view on healthcare consist of the following: wouldn't affect seniors or those near retirement, would not raise taxes, and support to help the pupil choose between traditional Medicare or private plans.This â€Å"Health Care† Rooney speaks of will provide the same are and medicine like Medicare, but to a coverage. Mitt Rooney is pro-life. He believes that all Americans have a voice, that should not be take away from them. People from whatever background know that millions and millions of abortions happen every year. Rooney would like to go to the Supreme Court and overturn Roe v. Wade. With this in mind, Rooney will have each and every state have their own abortion laws. Rooney will protect the Doctors, nurse, etc. Of Hospitals. Meaning Saint Catherine for example, will not be giving abortions. Rooney will have Judges that know the choice between personal opinion and the law.Rooney believes this statement.. † Why are we taking the lives of the most innocent among Marriage is between one woman and one man, or so believes Mitt Rooney. Rooney says he wants to support traditional marriage. Rooney would like to propose a Federal Marriage Amendment to the Constitution defining marriage as between one man and one woman. Paul Ryan Bio Ryan was born in Janesville,Wisconsin. He was the youngest child in his family of four. His mother Elizabeth and his father Paul Murray Ryan who was a lawyer. Paul is a fifth generation. Ryan attended SST. Marry Catholic in Janesville, where he was elected president of his Junior class, and then became prom king.As class president Ryan was a representative of the student body on the school board. Following his sophomore year, Ryan took a Job working the grill at McDonald's. He was on his Nicholls ski,track,and varsity soccer teams and played basketball in a Catholic recreational league. He also participated in several academic and social clubs including the Model United Nations. When he was 16, Ryan found his 55 year old father lying dead in bed off heart attack. ISSUES: Mitt Rooney Taxes Reducing and stabilizing federal spending is essential, but breathing life into the resent anemic recovery will also require fixing the nation's tax code to focus on Jobs and growth.To repair the nation's tax code, marginal rates must be brought down to stimulate entrepreneurship, Job creation, and investment, while still raising the revenue needed to fund a smaller, smarter, simpler government. The principle of fairness must be preserved in federal tax and spending policy. Individual Taxes America's individual tax code applies relatively high marginal tax rates on a narrow tax base. Those high rates discourage work and entrepreneurship, as well as savings ND investment. With 54 percent of private sector workers employed outside of corporations, individual rates also define the incentives for Job-creating businesses. Lower marginal tax rates secure for all Americans the economic gains from tax reform. Make permanent, across-the-board 20 percent cut in marginal rates * Maintain current tax rates on interest, dividends, and capital gains * Eliminate taxes for taxpayers with GAG below $200,000 on interest, dividends, and capital gains * Eliminate the Death Tax * Repeal the Alternative Minimum Tax (MAT) Corporate Taxes The U. S. Economy's 35 percent corporate tax rate is among the highest in the industrial world , reducing the ability of our nation's businesses to compete in the global economy and to invest and create Jobs at home. By limiting investment and growth, the high rate of corporate tax also hurts U. S. Wages. * Cut the corporate rate to 25 percent * Strengthen and make permanent the R&D tax credit * Switch to a territorial tax system * Repeal the corporate Alternative Minimum Tax (AM Rooney Immigration Rooney tends to emphasize border security and an immigration system that will benefit the economy.To secure the borders, Rooney wants to complete the construction of a high-tech fence along the Southern border with Mexico. He says he wants enough officers for border security, but does not specify if more, or how many, officers might be needed. Additionally, he wants to improve the â€Å"exit verification† system to make sure that immigrants do not overstay their temporary visas. To retain skilled workers, Rooney proposes offering permanent residency status to foreign student s who obtain an advanced degree in math, science or engineering at a U. S. University. For industries that need and use temporary workers from outside the United States, Rooney wants to reform the temporary worker visa system by removing requirements that slow the process of obtaining the visa.To discourage immigrants from entering the country, or staying in the country, without proper documentation, Rooney would like to develop an improved employment verification system for employers to ensure that they are not hiring unauthorized immigrants. During the race for the Republican nomination, Rooney argued that there would be no need to increase deportations of unauthorized immigrants because implementing a functional employment verification system would make it difficult for them to find a bob and they would â€Å"self deport. † Rooney also opposes â€Å"magnets,† or benefits, for unauthorized immigrants that he believes encourages immigrants to enter the country without authorization. When he was governor of Massachusetts, he vetoed a bill that would allow in-state tuition for unauthorized immigrants and opposed driver's licenses for illegal immigrants.

Friday, November 8, 2019

Somalia essays

Somalia essays It was God-awful hot and the dust was everywhere. We were just coming back to the airfield in Moghedishu from an 18 hour patrol in southern Somalia. Jeff was concentrating on driving while Brad was manning the .50 caliber machinegun mounted on the top of the armored humvee. This left me plenty of time to take in the sights, sounds and smells, very rich ones, of the countryside and city. Dust from the afternoon winds found every cranny and nook you could imagine. It was brutal on our weapons, which had to be constantly wiped free. Even when I would take a drink of water from my canteen the taste of dirt was prevalent. When I started this paper, I found out that much has changed in this ancient land. I also found out that much has remained the same. Somalia is a land with a rich history and one full of sorrows. When I set out to start my research, I turned mostly to Government and Non-government web sites for information. Many of these sites were full of valuable information relating to Somalia, its past and how Somalia stands in the world today. I used one book, Delong, Kent, and Steven Tuckey. Mogadishu! Heroism and Tragedy. Westport: Praeger, 1994, for part of my research. Several other news sites were helpful in setting the scene for Somalias current place in the world, to include the War on Terrorism. Also the State department web site was a great help. I had some difficulties in finding books written about Somalia. There were many books written about the Battle of Mogadishu but few about the country itself. The State Department and CIA web sites were most helpful in this area. Both sites had a complete and comprehensive database of the history of Somalia. I also went to several African web sites for information and for their own perspective on events affecting Somalia, both past and present. I was able to use some of the databases from the ECPI library. For the most part this database was very good on the curr...

Wednesday, November 6, 2019

Biography and Legacy of Ferdinand Magellan

Biography and Legacy of Ferdinand Magellan One of the greatest explorers of the Age of Discovery, Ferdinand Magellan is best known for leading the first expedition to circumnavigate the globe. However, he personally did not complete the route and perished in the South Pacific. A determined man, he overcame personal obstacles, mutinies, uncharted seas, biting hunger, and malnutrition during the course of his voyage. Today, his name is synonymous with discovery and exploration. Early Years and Education Ferno Magalhes (Ferdinand Magellan is an anglicized version of his name) was born in approximately 1480 in the small Portuguese town of Villa de Sabroza. As the son of the mayor, he led a privileged childhood, and at an early age, he went to the royal court in Lisbon to serve as page to the Queen. He was very well educated, studying with some of the finest tutors in Portugal, and from an early age showed an interest in navigation and exploration. The De Almeida Expedition As a well-educated and well-connected young man, it was easy for Magellan to sign on with many of the different expeditions departing from Spain and Portugal at the time. In 1505, he accompanied Francisco De Almeida, who had been named Viceroy of India. De Almeida had a fleet of 20 heavily-armed ships, and they sacked settlements and established towns and forts in north-eastern Africa along the way. Magellan fell out of favor with De Almeida around 1510 when he was accused of illegally trading with Islamic locals. He returned to Portugal in disgrace and offers for him to join new expeditions dried up. From Portugal to Spain Magellan was convinced that a new route to the lucrative Spice Islands could be found by going through the New World. He presented his plan to the King of Portugal, Manuel I. He was rejected, possibly because of his past problems with De Almeida. Determined to get funding for his trip, Magellan went to Spain. Here, he was granted an audience with Charles V, who agreed to finance his journey. By August of 1519, Magellan had five ships: the Trinidad (his flagship), Victoria, San Antonio, Concepcià ³n, and the Santiago. His crew of 270 men was mostly Spanish. Departure, Mutiny, and the Wreck Magellan’s fleet left Seville on August 10, 1519. After stopovers in the Canary and Cape Verde Islands, they headed for Portuguese Brazil. Here, they anchored near present-day Rio de Janeiro in January of 1520 to take on supplies, trading with locals for food and water. It was at this time that serious troubles began: the Santiago was wrecked and the survivors had to be picked up. The captains of the other ships attempted to mutiny. At one point, Magellan was forced to open fire on the San Antonio. He reasserted command and executed or marooned most of those responsible, pardoning the others. The Strait of Magellan The four remaining ships headed south, searching for passage around South America. Between October and November 1520, they navigated through the islands and waterways on the continent’s southern tip. The passage they found was named the Strait of Magellan. They discovered Tierra del Fuego as the sailed. On November 28, 1520, they found a tranquil-looking body of water. Magellan named it the Mar Pacà ­fico, or the Pacific Ocean. During the exploration of the islands, the San Antonio deserted. The ship returned to Spain and took too much of the remaining provisions with it, forcing the men to hunt and fish for food. Across the Pacific Convinced the Spice Islands were only a short sail away, Magellan led his ships across the Pacific, discovering the Marianas Islands and Guam. Although Magellan named them the Islas de las Velas Latinas (Islands of the Triangular Sails), the name Islas de los Ladrones (Islands of Thieves) stuck because locals made off with one of the landing boats after giving Magellan’s men some supplies. Pressing on, they landed on Homonhon Island in the Philippines. Magellan found he could communicate with the people, as one of his men spoke Malay. He had reached the Eastern edge of the world known to Europeans. Death Homonhon was uninhabited, but Magellan’s ships were seen and contacted by some locals who led them to Cebu, home of Chief Humabon, who befriended Magellan. Humabon and his wife even converted to Christianity along with many of the locals. They then convinced Magellan to attack Lapu-Lapu, a rival chieftain on nearby Mactan Island. On April 17, 1521, Magellan and some of his men attacked a much larger force of islanders, trusting their armor and advanced weapons to win the day. The attack was fought off, however, and Magellan was among those killed. Efforts to ransom his body failed. It was never recovered. Return to Spain Leaderless and short on men, the remaining sailors decided to burn the Concepcià ³n and return to Spain. The two ships managed to find the Spice Islands and loaded up the holds with valuable cinnamon and cloves. As they crossed the Indian Ocean, however, the Trinidad began to leak. It eventually sank, although some of the men made it to India and from there back to Spain. The Victoria kept going, losing several men to starvation. It arrived in Spain on September 6, 1522, more than three years after it had left. There were only 18 sickly men crewing the ship, a fraction of the 270 who had set out. Ferdinand Magellan Legacy Magellan is credited with being the first to circumnavigate the world in spite of two somewhat glaring details: first, he died halfway through the journey and second, he never intended to travel in a circle. He simply wanted to find a new route to the Spice Islands. Some historians have said that Juan Sebastin Elcano, who captained the Victoria back from the Philippines, is a worthier candidate for the title of first to circumnavigate the globe. Elcano had begun the voyage as master on board the Concepcià ³n. There are two written records of the journey. The first was a journal kept by an Italian passenger who paid to go on the trip, Antonio Pigafetta. The second was a series of interviews with the survivors made by Maximilianus of Transylvania upon their return. Both documents reveal a fascinating voyage of discovery. The Magellan expedition was responsible for several major discoveries. In addition to the Pacific Ocean and numerous islands, waterways and other geographic information, the expedition also sighted a great many new animals, including penguins and guanacos. The discrepancies between the log book and the date when they returned to Spain led directly to the concept of the International Date Line. Their measurements of distances traveled helped contemporary scientists determine the size of the earth. They were the first to sight certain galaxies visible in the night sky, now aptly known as the Magellanic Clouds. Although the Pacific had been first discovered in 1513 by Vasco Nuà ±ez de Balboa, it is Magellans name for it that stuck. Balboa called it the South Sea. Immediately upon the return of the Victoria, European sailing ships began trying to duplicate the voyage, including an expedition led by surviving captain Elcano. It wasn’t until Sir Francis Drake’s 1577 voyage, however, that anyone managed to do it again. Still, the knowledge gained from Magellans voyage immensely advanced the science of navigation at the time. Today, Magellan’s name is synonymous with discovery and exploration. Telescopes and spacecraft bear his name, as does a region in Chile. Perhaps because of his untimely demise, his name does not have the negative baggage associated with it like fellow explorer Christopher Columbus, blamed by many for subsequent atrocities in the lands he discovered. Source: Thomas, Hugh. Rivers of Gold: The Rise of the Spanish Empire, from Columbus to Magellan. Paperback, Random House Trade Paperback, May 31, 2005.

Monday, November 4, 2019

DRM and trusted computing Essay Example | Topics and Well Written Essays - 250 words

DRM and trusted computing - Essay Example 131-138). Similarly, According to Reid & Caelli (2005, p. 128), trusted computing is vulnerable to MitM attack when used to enforce DRM if the attacker acts as a proxy between two communicating users. This affects the flow of information because it is distorted or manipulated to suit the interests of the attacker. Computers that use unencrypted networks are vulnerable to attacks by the man in the middle because their network traffic is easily grabbed (Luotonen 1998, p. 120). In order to avoid the vulnerability of trusted computing to MitM attacks when enforcing DRM, it is advisable for communicating computers to use encrypted network connections. This may be offered by the Https technology that makes it tricky for an attacker to interfere with the network traffic (Reid & Caelli 2005, p. 129). The Https is efficient because of the safe sockets layer (SSL) facility that shields the web-based network interchange from unauthorized users. The Https also uses certificates that can prove the identity of the servers a computer is interacting with over the internet (Strebe 2006, p.

Friday, November 1, 2019

CONCLUSION - A Short Summary in Terms of the Foundations of the Essay

CONCLUSION - A Short Summary in Terms of the Foundations of the Ordained Ministry Based on the Overview I Have Written - Essay Example In addition, he solemnly affirms that preaching Christ at any cost is the duty of the minister and the servant. When one reads the initial chapters of the epistle to Philippians we find the apostle rejoicing that Christ is being preached even though out of jealousy and competition. That the ministerial ordination does not stop with just Paul himself is evident in the passages where the Apostle asks Timothy to rekindle the Holy Spirit, which has been received through the laying of hands by the Apostle himself, in his epistle to the ardent disciple. (2 Tim: 1/6) This laying of hands is a charism through which God communicates. This charism is found ‘in’ them whom the hands were laid. So in the epistles, the laying of hands brings about the induction into the office of the ministry. We find a close link between the transmission of the right doctrine and the laying of hands. We find the first seven deacons being inducted by the twelve into the ministry by laying of hands. Thus we find the transmission of ordained ministry as well as its institution (Part 3). Now we come to the ultimate question of the aim of this ministry according to Paul, which has also been dealt with in his letters. Paul says that as an Apostle he has been selected by the Lord with the â€Å"ministry of the uncircumcised† as Peter had been entrusted with the â€Å"ministry of the circumcised†. Even at the council of the apostles, Paul argues that the message of Christ is universal, for the righteousness of the faith imparted by Christ (Gal: 2/1-10). He did not desist until John, Cephas and James extended him that â€Å"right hand of fellowship† (Part4). The minister is always doing the work of reconciliation. (2 Cor: 5/18). Therefore, every minister is called to this ministry. The â€Å"steward of the mysteries of Christ† (1 Cor: 4/1), Paul knows that he is invested with the authority of God (2 Cor: 13/10) to build up the Church. How faith is handed down and

Wednesday, October 30, 2019

Human Resources Development in Qatar Petroleum Research Proposal

Human Resources Development in Qatar Petroleum - Research Proposal Example On the other hand, there are some difficulties that are commonly experienced by all employees and they have difficulties in dealing with such issues. Such difficulties include but are not limited to limited funds of the organization, unequal distribution of resources at all levels in the organizational structure, and the criteria of eligibility established by the organization to consider providing the employees with opportunities of development. The target of this report is to offer a clear and practicable technique on managing career development in the organizational context of Qatar Petroleum (QP). QP has developed a Strategic Qatarization Plan where employees within the organization can be trained and developed so that they are equipped with the skills needed to achieve the goals of the business and address the needs of competencies and capabilities in Qatar labor market. It will be a quantitative research in which data will be collected from the employees of QP through questionna ires consisting of both open and closed questions. Closed questions would be used to collect the demographics of the survey respondents whereas open-ended questions will be asked to explore their views about effective ways to manage career development (Qatar Petroleum, 2013). Qatar Petroleum (QP) is a well-known organization in Oil and Gas industry. QP is focusing on achieving their objectives; such as long-term strategic targets such as developing their employees in order for them to achieve higher positions and improve their performance in work. To achieve this, QP offers good opportunities for employment and development to all employees in general and the Qatari employees in particular because they have been highly recommended by H. H. Sheikh Hamad Bin Khalifa Al-Thani who is the Emir of the state of Qatar and upon the recommendation the Minister of Energy and Industry (Qatar Petroleum, 2013). The idea started when the numbers of Qatari employees serving at

Monday, October 28, 2019

Summary and Response to John Gatto’s Article Essay Example for Free

Summary and Response to John Gatto’s Article Essay New York teacher John Taylor Gatto began admitting to himself that he want to quit teaching anymore in a public school after his 26 years of service, and his reason for this is the old system of educational curriculum that he said hurt children in any way it could while letting them learn. He even compared the school system to the training ground for animals. It was as if he condemned the lack of participation of parents in the formal schooling, and even exaggeratedly labeled the schools as killers of family orientation by stealing golden times of childhood and formative years and teaching children to disrespect their homes and parents. He then understood that he does not want to be a part of the systematic teaching on how to fit into the world as he ironically admitted how he wanted not to live in this world that he described as full of vulgarity, inequality, dependency, and so on and so forth. One example of dependency and inequality or discrimination of education system has been illustrated when he gave the case of Rachel and David. He explained the injustices of the system by demonstrating the usual notion that when the latter learns to read faster than the other, the tendency to depend on the system of the latter is much likely to emerge. On the other side, when the former would be marked as the learning disabled being too slow to read, she might then be categorized as it is all her life. John Gatto recognized the mere fact that the curriculum of education remains unchanged even if reforms kept on placing time after time. He was a self-confessed teacher although he was uncertain that he himself is an educator because he was no longer a believer of a stereotypical routine-like type of teaching. He knew that there are other ways in teaching kids without hurting them badly. He ended his article by placing a friendly appeal to the public of offering him jobs that would not hurt kids just to make a living for himself as he would soon be free to accept new job. As a response to Mr. John Taylor Gatto’s article published on The Wall Street Journal, I want to give him kudos for being true to himself. I do understand his sentiments as he expressed uncertainties of teaching profession that fell outside of his own principles in life. However, it is unclear to me his real intentions of publishing the so-called pre-resignation letter in a much read newspaper. It seems that he has just instantly realized all of these in just a snap. Otherwise, he only have the guts to stood for his own beliefs and takes the opportunity to address his life long sentiments just after 26 years of serving public school as a teacher. For me, the radical adventure of government schooling, as said by Mr. Gatto, would be the best way to teach and discipline kids during their formative years. Parents are born to support and raise their own kids, and there is neither a licensure exam nor school for such. Teaching profession has, which means that teachers are valid to take charge on a step by step formation. Besides these teachers might also be the product of the old education system that Mr. Gatto is trying to denounce. Lastly, and to clarify my own points of view, my belief to the old norm of public schooling is not comparable to my recognition John Taylor Gatto’s life lesson and his more than two decades and a half of being a sincere teacher even if he does not want to be called educator ever again. R E F E R E N C E Gatto, J. T. (1991, July 25). I May Be A Teacher But I am Not An Educator. The Wall Street Journal.

Saturday, October 26, 2019

Computer Hackers :: Personal Narrative Profile Essays

Personal Narrative- Computer Hackers My perception of hackers was crafted long ago, by my brother, a hacker himself. He was involved with all manner of clandestine activites and tied up our phone line for hours. I, of course, never understood what he was involved with, but remember being excited when he broke into an army base, as the military was my passion at the time. I also never understood the constant calls from strange men our family would receive, nor did my parents. Now, my brother claims it was the FBI investigating him. Whether this is true or not, I do not know, but what I have always believed of hackers is that a certain mystique and romance is important to their work. He was excited by the fact that the FBI would be interested in him. Hackers use something as easily accessible as a PC to create great waves in the larger world. Although their tasks are often effective, they are not the most practical breed. Simply the fancy nomenclature they use and their tendency to form hacking groups shows that a full culture has developed. I have always been under the impression that most hackers did not find their calling for functional reasons, but to join a popular youth subculture. That is why I am not surprised that the vast majority were and are young, at least when the culture arose in the eighties. The identity with a formally named group further shows this need to belong. The wit of their stunts and insistence on a personal touch also shows that hacking is an artistic outlet. I was surprised that even in a political movement as developed as the Zapatistas, this facet of hacking remains. The Electronic Disturbance Theater, as their name suggests, view themselves as performance artists. I was also surprised at how the hacking community has evolved since TRS-80s from Radio Shack were the standard. The community has legitimized itself in many ways. I always believed that wreaking havoc was the main priority of hacking groups, and that their romantic fervor for it could not be quelled. Bloodaxe's final letter in Phrack exemplifies how mistaken I was. Not only is he disgusted by the community, but he admits that he and his contemporaries may have grown up. Perhaps, he is implying that many of their stunts were puerile. I also did not expect that hackers would cross the line to aid the corporate and government machines that they once opposed.

Thursday, October 24, 2019

The First Red Scare :: American History

Many historians have examined the post-war Red Scare in 1919-1920, but few have explored the continued influence of the anti-red hysteria throughout the 1920s. This second Red Scare was generally more specific in its victimization, targeting mainly the women's peace movement. This opposition to pacifists grew from a post-war conservatism led by right-wing groups. The documents in this study address the question: What groups attacked the Women's International League for Peace and Freedom, and how did League members respond to the attacks? After World War I many Americans supported a policy of military preparedness, which they hoped would protect the country from any future attack. The National Defense Act of 1920, which originally specified a peacetime army of 280,000 men and a National Guard of 454,000 men, reflected this sentiment.[1] The Women's International League for Peace and Freedom (WILPF) opposed this act. They believed that government policy and spending should be directed towards international arbitration and the promotion of world peace. Their internationalist perspective became the grounds on which nationalist groups denounced the peace movement as an un-American conspiracy of communists, radicals, and socialists. Secretary of War John W. Weeks was the first public figure to initiate the campaign of slander against the women's peace organizations when he began speaking tours around the United States to counteract the WILPF opposition to the National Defense Act. He encouraged other military men to follow his example and many did, including the director of the Chemical Warfare Service, Brigadier General Amos H. Fries. (For more on the Chemical Warfare service and peace activism see another project on this website, Why Did the Women's International League for Peace and Freedom Campaign against Chemical Warfare, 1915-1930?) In response, WILPF began a policy of sending letters to their accusers, refuting each slanderous claim one by one. Document 2 in this project refutes Fries's claim that WILPF members took an oath against any involvement in war. The Woman Patriot took up the "slacker oath" issue in its pages. Other conservative writers like Fred R. Marvin and R. M. Whitney wrote articles for the magazine that falsely claimed connections between the peace movement and the communist movement, ranking individual members on a color code of radicalism.[2] However, these attacks were not viewed as significantly damaging until the famous Spider-web chart appeared in Henry Ford’s newspaper, The Dearborn Independent, in 1924.

Wednesday, October 23, 2019

Ifrs 10 Application to Hyundai and Kia

————————————————- ACCT333 Advanced Financial Accounting ————————————————- Group Project Assignment (IFRS 10) Cheong Wang Shen Gordon Prepared for: Prof Bernardine Low Prepared by: Gordon Cheong Wang Shen Jason Tan Zhu En Twain Teo Wei Ren Wee Huixiang (G4) Table of Contents Question 1: IFRS 10 flowchart3 Question 25 (a) Identifying ambiguity of control5 Background5 Control issues5 Co-owning of subsidiaries5 Inter-company director relations6 Same platform manufacturing6 b) & (c) Application of IFRS 10 flowchart to determine existence of control by Hyundai7 Step 1: Determine the purpose and design of investee (Kia)7 Step 2: Determine relevant activities7 Step 3: Determination of ability to direct relevant activities8 Step 4: Determine if exposed to variable returns9 Step 5: Determine if Hyundai is a principal or an agent10 Question 310 Identification of four requirements in IFRS 10 that are challenging to interpret and apply10 Considering the purpose and design of the investee10 Determining the relative size of voting rights11Considering related parties12 Determining if investor is a principal or agent12 References14 Question 1: IFRS 10 flowchart Question 2 (a) Identifying ambiguity of control Background The Hyundai Motor Company (hereafter referred to as Hyundai) is a multinational automaker based in Seoul, South Korea. Hyundai is one of the two best-known divisions of the global conglomerate Hyundai, the other being Hyundai Heavy Industries, the largest shipbuilder globally. A famous Korean businessman, Chung Ju-yung, founded Hyundai in 1974.Following the Asian Financial Crisis in 1997, Hyundai bought over Kia Motors Corporation (hereafter referred to as Kia) in 1998, which resulted in the formation of the Hyundai Kia Automotive Group (HKAG) . It consists of multiple affiliated companies related through complex shareholding agreements, although Hyundai is taken to be the de facto representative in transactions done with HKAG. During the acquisition of Kia in 1998, Hyundai out-bidded Ford motors to acquire 51% of the company’s shareholding. After a series of divestments over the years, the total ownership of Hyundai in Kia has been reduced to only 33. 5%. Hyundai and Kia are both listed individually on the Korean Stock Exchange. In 2008, Hyundai was ranked the 8th largest automaker in the world. It was also the fastest growing automaker globally for 2 consecutive years (2010 and 2011). The chairman and CEO of Hyundai is Chung Mong-koo, one of the surviving sons of Chung Ju-yung. Control issues Hyundai currently has a 33. 75% direct shareholding in Kia, with the remaining shareholdings being presumably widely dispersed. As such, it evidently has significant influence over the operations and running of Kia’s business.However, establishing direct control between Hyundai and Kia is not as straightforward. There are a number of issues that we have to look at. Co-owning of subsidiaries Hyundai and Kia co-own a large number of subsidiaries. As evidenced by the 2010 consolidated financials of Hyundai, the global branches of the Kia Motors Group are 100% held by Hyundai through Kia themselves. Both companies also have percentage ownership in Hyundai’s various component manufacturing companies like Hyundai HYSCO Company Limited and Hyundai Powertech Company Limited.Aside from this, they also have holdings in Autoever Systems Corporation, where their main Research and Development unit is located. Inter-company director relations The current Chairman and CEO of HMC is Chung Mong-koo. He took over Hyundai in 1992 when the Hyundai Group split into its various divisions. The Hyundai group itself follows a South Korean Business form of conglomerate known as chaebol, where the unique characteri stic is that it is usually a huge family controlled corporate group.As such, it is not surprising to see that many of the third generation members of Chung Ju-yung’s family are heading many of the different divisions of the Hyundai Group. Chung Mong-koo’s only son, Chung Eui-sun was a key operating officer in various corporate planning divisions in Hyundai-Kia before eventually heading Kia as its president from 2005 to 2009. Currently, he is the vice chairman of Hyundai and is on the internal board of directors for Kia. Aside from this, Chung Mong-koo also has a 5% shareholding in Kia. Same platform manufacturingBoth Hyundai and Kia co-own manufacturing subsidiaries that produce component parts to both companies. As a result, their production facilities get the similar component parts from the same suppliers. The companies also use the same power trains (engines and transmissions) all manufactured largely from the Hyundai Powertech Company Limited. A majority of the au tomobile electronic components from both brands also come from Hyundai MOBIS Limited. Both these companies are co-owned subsidiaries of Hyundai and Kia. Both Hyundai and Kia also share design studios.In fact, the vice president of design based in HMC actually oversees the design management of both brands. The family controlled heading of both Hyundai and Kia allows us to consider the possibility of Hyundai having a controlling influence over Kia, especially with Chung Eui-sun’s dual positions on both companies’ board of directors. Furthermore, given the fact that both companies virtually sprout from the same supply chain, and control over their research and development and design of the vehicles are headed by staff based in Hyundai, we can see hat these revenue generating activities greatly affect the business operations of both companies. Even though Kia is clearly not a subsidiary at first glance, given the meagre 33. 75% ownership by Hyundai, it would appear that Hy undai may be exerting more than just significant influence over Kia through the various factors mentioned. (b) & (c) Application of IFRS 10 flowchart to determine existence of control by Hyundai Step 1: Determine the purpose and design of investee (Kia) Hyundai purchased shares in Kia for 1. 18 trillion won in November 1998.The purpose of this acquisition in Kia is for Hyundai to gain significant foothold and widen its market share in the auto industry. By taking over Kia Motor, the Hyundai-Kia group was able to forge a solid position having over 70% of domestic market share and become the 7th or 8th global automaker by combining its affiliates’ production capacity into the total volume of 2. 9 million units in 1999. Step 2: Determine relevant activities Activities| Does it significantly affect investees’ returns –> relevant activities? | Example of decisions about relevant activities| How decisions about relevant activities are made? Research and development| Y es| Reduce the number of platforms to 718 by the end of 2005, in order to save the costs of product development and manufacturing and produce a variety of car models having differing external styling and interior options for the brands of Hyundai and Kia| Decisions are made by a joint R&D Division led by the Chief Technology Officer (for Hyundai and Kia combined)| Auto-assembly| Yes| Which type of vehicle that each plant should produce? Whether Hyundai and Kia should share power-train parts (i. e. engine and transmission) to be supplied to assembly plantsWhether Hyundai and Kia should share production technology| Decisions are made by top management of the Hyundai-Kia group, where the de facto representative is Hyundai| Auto parts supply| Yes| Which vendor should supply auto parts to the companies? How many vendors should they engage? | Decisions are made by Joint Material Handling Division that Hyundai and Kia set up| Marketing and competition| Yes| Whether to focus on price or non price competition such as customer service and product quality| Decisions are made by top management of the Hyundai-Kia group|Step 3: Determination of ability to direct relevant activities Hyundai owns 33. 75% of the shares in Kia Motors. In addition, Chung Eui-sun, the son of the Hyundai Motor Group Chairman, owns another 1. 73% of the shares. This presumably gives Hyundai control of 35. 48% of Kia Motors, which is significantly less than the 50% shareholding that would give Hyundai the majority of the voting rights. However, we are unable to find any evidence that anyone has control of a large proportion of the remaining shares, and thus we feel that the assumption that the rest of the shares in Kia are highly dispersed is a reasonable one.If that is the case, then it is almost impossible that all these shareholders will collectively outvote Hyundai when a decision needs to be made, so Hyundai can be said to have power over the relevant activities. Another factor to consider is t hat Mr Chung is both the vice chairman of Hyundai and an internal director of Kia. As Mr Chung sits on Kia’s board, he should have a certain amount of influence over Kia’s decision-making process. This factor, coupled with Hyundai’s holding of voting rights, lend much weight to the claim that Hyundai can direct the relevant activities.Last but not least, we notice from the table above that the Hyundai and Kia managements jointly make most decisions regarding relevant activities. In fact, Hyundai and Kia share almost the same supply chain. Many companies in the supply chain are subsidiaries or associates co-owned by these two parents. However, because Hyundai owns a larger portion of shares, and hence voting rights, in most of these entities, Kia is understandably at risk if it goes all out to oppose Hyundai in some way or another.It can be seen that when decisions are made, Hyundai is better represented because of both the presence of its management and its voti ng rights, and Kia would tend to concede ground to Hyundai when there are disagreements. So, even though Hyundai owns less than 50% of the shareholding in Kia, they probably still have enough power to direct the relevant activities. Step 4: Determine if exposed to variable returns If Hyundai has actual control of Kia, they will be exposed to returns, which can be positive, negative or both.Also these returns must be variable rather than fixed. The returns that Hyundai is exposed to can be classified into two categories: 1) Returns not available to other interest holders. This refers to cost savings and synergies that arise from Hyundai owning Kia, which other shareholders in Kia would not be entitled to. In this case, they are mostly in the form of cost savings, due to the similar operations of the two companies. Consolidation of R&D centres of Hyundai and Kia, sharing of R&D centres allowed both companies to lower costs by reducing number of employees in the R&D centres * Products share similar core platforms leads to savings and economies of scale * Sharing of factories leads to further specialisation, for example, Kia’s Kwangju plant was designated as a specialised assembly plant for small-sized commercial vehicles for both Hyundai and Kia, leading to cost reduction * Sharing auto-part suppliers to apply greater pressure on suppliers for cost savings on supplies 2) Dividends Kia paid out 96 billion won in dividends in 2010 * Hyundai’s ownership of common stock entitles them to receive dividends from Kia. Thus, it can be seen that Hyundai meets all our requirements that would allow it to classify Kia as a subsidiary. Our last step would be to ensure that Hyundai is acting in the capacity of a principal, rather than that of an agent, which is holding delegated power. Step 5: Determine if Hyundai is a principal or an agentIn determining whether Hyundai is acting as a principal or an agent, we need to consider four factors: 1) Scope of decision ma king authority * Unable to find information proving that Hyundai has any limits to the decisions it can make for Kia * Presumably, Hyundai can make most decisions for Kia 2) Rights held by other parties * No evidence of rights held by other parties 3) Exposure to variability of returns from investees * High cost savings due to economies of scale Many of Hyundai’s subsidiaries depend on Kia for revenue * Affected by dividends paid out by Kia 4) Remuneration * Almost solely dependent on dividends, which are highly variable * No actual fixed remuneration In consideration of all the four factors, Hyundai is most likely a principal and not an agent. Hence we can reasonably conclude, after thorough application of the framework, that Kia is a subsidiary of Hyundai. Question 3Identification of four requirements in IFRS 10 that are challenging to interpret and apply Considering the purpose and design of the investee Paragraph B5 of IFRS 10 explains that â€Å"when assessing control o f an investee, an investor shall consider the purpose and design of the investee in order to identify the relevant activities, how decisions about the relevant activities are made, who has the current ability to direct those activities and who receives returns from those activities†.Paragraphs B51-B53 then goes on to explain the factors to be considered when determining the purpose and design of the investee. However, IFRS 10 does not explain how the purpose and design of the investee can be used to â€Å"identify the relevant activities, how decisions about the relevant activities are made, who has the current ability to direct those activities and who receives returns from those activities†, which paragraph B5 suggested. A simplistic scenario is given in paragraph B6, whereby the investee is controlled by means of equity investments.Beyond this straightforward case, paragraph B7 directs readers back to the factors listed in B3 to determine control (relevant activities , ability to direct relevant activities, variable returns and ability to use power over investee to affect returns). Furthermore, the factors provided in paragraphs B51-B53 are hard to determine and require much professional judgment. For instance, paragraph B51 states that in the process of assessing the purpose and design, we â€Å"evaluate whether the transaction terms and features of the involvement (at investee’s inception) provide the investor with rights that are sufficient to give it power†.No conclusive elaboration is provided by IFRS 10, and it is uncertain whether being involved in the investee’s inception signifies control. This creates much ambiguity and inconsistent interpretation across firms. Rather than making it seem like an isolated step with little purpose, IFRS 10 should provide clearer guidance for the objective of determining the purpose and design of the investee. Clearer linkages, between the consideration of purpose and design of invest ee and the other factors to be considered when determining control, could also be provided to improve the flow of IFRS 10.Furthermore, more comprehensive and conclusive guidelines could be included to standardise the interpretation of the purpose and design of the investee. Determining the relative size of voting rights According to paragraph B42, an investor can consider the size of its holding of voting rights relative to the size and dispersion of other holdings of the other vote holders to determine whether its rights are sufficient to give it power. However, because relativity encompasses the use of personal judgement, this section may be open to manipulation.In Hyundai’s case, it holds around 35% of the voting rights, including those held by its vice chairman, Chung Eui-sun. If the rest of the voting rights are very widely dispersed, with nobody else holding more than 1%, Hyundai can say that it has control because it is very improbable that all the other parties will c ome together to collectively outvote Hyundai. On the other hand, Hyundai can also claim that there is still a possibility that the other shareholders will collectively vote against Hyundai if it introduces a policy that does not benefit them, so in that case, Hyundai does not have control.We notice that the voting structure remains the same, yet different interpretations can be derived. Paragraph B42 also says that other circumstances, such as voting patterns at previous shareholders’ meetings, can be considered, but it is hard to say if the historical patterns are able to predict the future. Shareholders might not have voted in previous meetings because there were no major decisions that affected them, but if Hyundai intends to propose something revolutionary, the voting situation will definitely change.IFRS 10 can provide more detailed guidance to ensure that this section is applied appropriately and consistently. For example, when determining how widely dispersed the rest of the voting rights are, an investor should consider only the next 10 largest shareholders. If their combined holding is larger than that of the investor, then the investor does not have control based on this requirement alone. When assessing previous voting patterns, the investor should only look at shareholders’ meetings where issues of similar impact were raised.If previous meetings did not encompass such issues, then the voting patterns for those meetings cannot be considered. Considering related parties Paragraph B18 states that an investor can consider whether the investee’s key management personnel are related parties of the investor when determining if the investor has the practical ability to direct relevant activities unilaterally. However, it does not specify how much influence the related parties must have over the investee, so this may not always be a good indicator of power.For example, Hyundai’s vice chairman, Chung Eui-sun, is also on Kiaâ€℠¢s internal board of directors. According to paragraph B18, this should provide evidence that Hyundai has power over Kia. But in order to determine whether Hyundai can direct relevant activities through Chung Eui-sun, we must also consider the amount of influence that he has over Kia’s decision-making process. Kia has 9 directors on its board, of whom two are also presidents in the company, so Chung Eui-sun may not always have his way. If the investor does not take this into consideration, then the determination of control would be flawed.In that sense, this requirement would be more complete if guidance on the influence commanded by related parties was given. Instead of only determining whether there are related parties in the investee’s governing bodies, the investor should also take into account the role and power of the related parties. If the related parties have the final say when it comes to decision-making over relevant activities, then this factor can conclusi vely determine that the investor has power. But if the related parties do not have the final say, then only a minimal weight should be placed on this factor.Determining if investor is a principal or agent Being able to determine if the investor is a principal or an agent is crucial to determining whether the investor has control over the investee. A principal would have power over the investee, but an agent would only have delegated power. Delegated power is held on behalf of a third party who ultimately controls the investee. The method prescribed in IFRS 10 for determining if a decision maker is an agent is the consideration of the factors listed in paragraph B60.Upon further elaboration of the factors, IFRS 10 provides certain cases where the investee is definitely a principal or an agent. For example, paragraph B70 states that â€Å"a decision maker cannot be an agent unless the conditions set out in paragraph B69 (a) and (b) are present. † However, if none of these extre me conditions are met, we must assume that we would have to take all five conditions into account when trying to decide if the investor is an agent. However, there is no prescription in IFRS 10 about how to consider these conditions.In a situation where some of the conditions point towards the investor being an agent and some point towards them being a principal, there is a certain amount of ambiguity in whether the investor should be classified as a principal or an agent. This gives the company some leeway in choosing the decision that would reflect a better financial position of the firm. This could lead to reduced accuracy of financial statements and less comparability among financial statements of different companies.To make this requirement easier to interpret and apply, IFRS 10 should clearly state the relative importance of each factor. For example, the factors which are given a higher relative importance would have a higher influence on whether the company is a principal or an agent, as compared to those with a lower importance. As such, in ambiguous cases, companies will know which factors should be considered first. Given this, all companies will have more similar definitions of principal/agent, thereby reducing the ambiguity and increasing comparability among different financial statements.References 1) Hyundai 2010 Annual Report http://worldwide. hyundai. com/company-overview/investor-relations/financial-information-Annual-Report-view. aspx? idx=13&&nCurPage=1&ListNum=11 2) Kia 2010 Annual Report http://www. kmcir. com/eng/library/annual. asp 3) Merger and Reconfiguring of Hyundai-Kia (Byoung-Hoon Lee, Sung Jae Cho) http://gerpisa. org/rencontre/9. rencontre/S13Lee-Cho. pdf 4) HYUNDAI MOTORS’ DE-CHAEBOLIZATION EFFECTS (Hyunjoong Jun) http://gerpisa. org/rencontre/9. rencontre/S13Jun. pdf