Friday, December 27, 2019

Nicaragua case Free Essay Example, 1250 words

First and most straightforward, was Nicaraguas allegation that the United States had placed anti-shipping mines in the maritime approaches to Nicaragua and the harbors of Nicaragua. The facts in the case were relatively straightforward. Between January and April, 1984 the United States directly and through proxies mined harbors on both coasts of Nicaragua. A top secret memo written by Colonel Oliver North and Constantine Menges, both involved in the operation, detailed the mining operations and their objectives: On the night of February 29, [U. S. NAVY SEALS] emplaced four magnetic mines in the harbor at Corinto, Nicaragua. ... ARDEs "Barracuda Commandos" took credit for the operation. ... Our intention is to severely disrupt the flow of shipping essential to Nicaraguan trade during the peak export period. [ CENSORED ] In this case, our objective is to further impair the already critical fuel capacity in Nicaragua. (North and Menges, 1984) The United States Congress became aware of American involvement in this operation and condemned it. The facts of this part of Nicaragua are straightforward and simple, U.S. documents confirm that the U. S. Participated in the placement of explosive anti-shipping mines with Nicaraguas twelve mile maritime limit and in Nicaraguan harbors. Therefore it is not surprising that the World Court ruled in favor of Nicaragua by a majority of twelve to three: By laying mines in the internal or territorial waters of the Republic of Nicaragua during the first months of 1984, the United States of America has acted, against the Republic of Nicaragua, in breach of its obligations under customary international law not to use force against another State, not to intervene in its affairs, not to violate its sovereignty and not to interrupt peaceful maritime commerce. (International Court of Justice. We will write a custom essay sample on Nicaragua case or any topic specifically for you Only $17.96 $11.86/pageorder now (July 1986). CASE CONCERNING THE MILITARY AND PARAMILITARY ACTIVITIES IN AND AGAINST NICARAGUA (NICARAGUA v. UNITED STATES OF AMERICA). http: //www. icj-cij. org/docket/index. php? sum=367&code=nus&p1=3&p2=3&case=70&k=66&p3=5.) The second part of the Nicaraguan case was sightly more complicated. It alleged that the United States, directly and indirectly, supported the military activities of the mercenaries and paramilitary forces that were actively attempting to overthrow the Sandinista government of the FSLN in Nicaragua. However, before the World Court ruled in 1986 reports of the links between the Contras and the United Sates were appearing in the American media.

Thursday, December 19, 2019

The Crucible By Arthur Miller - 1024 Words

Charlenny Perez Pena The Crucible Essay The Crucible by Arthur Miller takes place in Salem, Massachusetts in 1692. It all started when Reverend Parris discovers a group of girls dancing in the woods. After he found the girls in the wood, his daughter Betty fall ill. Since Betty wouldn’t wake up, people become paranoid and started believing that witchcraft was real. Fake accusations were made and innocent people kept dying. In The Crucible there are many people to blame for all for everything that occurred, characters such a Abigail Williams, Reverend Hale, and Reverend Parris. Abigail Williams is to blame because she accused everyone else just to protect herself. Reverend Hale is also blame because he was the one who got people to think that witchcraft was real. Lastly Reverend Parris is to blame because he was just worried about himself and his reputation in Salem. Abigail William is the biggest villain in the play tried to kill Elizabeth who was John’s wife. Also because she kept lying an d getting many people kill. Abigail tried to kill John’s wife by drinking blood to get John Proctor. In Act 1, page 13 it state, â€Å"BETTY – You drank blood, Abby! You didn’t tell him that!... ABIGAIL- Betty you never say that again! You will never-†¦ BETTY- You did, you did! You drank a charm to kill John Proctor’s wife! You drank a charm to kill Goody Proctor!... ABIGAIL, Smashes her across the face: Shut it! Now shut it!† When BettyShow MoreRelatedThe Crucible By Arthur Miller1269 Words   |  6 PagesAt first glance, the playwright Arthur Miller in The Crucible highlights the historical significance of the Salem Witch Trials of 1692, but in fact it is an allegorical expression of his perception of McCarthyism. If the reader has some background information on Arthur Miller’s victimization as a communist, it is evident that the play is a didactic vessel illustrating the flaws of the court system in the 1950’s. The communist allegations were launched at government employees, entertainers and writersRead MoreThe Crucible By Arthur Miller1681 Words   |  7 Pagesof their way to the last dying breath to make sure they leave with a good or bad reputation. In one of the recent literature study in class â€Å"The Crucible† by Arthur Miller, Miller uses characterization to illustrate reputation throughout the play. â€Å"The Crucible† takes place in Salem, Massachusetts. It is based upon the Salem witch trails. In â€Å"The Crucible†, we journey through the life of three characters who reputations plays a major role in the play. The three characters are John Proctor, AbigailRead MoreThe Crucible By Arthur Miller1333 Words   |  6 PagesAs the various characters in The Crucible by Arthur Miller interact, the dominant theme of the consequences of women’s nonconformity begins to slide out from behind the curtains of the play. Such a theme reveals the gripping fear that inundated t he Puritans during the seventeenth century. This fear led to the famous witch-hunts that primarily terrorized women who deviated from the Puritan vision of absolute obedience and orthodoxy. Arthur Miller presents his interpretation of the suffering by subtlyRead MoreThe Crucible By Arthur Miller998 Words   |  4 Pagesmotivated by jealousy and spite. The Crucible is a four-act dramatic play production that was first performed on January 22, 1953. Arthur Miller used dialogue within the characters to cover the multiple themes; conflicts and resolutions, plus the few directions for the different actions of the play. The Salem Witch Trials were intended to be performed as the play however, when read, it can be more carefully examined and broken down to analyze the techniques. Miller, the playwright, uses literaryRead MoreThe Crucible By Arthur Miller1145 Words   |  5 PagesUnbalance Through The Centuries In Arthur Miller’s play, The Crucible, the author reflects the persecution of communists in America in the 1950’s through a recount of the Salem witch trials. It is often presumed that Miller based his drama directly off of events that were particularly prevalent in the years surrounding the publication of The Crucible- which was released in the year 1953, towards the conclusion of the Korean War. Although there was not a literal witch hunt occurring during this timeRead MoreThe Crucible By Arthur Miller1063 Words   |  5 PagesIn the English dictionary, there are three definitions of the word crucible. One is a metal container in which metals are mixed and melted. Another is a severe test. But the third definition, and the one that I think fits the best for this book, is a place or situation in which different elements interact to create something new. In my mind, this fits because all of the characters had their little grudges and dirty secrets. But when all th ose seemingly little things interact, they formed somethingRead MoreThe Crucible By Arthur Miller1285 Words   |  6 Pages Rationale, Morality, Stereotypes, Pressure, Self-Censorship, Unanimity, and Mindguards. Groupthink has also taken place in our history a a country. The play, The Crucible by Arthur Miller is about a the real-life Salem Witch Trials that happened in 1692 - 1693, in Salem, Massachusetts. Some symptoms of Groupthink found in the Crucible are Rationale, Pressure, and Self-Censorship. The Groupthink symptom, Rationale, is described as when victims of Groupthink ignore warnings: they also collectivelyRead MoreThe Crucible By Arthur Miller811 Words   |  4 Pages While The Crucible, by Arthur Miller, is only a four act play, it still resembles the format of a five act play. The five-act structure evolved from a three-act structure, which was made famous by Roman Aelius Donatus. Donatus came up with three types of plays: Protasis, Epitasis, and Catastrophe. The five-act structure helped to expand the three act structure, mainly made famous by Shakespeare through his many tragedies. Even though The Crucible contains only four acts, it still has the commonRead MoreThe Crucible By Arthur Miller1052 Words   |  5 PagesBuddy Al-Aydi Ms.Healy English 9 CP 14th October 2014 The Crucible Essay The Crucible was a novel written by Arthur Miller in the 1950’s. It was written in a format of the play, portraying an allegory of the Salem Witch-Hunts led by Senator Joseph McCarthy. The book is known to have a inexplicable plot. This plot is advanced by multiple characters in the book in order to ensure that the reader maintains interest with the material that is being read. The farmer, John Proctor, would be theRead MoreThe Crucible By Arthur Miller841 Words   |  4 PagesThe Crucible is a chaotic play, throughout this American classic Arthur Miller takes the reader through multiple events of terror and insanity. While creating a great on-stage play, Arthur Miller portrays his life through the events, the characters, and plot of The Crucible. Using vivid imagery and comprehensible symbolism, Miller manipulates the real personalities of the characters and events in 1600 Salem, Massachusetts to create a symbolic autobiography. Throughout this play, the reader experie nces

Wednesday, December 11, 2019

Cabin Crews in Singapore Airlines Ltd ROles & Responsibilities

Question: Evaluate the role of Cabin Crews in Singapore Airlines Limited. Answer: Introduction The following assignment evaluates the role of Cabin Crews in Singapore Airlines Limited The Singapore Airlines Limited is based in Singapore and is operates through Singapore Changi Airport. The Singapore Airlines Limited has many airline subsidiaries: Klingner et al.(2015) mentioned that the SIA Engineering Company is a part of the that deals in the repair and the maintenance of airlines. The brand operates around nine countries and has a portfolio of around 27 joint ventures. That includes the Boeing as well as the Rolls Royce. Besides this, the Singapore Airlines Cargo manages the SIAs fleet and evaluates the cargo hold capacity in SIA passenger aircraft. The Singapore Airlines manages three airline subsidiaries. These include the Silkair that deals in regional flights in the domestic market. The brand has been a major airliner and has been operating many flights in the domestic as well as international destinations. According to Naff et al. (2013), the brand also operates the Scoot and the Tigerair deals in the low-cost carrier sector. The Singapore Airlines remains the initial developer for Airbus A380, which is the world biggest passenger Aircraft. Role Analysis The Cabin crew is an essential part of the Singapore Airlines. It relates to the overall management of the passengers in the aircraft. It primary deals in offering excellent customer service to the passengers in the aircraft. Dent and Whitehead (2013) mentioned that the Singapore airlines offers specific training to the passengers in the aircraft that deals in the security of the passengers. In this regard, it can be said that the brand has been able to offer total customer satisfaction to the passengers. In addition, the passengers are offered a demonstration of the safety procedures and the equipments available in the case of an emergency. The following are the responsibilities of cabin crew personnel in Singapore Airlines Limited. All cabin crew personnels has to attend a pre-flight briefing. In this period, all the cabin crew personnels are allocated responsibilities as per their job role. Besides this, Harvey and Allard (2015) noted that the cabin crew is informed about the details of the flight. Any specific needs of the passengers are also stated. Passengers with adverse medical conditions as well as disabilities are evaluated and specific instructions are given for their growth. The cabin crew also evaluates the condition of the aircraft. Armstrong (2014) stated that the amount of food supply present in the Aircraft as well as the allocating of passengers in the aircraft. The primary responsibility of the cabin crew remains the well being of the passengers. As such Nica (2013) noted that guiding passengers to their seats and answering their queries and doubts remain essential. The cabin crew has to ensure that updated details are provided to the passengers about the flight. Attending every specific need of the passengers is a pertinent responsibility of the passengers. The cabin crew have the ability to offer basic medical aids to the passengers in the aircraft in the case of any emergency. The cabin crew has also the responsibility to ensure that the passengers disembark safely after the flight journey ends. Role Design The role of cabin crew in the case of Singapore Airlines Limited is structured as per the following stages Efficiency Brewer and Kellough (2016) mentioned that Singapore Airlines have developed pertinent human resource policies in developing the efficiency of the employees. Thus, employee performance is done on a daily basis to find out the discrepancies in employee performance. It is expected that this would assist the employees to enhance their potential. Besides this, Singapore Airlines have implemented training schemes so that the cabin crews have increased their expertise. Motivation Various financial and non-financial incentives are offered to the cabin crews to maintain their level of motivation in the business enterprise. Savaneviciene and Stankeviciute, (2013) mentioned that Singapore Airline have been been particular in maintaining a stable work environment for the individual growth of the employee. Gordon and Price (2015) stated that the brand offers a level of job satisfaction to the employees that is unmatched by the rival brands in the market. The cabin crews are solely measured based on their performance and no other factors are considered in assessing the performance of the employees. Safety and health Armstrong and Taylor (2014) mentioned that transparent human resource policies are established to maintain the well-being of the employees. Employee safety and health are the prime considerations for Singapore Airlines. In this regard, it can be said that a safe work environment is maintained to assist the Cabin Crew in executing their job roles in an effective manner. According to Spillane (2013), in maintaining the safety and the security of the employees, the implementation of effective training schemes remains the most essential. This the operational policies of the employees have implemented flying operational policies which ensures that the total safety and the security of the employees. As such, it has created considerable goodwill and market reputation for the growth of the organization. Brewer and Kellough (2016) stated that stringent procedures have been implemented so that the safety and the health of the employees is not compromised under any circumsta nces. Mental Capacity - The cabin crews in the organization have the attitude to serve the customers of the organization. The passengers are the primary concerns of the cabin crew, and therefore have the ability to ensure the well being of the passengers under all circumstances. According to Gordon and Price (2015), the mental capacity of the cabin crew encompasses all the constituents that would enable the organization to create a positive perception on the customers. The capacity to adjust to threats to the external circumstances has been a positive part of the psychological aspects of a business enterprise. Recruitment Strategies The cabin crew is recruited through a stringent selection procedure. As such, it can be said that the personnels have to meet the physical requirements that would assist the management of the business enterprise to execute their job in an effective manner. Besides this Chen and Chen (2014) noted that excellent communication is a pre-requisite for the job of a Cabin Crew. Therefore, it remains important that cabin crews are able to communicate well to the passengers. The recruitment strategies have been an essential part of the operational policies of the Singapore Airlines. In order to make the recruitment strategies effective, the brand has the recruitment policies have to spread over a period of time to select the best candidates available for a pool of candidate. Reputed professional institutes have been approached to select the best professional candidates to aid the organization in its growth. Chen and Chen (2012) mentioned that The brand has made pertinent strategies so that the candidates have to be presentable. Developing an effective relationship with the passengers is one of the primary responsibilities of the customers. The cabin crew has the responsibility to create a positive perception on the passengers. The behavior of the cabin crew reflects the brand image of Singapore Airelines (Armstrong Taylor, 2014). Thus, the brand have chosen candidates who can adhere to the strict guidelines and the policies predetermined by the business enterprise. Apart from this, the candidates are chosen who can uphold the brand reputation and the goodwill of the brand in the long run. Zhu and Ma (2015) mentioned that In the case of recruitment programs, the brand has implemented a training program to assist the candidates to get acquainted with every aspect of the flying operations. These include- product knowledge, service procedures as well as passenger handling. Besides this, it includes passenger handling, the department, and the grooming procedures. Brewer Kellough (2016) mentioned that the recruitment strategies have been effective in selecting the best candidates in offering excellent customer services to the customer. Innovation, team player as well as effective in dealing with crisis are the essentials characteristics of the cabin crew in Singapore Airlines. Selection Strategies In the case of Singapore Airlines, the brand has created recruitment strategies that have been of help to select the best available candidates from the wide pool of talent. According to Spillane (2013), the selection process comes after the recruitment process and has been helpful to the business enterprise in implementing a stringent recruitment procedure for the production procedure. The selection process has been helpful in narrowing the list of candidates based on physical requirements, qualification and age. The selection processes have assisted the business organization to conform to a set of regulations and guidelines to make the selection procedure more effective. The selection process consists of the following stages: Preliminary interview - The preliminary interview refers to interviewing those candidates who have attained the eligibility z criteria established by the business organization. In the interview session the skills and the competencies of the employee is judged as per the needs of the employers. This is an informal interaction by the employers with the employees and is used to assess the potential of the employees as per the needs of the business organization. Application blank - The candidates who have cleared the primary interview have to state the application blank in order, which shall consist all the necessary details like qualifications, bank details and the experience of the employees. In this regard, it can be stated that the application bank has been essential for the brand to have a detailed record of the employees in the organization. This has been essential for the organization in doing the background checks for the organization. Written Tests - In the pursuit of the selection of the cabin crew various written and communication tests were conducted to aid the business organization in the selection of the candidates. In this regard, these tests have been of help to the business organization in choosing the right candidate that would offer effective cabin crew services to the Employment Interview - Employment interviews are the final stage in the recruitment process. This interview judges the candidate on all the aspects, which include skill, aptitude and ability to adjusting to vulnerable circumstances (Bergman 2015). In this regard, the mental attitude to serve the passengers and excellent communication skills are the primary constituents of a cabin crew services. Medical examination - The medical tests are an core part of the recruitment process. In the job of a cabin crew services, it is essential that the person is medically fit and have no major illness. Besides this, having good eyesight is also necessary in executing the job in an effective manner. Appointment Letter- The final part of the selection process is issuing an appointment letter to the candidate. It is necessary that the appointment letter contains all the terms and conditions. The service contract shall also mention the tenure of the recruitment process and the methods through which the service can be terminated. The selection strategies have been implemented in Singapore Airlines keeping in mind the long-term goals and objectives of the business organization. According to Furuta et al. (2014), this has been an effective part in facilitating the growth of the business organization in the domestic and the international market. Conclusion It can be stated that Singapore Airlines Limited has been following a stringent recruitment procedure. The brand has been implementing an effective recruitment and selection process. This has assisted the brand in selecting the right candidate, which can deliver for the organization over a period. The primary concern of a cabin crew has been the well-being of the passengers. The cabin crew has been offering details about the air-flight to the passengers. In addition, these personnels are well trained to handle emergencies and crises. Thus, in the case of Singapore Airline the cabin crews have been playing are a core part in developing positive consumer perception and ensuring organizational sustainability. Employee performance is monitored over regular intervals of time to rectify the discrepancies. In addition, training schemes are implemented to offer effective customer services to the employees. The Cabin crews are offered with financial and non-financial incentives to maintain the motivation levels of the employees. A healthy work environment is offered to the employees to ensure safety and security of the employees. References Armstrong, M., Taylor, S. (2014). Armstrong's handbook of human resource management practice. Kogan Page Publishers. Armstrong, P. (2014). Limits and possibilities for HRM in an age of management accountancy. New Perspectives On Human Resource Management op. cit. at, 154-166. Bergman, A. (2015). The Cabin Crew Blues: Middle-aged Cabin Attendants and Their Working Conditions. Nordic Journal of Working Life Studies, 5(4), 23. Brewer, G. A., Kellough, J. E. (2016). Administrative Values and Public Personnel Management Reflections on Civil Service Reform. Public Personnel Management, 45(2), 171-189. Chen, C. F., Chen, S. C. (2012). Burnout and work engagement among cabin crew: Antecedents and consequences. The International Journal of Aviation Psychology, 22(1), 41-58. Chen, C. F., Chen, S. C. (2014). Investigating the effects of job demands and job resources on cabin crew safety behaviors. Tourism Management, 41, 45-52. Dent, M., Whitehead, S. (Eds.). (2013). Managing professional identities: Knowledge, performativities and the'new'professional (Vol. 19). Routledge. Furuta, K., Okano, K., Kanno, T., Mori, T., Shimizu, S. (2014). An incident reporting support system for airline cabin crew. Safety and Reliability: Methodology and Applications, 3. Gordon, T. M., Price, B. E. (2015). PRIVATIZED PRISONS AND UNIONS: PERSONNEL MANAGEMENT IMPLICATIONS. Public Personnel Management, 186. Harvey, C. P., Allard, M. (2015). Understanding and managing diversity. Pearson. Klingner, D., Nalbandian, J., Llorens, J. J. (2015). Public personnel management. Routledge. Naff, K. C., Riccucci, N. M., Freyss, S. F. (2013). Personnel management in government: Politics and process. CRC Press. Nica, E. (2013). Organizational culture in the public sector. Economics, Management and Financial Markets, 8(2), 179. Savaneviciene, A., Stankeviciute, Z. (2013). Relabelling or new Approach: theoretical insights regarding Personnel Management and Human Resource Management. Engineering Economics, 24(3), 234-243. Spillane, J. P. (2013). Challenges and strategies for confined site construction: the case of personnel, plant and material management (PPMM)(Doctoral dissertation, Queen's University Belfast). Zhu, S. X., Ma, W. L. (2015). Cockpit/cabin Crew Communication: Problems and Countermeasures. In International Conference on Education, Management, Commerce and Society (EMCS15).

Wednesday, December 4, 2019

The Kings Speech Movie Review

The film, The King’s Speech (Hooper) is a story filled with intricate anti-stereotypic images and paradigm shifts within a larger plot of the British royal family. It is set in the period when Britain went to war with Germany. Albert, the Duke of York, who will later inherit the throne as King George VI, has a speech defect. He stammers and has fruitlessly visited every known professional speech therapist.Advertising We will write a custom essay sample on The King’s Speech specifically for you for only $16.05 $11/page Learn More To make matters worse, his rise to the throne demands that he makes public speeches which will be broadcast all over the British Empire and its many colonies. Albert’s wife, Elizabeth, visits a quite unorthodox speech therapist in an attempt to help her husband. Lionel Logue is a failed actor who is also an expert in speech therapy using various psychoanalysis methods. The film revolves around the professiona l relationship between Logue and his patient, Albert. The professionalism, however, is short-lived as a close friendship develops between the two men. Unlike Albert’s previous doctors and therapists, Logue’s methods are quite unorthodox. He doesn’t regard Albert’s speech impediment as a medical problem that can be solved by legalistic procedures and breath exercises. Instead, he views the problem as being much deeper than a mechanical speech impediment. In the patient-therapist interactions, Albert is forced to open up about his life, his childhood and his fears. At first, Logue’s methods seem quite irrelevant to the problem at hand. However, in overcoming his internal fears, Albert is slowly able to overcome some of his speech impediments, albeit with a lot of effort. The movie presents many counter-stereotypical images in this relationship between a failed actor from Australia and the King of England. Albert inherits the throne after his elder br other, Edward, who gives it up so that he can marry the woman he loves. It is ironical how Lionel Logue seems to have all the tricks to help the King overcome his fears and present a flawless speech. On the other hand, Logue’s many failed attempts in acting auditions seem paradoxical to his theatrical approaches in his healing methods. Logue, a common man who is expected to be fearful, submissive and non-opinionated before his majesty, displays the exact opposite of these attributes. On the other hand, Albert, who is a king and is supposed to exude confidence, charisma and a sense of authority, is the one who comes out as timid, fearful, with low self-esteem and an inability to explore his own individuality. Such counter-stereotypical images and scene characterize the whole plot of the movie. These features thus make the movie a timeless creation for presenting social issues. Although set in a particular political period, the historical context is not as important as the soci al values lessons being expressed.Advertising Looking for essay on art and design? Let's see if we can help you! Get your first paper with 15% OFF Learn More In conclusion, The King’s Speech is an excellent movie that goes against the common trends of most movies. Instead of being the typical game-changing film, it is more of a game-keeping movie. This is because it brings to light issues that people deal and struggle with, but never really get to air. The film is excellently produced and cleverly delivered to drive its various points home. Works Cited Hooper, Tom. The King’s Speech. London: The Weinstein Company, 2010. Film This essay on The King’s Speech was written and submitted by user Memphis Gillespie to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Wednesday, November 27, 2019

Zechariah Prophet Essays - Biblical People In Islam,

Zechariah Prophet Zechariah is one of the Minor Prophets of the Old Testament. His book is located between the books of Haggai and Malachi. Zechariah is thought to have preached from about 520-518 B.C. The book of Zechariah deals with the restoration of Jerusalem, the Temple, and God?s people. Chapter 11 verses 4-17, which is a story of two shepherds, is one of the most difficult passages in the Old Testament to understand. From the New Living Translation, the passage reads as follows: 4 This is what the LORD my God says: "Go and care for a flock that is intended for slaughter. 5 The buyers will slaughter their sheep without remorse. The sellers will say, 'Praise the LORD, I am now rich!' Even the shepherds have no compassion for them. 6 And likewise, I will no longer have pity on the inhabitants of the land," says the LORD. "I will let them fall into each other's clutches, as well as into the clutches of their king. They will turn the land into a wilderness, and I will not protect them." 7 So I cared for the flock intended for slaughter ? the flock that was oppressed. Then I took two shepherd's staffs and named one Favor and the other Union. 8 I got rid of their three evil shepherds in a single month. But I became impatient with these sheep ? this nation ? and they hated me, too. 9 So I told them, "I won't be your shepherd any longer. If you die, you die. If you are killed, you are killed. And those who remain will devour each other!" 10 Then I took my staff called Favor and snapped it in two, showing that I had revoked the covenant I had made with all the nations. 11 That was the end of my covenant with them. Those who bought and sold sheep were watching me, and they knew that the LORD was speaking to them through my actions. 12 And I said to them, "If you like, give me my wages, whatever I am worth; but only if you want to." So they counted out for my wages thirty pieces of silver. 13 And the LORD said to me, "Throw it to the potters" ? this magnificent sum at which they valued me! So I took the thirty coins and threw them to the potters in the Temple of the LORD. 14 Then I broke my other staff, Union, to show that the bond of unity between Judah and Israel was broken. 15 Then the LORD said to me, "Go again and play the part of a worthless shepherd. 16 This will illustrate how I will give this nation a shepherd who will not care for the sheep that are threatened by death, nor look after the young, nor heal the injured, nor feed the healthy. Instead, this shepherd will eat the meat of the fattest sheep and tear off their hooves. 17 Doom is certain for this worthless shepherd who abandons the flock! The sword will cut his arm and pierce his right eye! His arm will become useless, and his right eye completely blind!" The commentary Obadiah through Malachi begins by commenting on the ambiguous nature of the passage. This vague language makes it very difficult to interpret; thus the details remain elusive. The author feels that this passage goes in accordance with the earlier situation described in Zechariah 10:3. In both passages it is made clear that the leaders (shepherds) of Israel have made the Lord angry. Zechariah is describing the social disorder and the peoples' dishonesty toward each other that has overwhelmed the community before it will be restored by God. This commentary is certain that the doomed flock is in fact Israel, but is unsure whom the sheep merchants represent. Their guess is that they may be the workers in the temple who have hired Zechariah. The shepherd is understood as symbolizing a ruling, most likely a prophetic one. Zechariah is telling his audience that Israel is in total disarray and the leaders aren't doing anything to help, in fact some are making the situation worse. God is permitting the corruption by sitting on His hands. While doing so, he stresses the need for repentance so the corrupt community may be restored. The prophet becomes a leader to try and help Israel, but ends his leadership in disgust. Zechariah decides he will let what is to happen to the people happen to them, because they would not

Sunday, November 24, 2019

How does Shakespeare present relationships Essays

How does Shakespeare present relationships Essays How does Shakespeare present relationships Essay How does Shakespeare present relationships Essay Essay Topic: The Taming Of the Shrew How does Shakespeare present relationships between men and women in The Taming of The Shrew? Shakespeare uses the relationships in the play in order to express his own views of society and the roles of men and women in the Elizabethan era. Through his portrayal of the two genders in the the Taming of the Shrew, in particular Petruchio and Katherina, Shakespeare demonstrates the idea that men are too dominant over the female race, and that women should be given a more contributory, and equal role in society. He does not explicitly show this, because it would have been seen as too diverse for 16th Century literature, but he does show parity as an underlying opinion in the play. A common motif in the play is the idea of money and wealth. This was seen as an important factor in life decisions such as marriage, particularly for men characters because, in the Elizabethan era, they owned all of their wifes belongings, riches and earnings, if any. Consequently marrying into wealth had a key part to play in happiness. In the Taming of the Shrew, this is apparent through Petruchio, and his marriage to Katherina. In the play, he is challenged to tame her, and agrees to it because she is rich enough. Katherina is referred to as shrewd and froward by the men, and is ridiculed by Hortensio who would not wed her for a mine of gold; Petruchio replies thou knowst not golds effect, suggesting that his determination to woo Katherina is not because of his love for her, but his lust of money. Shakespeare reinforces this when Petruchio is discussing his marriage agreement with Baptista, Katherinas father; he is keen to find out what dowry he shall have with her to wife? and by stressing his eagerness to find out, Shakespeare is showing a demonstration of Petruchios greedy character. The way in which Shakespeare has worded the phrase have with her to wife implies that Petruchio is seeing Katherina as a task he must complete and put up with in order to gain a prize. Hortensio is also used to strengthen this idea, as he is quick to give up his pursuit of Bianca for a wealthy widow. By doing this, Shakespeare is stating that men of his society did not value the relationships with their women and had little respect for their existence except for their bringing of wealth. This idea is furthered by Baptistas comment that is, her love, for that is all in all. On the surface he seems to be caring for his daughter and concerned with the fact that she falls in love with Petruchio, however, because he later adds well mayst thou woo, and happy be thy speed! suggests that he wants more for Katherina to be married quickly than to be happily in love, and perhaps Shakespeare may have used the first as a passing comment to appear interested in the well-being of his daughter, while ironically giving the impression that even fathers are uncaring and too concerned with themselves when it comes to relationships with their daughters as he wants to get them married quickly. Wealth imagery is used to present women also, as Bianca is referred to as a treasure, jewel and a prize, suggesting that women were seen as possessions that must be sold to merchants as assets. Baptista displays more of a fondness towards Bianca, the younger of his two daughters, and favours her over Katherina. For example, after breaking up an argument between the two, Baptista calls Katherina a devilish spirit which demonstrates his lack of care for her feelings, whereas Bianca is seen as a poor girl in his eyes as a result of the dispute. This favour is common in the sisters, as Bianca is described as meek and mild, an idyllic woman for men in Shakespeares time, and so people would have been more fond of this character. The contrast Baptista uses for his daughters could be seen as a high criticism of Shakespeares to his society in that they disregard the people, women in particular, that hold a fiery character or are unafraid to express their inner thoughts, but highlight those who comply with the social rules and fit in the boundaries set. He makes this clear toward the end of the play where it is Katherina, once rejected by the community, who is seen as the approving woman. Baptista still upholds his dominative role as a male by not letting Bianca marry until he has a husband for the elder. On the one hand, Baptista could be showing a concern to have both his daughters married because he wants them to both be happy, however, it could also be seen that he understood the importance of having his daughters marry, eldest first, for the sake of his own reputation, and also that it would create a motivation for someone to marry Katherina which looked unlikely otherwise. Shakespeare wants relationships in the play to be presented as important in terms of credibility and reputation, which perhaps is controversial to his own opinions. Shakespeare uses animal imagery, continuously throughout the play. These are mainly used in terms of portraying Katherina through mens eyes. She is viewed as intolerable curst by the people of her society and as a wildcat as Gremio says. In context of the Elizabethan era, women were expected to be polite and meek people who lived to play the role of a serving wife, and in view of Katherinas description, she clearly deviates herself from this norm. In describing her as a wildcat, Shakespeare enforces the idea of her undomesticated character that needs taming. Shakespeare constantly refers to Katherina in animal terms through Petruchio; he asks those who challenge him have I not in my time heard lions roar? This metaphor is used to compare Katherina to a lion, which is known for its danger, signifying again that she is the opposite of her expected role. While other men fear her, Petruchio is seeing her as a task for him to complete, which again implies the idea that men see women as a prize they must accomplish and win. Katherina is also referred to as a falcon, which is again is a fierce animal, however, it is classed as a bird of prey so Shakespeare may have wanted to use this description in order to give Katherina status in the play over the other women. The fact that these ideas of her does not change Petruchios mind implies that he may find it an attraction to her and that he may find it desirable for a woman to have a fiery personality. In which case, Shakespeare may be grounding his own implicit value of how he thinks women should be in a relationship.

Thursday, November 21, 2019

Land Use Law Essay Example | Topics and Well Written Essays - 1500 words

Land Use Law - Essay Example Said appeal to the superior court shall be by a writ of certiorari as provided by State law. The aforementioned appeal must be filed within 30 days from the date of the decision of the board of appeals, and failure to file said appeal within the 30-day period shall make the decision of the board final and executor† (Section 1809 Article XVIII Zoning Board of Appeals). In Able’s verified petition, he can raise the following contentions: 1. That the board (ZBA) committed a grave abuse of discretion by denying his application for variance. In the case of City of Dallas v. Vanesko, 189 SW 3d 769 (2006), it laid down the principle of the two-tier test for abuse of discretion. The decisions of the ZBA, which is acting as a quasi-judicial body can be the subject of an appeal before a state district court by filing an application for a writ of certiorari, as a mode of appeal. â€Å"The reviewing court shall not be allowed to replace its own judgment for or in behalf of ZBA. How ever, the presence of any aggrieved party who will challenge the decision of ZBA must be able to establish that the board has only reached a single decision. It is the reviewing court which has the power to render a decision in finality. Hence, appeals based on the ground of abuse of discretion is akin in the nature of trial de novo, where the appeals court conducts a new trial, as if no trial has been held in the first place, as it overturns the determination made by a lower court. It shall be the appeals court’s duty to determine if the board acted in bad faith, malice or gross negligence† (Dougherty 16). 2. In the case of Lucas v. South Carolina Coastal Council,  505 U.S. 1003  (1992), the court ruled that the â€Å"total takings test† shall be applied when the property, which is the subject of the actual taking is being made valueless and use would not constitute a common law nuisance, then such regulatory taking  requires compensation. Able can raise t he issue that the challenged zoning forbids all economically viable use of his land. In an analogous case involving similar facts, Mr. Lucas was able to show that the South Carolina Coastal Commission had forbidden practically all development of his beachfront property, amounting to $975,000. Even if the regulations do not destroy entirely all uses of the owner’s land, a favorable decision may still be granted to him provided he will establish that there is a severe economic damage on him and that the temporary interference with an owner's use of his property breaks a distinct investment expectation, may still constitute within the concept of taking for which the Constitution requires that compensation be paid. In the final resolution of this instant case, Able’s contention is untenable. It has been a time-honored principle that zoning is a valid exercise of the police power of the state. It is the comprehensive regulation of land use in a city which imbued with public interest and such power has been recognized by the State. â€Å"In the case of Connor v. City of Univ. Park, 142 SW 2d 706, 712, the court held that zoning is intended to conserve property values and encourage the most effective use of property throughout the city. As cited in the case of Strong v. City of Grand Prairie, 679 S.W.2d 767, 768, the basic purpose of all restrictive zoning ordinances is to prevent one property owner from committing his property to a use which would be unduly imposed on the adjoining landowners in the use and enjoyment of their

Wednesday, November 20, 2019

John Maynard Keynes Essay Example | Topics and Well Written Essays - 2750 words

John Maynard Keynes - Essay Example He initiated the "Keynesian Revolution" which split economics into two divergent paths; one away from a traditional laissez faire economic system and toward an economic theory that saw the government as an essential player in maintaining growth within a capitalist economy. The following paper will review the economic policies of Keynes. Firstly, a review of his contribution to the USA recovery form the Great Depression shall be given. Secondly, a discussion of Keynes contribution to the global economic recovery following World War II will be presented. Thirdly, the use of Keynesian theory during the Conservative Era in the USA will be outlined. A conclusion will summarize the main points of the paper. The Great Depression was a global event of economic downturn that was initiated in 1929 and spanned across a decade until 1939. As such it is the longest and most harrowing depression that the industrialized world had known. Beginning in the USA, the Depression resulted in significant reductions in output, widespread unemployment and poverty, and acute deflation worldwide (Romer 3). At the time, the gold standard provided almost a global network of fixed currency exchange rates, and it has been stated that this was a core reason that the economic downturn in the USA swept through other national economies. In the USA, the Depression has been described as the second worst socio-cultural event since the Civil War. The actual causes of the Depression are still contentious issues today among economist and academia. Although it is generally agreed upon that there was a multitude of contributing factors; declines in consumer demand; financial panics; and misguided government policies (Calo moris 5; Romer 4). The recovery from the Great Depression was enabled by fundamental changes to national economic approaches, macroeconomic policy and the theory of economics itself. Keynes played a key role in the recovery with his advocating of interventionist government policies, which required the government to draw on fiscal and monetary sources to buffer the detrimental effects of the present Depression, as well as future potential recessions and booms. Keynes stressed the need for the government to intercede occasionally and exert force on the market economy (Romer 3; Skidelsky 5). Previous to this time, economists had simply believed that an economy would continue to grow and develop; it was thought that a market failure would be a temporary situation that could fix itself if given time. This laissez-faire approach was developed by the economist Adam Smith. It was argued by Smith that if the market was left alone it ("the invisible hand") would run itself (Skidelsky 15).In fact, many approache d an economic crisis as a state that would stimulate new opportunities to make a profit. Keynes, though presented a theory wherein the economy could become stagnant, and remain so, regardless of the amount of unused resources. He postulated that capitalism had no intrinsic ability to maintain growth regardless of external circumstances (Romer 7). Such a dramatic shift from the present approach to economics was revolutionary; that during times of severe depression the government was the only hope for an economic recovery. In this way, Keynes became known as the father of

Sunday, November 17, 2019

Risk Management Essay Example | Topics and Well Written Essays - 2000 words

Risk Management - Essay Example This proposal had been blocked by local bodies in the 90s, citing health hazards. To overcome strong resentment, the government was more than willing to develop partnerships with potential candidate sites. Geological disposal is a long-term waste management option involving the placement of radioactive waste in an engineered repository at between 200 and 1000 metres underground where rock structures provide a barrier against the escape of radioactivity. This process has been successful implemented in many countries in the west and the UK has also been a major beneficiary of this technique. However, there remains a core group in UK who find this hard to believe and have blocked moves by the government to implement it in many communities around UK. The UK has a history of failure of finding an acceptable site for the disposal of intermediate and high level radioactive waste (ILW and HLW). Limited space and local opposition are two factors that contribute to this problem. Under the circumstances, the largest volumes of waste are stored at the Sellafield site in West Cumbria, in addition to significant volumes of waste stored at the various nuclear power stations around the country. This is a temporary solution as, in addition to this waste, created through fifty years of nuclear operations, will be the waste produced by the decommissioning of the older generation of nuclear facilities. The current estimate of the total radioactive waste inventory after decommissioning is complete is around 238,400 m3 of ILW and 2,710 m3 of HLW. Higher activity waste from the nuclear, chemical, and biological industries, involved in military uses and academic research, is to be managed through long term geological disposal. This involves placing radioactive and other toxic wastes in facilities deep underground, where the rock structures will provide a barrier against radioactivity. The decision was in keeping with the recommendation of the Committee on Radioactive Waste Management (CoRWM) in July. Geological disposal was identified by CoRWM as being the option that would perform best in terms of security and protecting the public and the environment. In order to safeguard public interests, planning and development of geological disposal will be based on: 1. The Nuclear Decommissioning Authority with shoulder all responsibilities and accountabilities to address

Friday, November 15, 2019

State Funding for California State University

State Funding for California State University Sherry Pickering The state legislators in California play a key role in the funding for the California State University (university). They may also impose new reporting requirements, change the laws and set new rules that directly affect the university at any time. As a university administrator the system-wide conferences that I attend typically feature a speaker from the California State Universitys advocacy team whom will outline the political landscape and discuss content and status of current legislation. A key point that has routinely been made in these presentations in the last several years is that term limits are detrimental to the university. Specifically we are told that term limits mean that the state legislators are constantly campaigning so they cannot be bothered with key issues that are important to the university or, if theyve just entered office, they are too new to be of much help. This leads to the question, are term limited state legislators more or less likely to be responsive to the requests of bureaucratic interests? Term limits were enacted for the California state legislature with the passage of proposition 140 in 1990. â€Å"The law limited state Assembly members to three two-year terms and state senators to two four-year terms.† (California_Term_Limits,_Proposition_140_(1990), 2015) It also imposed â€Å"a lifelong ban against seeking the same office once a member† was termed out and prevented â€Å"new legislators from earning pension benefits.† (California_Term_Limits,_Proposition_140_(1990), 2015) California was among the first in a series of states to adopt term limits. This trend begun in the 1980s and continued throughout the 1990s to the early 2000s that ended with to up to 21 states adopting some term limits. Six states have since repealed these changes in the wake of a 1995 ruling that congressional term limits were unconstitutional, in that states could not place limits on a federal office. The push for term limits in the 1990s seemed to be a grassroots effort. Throughout the 1980s in California incumbents seemed to be impossible to unseat. This was in part due to advantages of name recognition enjoyed by all incumbents. However that effect was reinforced by several redistricting efforts that made it increasingly difficult for the predominantly Democratic members to be challenged by Republicans. These results for the legislative bodies were in stark contrast to the results in the three gubernatorial contests that occurred during this period where a Republican was chosen. The proposition was backed by Republicans whom were interested in the passage of these laws in two way. Ideologically Republicans are in favor of a more limited government. Term limits are generally seen as a way to weaken a legislative body which is alternately used as an argument for or against term limits laws. More importantly in the early 1990s Republicans were in favor of term limits as a way to create more competitive races for seats. Given the make-up of the legislative membership it seemed that the Republicans stood to gain the most with the passage of term limits. Main stakeholders involved with this issue are state legislators. In California there are two legislative bodies, the state assembly and the state senate. Unlike other states such as Texas where legislative appointments are part-time, California legislators have a full time or professional appointment. In the assembly there are 80 members while in the state senate there are 40 members. While several political parties exist, these legislative bodies only have representatives from the Democrat and Republican parties. Presently Democrats hold a majority of the seats in both the assembly and senate. The staffs of these legislative bodies represent another group that would be deeply interested in this issue. This staff is made up of partisan staff, usually represented by those that work for individual legislators, and non-partisan staff such as those that work for the administrative arm of these bodies. For example, non-partisan staffers in the Legislative Analyst’s Office provide analysis for each bill presented in each house. While the non-partisan staff may seem to have more secure positions regardless of the passage of term limits they would be impacted by an increase or decrease in the amount of bills generated by the legislators. Lobbyists and special interests have a stake in the outcomes wrought by term limits. These lobbyists may represent bureaucratic interests like those of other state agencies such as university, prisons and health and human services or external parties such as business and issues groups. These groups would be keenly interested in how term limits have strengthened or weakened their influence on these legislative bodies. Citizens of the state play a key role in shaping law in California. In 1849 referendums or initiatives, which are changes to the state constitution or laws, were referred to the electorate for a popular vote. This law was expanded in 1911 to allow externally sponsored initiatives to be brought to vote. The initiatives process means that the voters are asked to decide if either tiny or sweeping changes to laws should be adopted. While this should result in a more direct style of government as a voter it gives the impression that the legislative bodies aren’t working to come to consensus on decisions that they should be more informed than the average voter to make. Legislators, legislative staff and lobbyists largely opposed the proposed term limits law because of the seemingly detrimental effect that it would have from each of their perspectives. Prior to term limits some legislators served in the same seat for decades. In the face of term limits these legislators had to reimagine how they could perform in office under these new rules. Legislative staff tied to a particular legislator or party faced an uncertain future where they may need to find a new job every few years. Finally, lobbyists could no longer rely on their long relationships with a particular legislator nor could they influence affiliated committees with these relationships. Beyond the rhetoric published as the term limits law was up a vote, there is ample evidence that legislators dislike these laws. For example, in the majority of the states without these laws each state’s legislative house law would have to be passed on a vote to be adopted. Yet these laws have never gained enough support. In the U.S. Congress term limits could only be imposed on senators and representatives by passing a vote in those legislative bodies, but term limits proposals have been brought to vote several times and failed to gain enough support to pass. Therefore the electorate seemed to have the most to gain from adoption of term limits. The expected positive outcomes most frequently citied during the campaign to pass the law were that term limits would lead to a more diverse, citizen legislature that represents the electorate’s interests, and balanced power the between the executive and legislative bodies. While all of these aims may not have materialized, overall likely voters in California seem to be pleased with the results in the last several years. One area where it could be argued that term limits has succeeded is related to the diversity or make up of the legislators. Supporters of the law claimed that it would create new opportunities for women and minorities to become representatives. Generally the number of women in the legislature rose statewide and adjusting for other factors â€Å"term limits opened up nine Assembly seats for women† between 1990 to 2001 (Cain Kousser, 2004). Nationwide the effect of term limits on participation rates for women seems to be virtually flat. (Institutional Change in American Politics: The Case of Term Limits, 2007) California had a long history of electing minority representatives. In the period after term limits laws went into effect minorities were elected to the state legislature in greater numbers. This was in part to seats that became available due to term limits. However, term limits removed long serving minority members such as Willie Brown. So the overall effect of term limits on the make-up of the state legislature in California did show an uptick in the election of minority legislators, specifically Latinos. (Cain Kousser, 2004) One area where term limits seems to have had no effect is on the careerism of legislators. Proponents of the term limits laws were certain that the career politicians would be phased out due to term limits and seats would become available to ‘citizen’ candidates. Instead since term limits have been put into place legislators seem to map out a series of jobs that begin in local government, rise to state legislature and go onto elected state office or back to local government. (Cain Kousser, 2004) Research found that in 1980 â€Å"the share of Senators who had been Assembly members had risen to 65 percent. By 2001, that figure rose to 90 percent.† (Cain Kousser, 2004) Legislative staff concerns about term limits came to pass in a couple of ways. With the downturn and subsequent shortfalls in the state budget non-partisan legislative staffs, namely the staff of the Legislative Analyst’s Office, were cut dramatically. The staff of the Assembly also suffered cuts related to budget shortfalls. So the staff has experienced a greater amount of work, not because of a change in the amount of legislation, but rather from a reduced number of staff to perform the work. Partisan staff also experienced a shift in their jobs in the wake of the adoption of term limits laws in California. As expected with the loss of some job security, the tenure of this staff has decreased. Along with fewer years of service the expectations of the staff in these positions has changed. For example, prior to term limits staff were expected to analyze legislation. After term limits staff must also provide recommendations with their analysis. (Robinson, 2011) An alarming outcome of term limits for the university is that it seems to have strengthened executive branch in certain ways. One key way this has materialized that directly impacts the university is that the legislature is less likely to be effective in altering the governor’s budget. Researchers observed this effect by comparing budgets for certain categories in the budget in years before term limits and after the laws went into effect where economically the state was experiencing similar circumstances. (Cain Kousser, 2004) In a less studied way this effect has been noticeable in the last few years has been on time budgets which is helpful to the university in creating more stability for the transition from one fiscal year to the next. However, this means that there have been fewer objections to the governor’s budget proposal by the legislators. For the university system the governor’s budget has fallen short of the budget requests that were submitted. Additionally, while there have been some increases for the university between the governor’s budget and the May revise that takes tax collections into account, these have only made some progress in replacing the state support that the university lost in the financial downturn. This virtual lockdown in the budget process and insistence by the Governor that tuition fees remain level over the last few years has made it difficult for the university to grow system-wide enrollment. The Governor has also expressed his view that the university should cut cost of course delivery by adopting an online model more rapidly. While this is a fine opinion to have, it does seem that his budget allocations for the university reflect an unwillingness to recognize that making such a drastic change in a large system does not happen overnight. The overall lack of legislative voices disagreeing with the Governor on these points has been very noticeable. One expected outcome of instituting term limits was that the influence of lobbyists would be diminished. This was supposed to occur because the lobbyist would have less time to develop long relationships with any one legislator so lobbyists would have less success in influencing the political process. While if this were true it could mean that the university’s lobbyist’s claims are true, there is some evidence that this outcome has not been realized. When surveyed lobbyists responded with term limits in place the influence of the Governor increased quite dramatically. Additionally, the influence for their firms specifically stayed about the same or increased slightly with the implementation of term limits. (Moncrief Thompson, 2001) In the years after the term limits were enacted under proposition 140 there were four attempts to remove or change the law. The first three attempts, a lawsuit and two ballot propositions, failed. Proposition 28 was passed in a June 2012 election. With this amendment legislators may now serve in either house in any combination of terms up to 12 years. This doubles the time that a member of the Assembly could serve under proposition 140 rules. While the effects of this recent change remain to be seen, it is possible that it will return some balance to the political process and reign in the executive branch. While I can see that the university’s lobbyists are likely working harder than they did in the past, I see no evidence that they have less influence under term limits. Given that the budget is a key issue for the university what may also be the case is that they are putting their efforts into influencing the members of the legislature that worked well under pre-term limits conditions when their efforts would be better spent demonstrating that the university system has value to the executive branch. In light of this analysis, I believe the university’s lobbying group should: Assess their current program to determine how much of their time is allocated to committee support, specific contacts with legislators and the executive branch. Then evaluate the effectiveness of the meetings with specific legislators. If this leads to more effective committee support then they should likely leave their time allocation as it is currently. However, if their meetings yield little results they should assess how that time could be better utilized to up their contact with the executive branch. It is well known that this governor is no fan of higher education; however any improvements that could be made as a result of the renewed efforts on the part of the lobbyists would be helpful. It seems likely that they are well aware of the research underpinning this analysis, but I have been surprised in the past how frequently people do not read about their own professions. So going through this assessment could do them well. Bibliography Basham, P. (2003). Defining Democracy Down: Explaining the Capaign to Repeal Term Limits. Washington D.C.: Cato Institute. Cain, B., Kousser, T. (2004). Adapting to term limits: recent experiences and new directions. San Francisco: Public Policy Institute of California. California_Term_Limits,_Proposition_140_(1990). (2015, 03 07). Retrieved from ballotpedia.org: http://ballotpedia.org/California_Term_Limits,_Proposition_140_(1990) Donovan, T., Snipp, J. (1994). Support for Legislative Term Limitations in California: Group Representation, Partisanship, and Campaign Information. The Journal of Politics, 492-501. Institutional Change in American Politics: The Case of Term Limits. (2007). Ann Arbor: University of Michigan Press. Moncrief, G., Thompson, J. (2001). On the outside Looking in: Lobbyists Perspectives on the Effects of State Legislative Term Limits. State Politics Policy Quarterly, 394-411. Robinson, K. (2011). Shifting Power in Sacramento: The Effects of Term Limits on Legislative Staff. California Journal of Politics and Policy 3(1). Walters, D. (2012, 03 30). Changing Term Limits isnt the Answer. Monterey Herald, pp. http://www.montereyherald.com/general-news/20120330/dan-walters-changing-term-limits-isnt-the-answer.

Tuesday, November 12, 2019

NAPOLEON :: essays research papers

Napoleon 1 NAPOLEON â€Å"RABULIONE† Napoleon 2 Abstract Napoleon Bonaparte was and still is one of France’s most revered heroes. Though born a Corsican in 1769, he journeyed to France for schooling at the age of nine. After an interesting and quiet childhood Napoleon joined the French artillery at the age of sixteen. Through hard work, bravery, political connections and being born during a turbulent time, Napoleon rose to the rank of General. In 1799 he was elected France’s First Consul For Life, later he proclaimed himself France’s Emperor. Napoleon reformed much of European law and spread the idea of republicanism throughout much of Europe. His ideas continue to be incorporated into Switzerland’s law. Napoleon also reformed schools and strengthened Paris’ reputation as one of the cultural capitals of the world. Napoleon’s life was not without setbacks. In 1814 he was exiled to the island of Elba, by British Allies. He was also exiled to St. Helena after losing battles at Waterloo, Wavre, Ligny and Quatre Bras. He lived in confinement surrounded by British Guards until he died on May 5, 1821. Napoleon 3 Napoleon†¦ â€Å"Rabulione† Napoleone di Bounaparte, who was also known as the â€Å"little Corsican†, was born to Carlo Maria and Letzia Maria Ramolino di Bounaparte in Ajaccio, Corsica on August 15, 1769. His family had moved there from Italy in the 16th century. Napoleon was the second of eight living children. He was named after an Egyptian religious figure. He and his older brother Giuseppe were allowed to wrestle, draw on the walls and play games in an undecorated room in the house. Napoleon also received a nickname as a child, Rabulione, which means â€Å"he who meddles in everything†(Bloom 2001). Napoleon was a very small, hot tempered youth. Though small, he would often beat up his older brother when fighting. He hade a very large ego and was very conscientious. As a child his mother often had him follow his father to the local tavern because his father liked to gamble and was not very lucky. He would have to run back and give reports to his mother. Napoleon formed many routines as a child that he continued throughout his life. Firstly, he bathed daily, as Emperor he bathed for an hour each morning before getting dressed. Secondly, he was very generous. He bestowed many awards, honors and titles as Emperor. Napoleon 4 Napoleon started school at the age of five. He was enrolled in a school, run by a nun in 1774.

Sunday, November 10, 2019

Firefighting and Role Model

Ryan Derdak English 1A Cataldo M, W, F Career Essay Firefighting is a career that can make someone feel proud and accomplished. Being a firefighter requires physical fitness, experience, preparation, and the ability to deal with the job emotionally as well as physically. It’s also a career that is very well respected in society. I choose to be a firefighter, because I want to be able to help others, have benefits for my family, and be a role model for someone to look up to. To me, being a firefighter would be a dream come true.This career would give me the chance to be looked at, as one of America’s heroes. There is no better feeling then having the ability to help others when they’re in need. The main reason firefighters are so respected is because their one job is to put their lives on the line to save others. After seeing how the firefighters helped everyone during 9/11, I knew that this was the career for me. The ultimate pay of being a firefighter will be se eing the smiles, joy, and sigh of relief on people’s faces when I assist them in need.There are a lot of people out there who wouldn’t risk their lives for others, which is why only a select few can fulfill the requirements of this job. Having a job that has great benefits for my family and me is always a concern. Luckily the benefits of putting my life on the line do pay off. Becoming a firefighter has the potential for me to make up to $150,000 a year. Along with the great salary, it offers a great pension, lifelong medical coverage, growth opportunities, flexible work schedule, and up to four weeks paid vacation.More importantly then the finances, is having a flexible work schedule that can let me spend time with my family as well. Getting the chance to spend time with the family is the most important benefit because there’s no guarantee that I’m going to return home from the job safe and sound. In life everyone needs a role model to look up to. An inf luential role model in someone’s life can help determine what type of person someone they’re going to be when they get older.Firefighters are one of the best role models for kids to look up to, because firefighters are considered a hero in American society. There’s a reason why kids get excited when they see a fire truck, or why they go up to firefighters and ask for stickers. If I can influence at least one person by being a firefighter, I’ll know that I did something right in life. Becoming a firefighter isn’t just any job; it’s a job that I have a lot of respect for.Unfortunately the path to becoming a firefighter won’t be an easy task because it requires physical fitness, preparation, experience, and the ability to deal with the job emotionally. It would also allow me to help others, provide benefits for my family, and give me the chance be an influential role model for someone to look up to. Getting the chance to do this type of job and enjoy every moment is something that everyone should be allowed to experience in life. This is also a career that can better me as a whole. The day that I become a firefighter is the day I start a new adventure in my life.

Friday, November 8, 2019

Sorcerer essays

Sorcerer essays Many authors write childrens books, but few make these books into multi-million dollar movies. J.K. Rowling was one of the few, lucky authors that got the chance to make her book, Harry Potter and the Sorcerers Stone into a Hollywood production. With all the detail and excitement on every page, the Harry Potter and the Sorcerers Stone (4, J.K. Rowling) book was better than the movie version. Books leave a lot to a persons imagination. Imagination is something few children know how to use because of their lack of reading, and all the movies they watch instead. With a movie like Harry Potter there is little left to the viewers imagination. A lot was left out of the movie due to lack of time. Therefore, the movie was quite useless in telling the wonderful story, resulting in a complete disappointment for the audience. This movie was a really big let down for all those Harry Potter fans. When it comes to turning a book into a movie many producers and directors have to leave out parts of the story because of the lack of time. This is somewhat understandable. However, this editing process results in some confusion for the viewer who may not have read the book. If someone has not read the Harry Potter books then it makes watching the movies difficult. The movie version has a way of just throwing everything together without any background information. Most of the people who watched this movie are children, so that makes it even harder for them to comprehend. Therefore, this causes the viewer to not know what is going on. In the book the term Muggle (which means non-magical person) is explained, but in the movie many people, not having read the book, were clueless as to what that term meant. Quidditch matches in the book were ...

Wednesday, November 6, 2019

10 Reasons Dinosaurs Make Bad Pets

10 Reasons Dinosaurs Make Bad Pets It seems that everyone these days is keeping dinosaurs as pets, what with supermodels tugging tiny Microraptors on leashes and pro football players adopting full-grown Utahraptors as team mascots. But before you fill out the paperwork at your local dinosaur shelter, here are some things you may want to consider. (Dont agree? See 10 Reasons Dinosaurs Make Good Pets.) 1. Pet dinosaurs are expensive to feed. If you dont happen to have a Cycad Hut or Ginkgo Emporium in your neighborhood, you might find it difficult to scrounge up sufficient vegetable grub for your pet Apatosaurus (and your neighbors probably wont appreciate him eating the tops of their shrubs). And do you know how many cute, fuzzy mice, rabbits and Labrador Retrievers the average Deinonychus goes through every day? 2. Its virtually impossible to teach a dinosaur tricks. Believe me, its easier to train your cat to clean your windows than to teach the average dinosaur to sit, fetch or heel. Your pet Ankylosaurus will probably just sit there on the floor and stare at you dolefully, while your teenaged Spinosaurus eats the drapes from the top down. (With a little persistence, though, you might be able to teach a purebred Troodon to roll over.) 3. Dinosaurs create a lot of poop. Unless you live smack in the middle of a turnip farm, you may have a hard time disposing of the hundreds of pounds of poop the average Triceratops generates every day. Flushing it down the toilet isnt an option, and neither is using it for insulation in your attic. Some pet owners have experimented with creating kiln-dried dinosaur-poop furniture, with mixed results. 4. No veterinarian will want to de-claw your dinosaur. For liability reasons, most municipalities require you to trim the claws of any raptors, tyrannosaurs or allosaurs residing in your household. Good luck getting a vet to do thisand, if you do miraculously find someone willing to take on this task, even better luck stuffing your Gigantoraptor into your Honda Odyseey  and shlepping it to the clinic. 5. Your pet dinosaur will want to sleep in your bed. In the wild, dinosaurs are accustomed to hunkering down in rotting foliage, urine-soaked sand dunes and ash pits strewn with rotting carcasses. Thats why the average Styracosaurus will insist not only on sharing your mattress, but layering on every freshly washed duvet cover in the house and using your pillows as antler cozies. 6. Dinosaurs arent very good with children... As much as kids love dinosaurs, its unfair to expect the average Ceratosaurus to reciprocate that affection, especially since a well-fed five-year-old can supply a weeks worth of calories. Teenagers will have a slightly easier time of it; in any case, theyll put up more of a fight before being swallowed head-first. 7. ...or with other dinosaurs, for that matter. So youre looking forward to hauling your pet Majungatholus over the local dinosaur park and meeting that cute chick with the Archaeopteryx  popping out of her handbag. Well, bad news: the only thing dinosaurs hate more than children is other dinosaurs. Take your pet to the dog run instead, then sit back and watch the fun. 8. Dinosaur pet-sitters are hard to come by. Isnt it cute when your neighbors eight-year-old daughter drops by to pet your kitty, feed it kibble and scoop out the litterbox? Well, she might think twice about doing the same for your pet Therizinosaurus, especially given the mysterious disappearance of the last six pet-sitters you hired to do the job. 9. Most cities have very strict dinosaur leash laws. Unless you live in Seattle (for some reason, Seattle is very liberal about these kinds of things) you cant just saddle up your pet Centrosaurus and take it out onto the sidewalk. Flout the rules, and your municipalitys animal-control squad will gladly tug your pal over to the nearest dinosaur shelter, assuming they arent eaten first. 10. Pet dinosaurs take up a lot of room. As a general rule of thumb, the American Purebred Dinosaur Association (APDA) recommends at least 10 square feet of living space per pound of dinosaur. Thats not much of a problem for a 25-pound Dilophosaurus puppy, but it could be a deal breaker if you plan to adopt a full-grown Argentinosaurus, which will require its own aircraft hangar.

Sunday, November 3, 2019

Making Table Wine at Home Article Example | Topics and Well Written Essays - 1000 words

Making Table Wine at Home - Article Example Sometimes, you think that it is always easier to purchase wine than to make it. Think again. If your ancestors made them in their own homes centuries ago, there is no reason why you cannot make it when it is already the twenty-first century. You have the technology to make wine in your own homes without having to stomp on your grapes as ancient winemakers did. My grandmother has been making wines for our families for the past forty years. I recently learned how to do it, and I am happy to say that homemade wine can taste just as good as other high-quality branded wines. I will explain three steps in making wine: preparing all materials, fermenting and racking the wine, and bottling the wine. Let us start with the first step of making wine, which is preparing all materials and ingredients. The first step is to prepare all the materials and ingredients needed. You will need standard and intermediate winemaking pieces of equipment and raw materials. The standard winemaking pieces of equ ipment are carboy, iris jaw type floor corker, wine press, and thermometer (Great Homemade Wine). The intermediate materials are corks, empty glass bottles, oak, brush, clamp, tubing, and siphon (Great Homemade Wine). The raw materials or ingredients you need are grapes, wine yeast, and sugar, as well as sulfite tablets. (Wineintro.com). I recommend fresh grapes instead of grape juice because the former can provide high-quality wine (Cooke 4). I further suggest that you select Cabernet Sauvignon grapes if you have those in your area because it is the â€Å"king among wine grapes† (Warrick 14). Or, you can choose any type of grapes from the species of Vitis vinifera, because they tend to ripen with the right amounts of sugar, acids, and flavor compounds (Warrick 14). For water, spring water is suggested, because it has the right amount of minerals, but no chlorine (Peragine 40). For sugar, you can experiment with any kind of sugars, although you can use invert sugar. For yeast , choose the yeast specifically used for wines, called wine yeast, to produce a better tasting wine (Warrick 14). You also have to sanitize the area and types of equipment. You have to clean your work area and make sure that there is no clutter that will intervene with your winemaking. You also have to wash your equipment. You can use commercial winemaking cleansers that can be bought from many winemaking shops, or you can use bleach (Wineintro.com). You should be able to clean your carboys and other equipment as meticulously as possible (Wineintro.com). Part of the preparation is making sure that the grapes are crushed already. You can rent a crusher from small wineries or shops, or you can buy one. Before the primary fermentation can start, the grapes have to be crushed to produce the juice, pulp and skins, which are also called must (Great Homemade Wine). After preparing your ingredients and cleaning your materials, it is now time to ferment and rack the wine. Your second step is to ferment and rack the wine (Wineintro.com). There are two ways for fermentation that can be used (Great Homemade Wine).

Friday, November 1, 2019

Habit Essay Example | Topics and Well Written Essays - 1000 words

Habit - Essay Example Although it is not the goal of this brief analysis to discuss the means through which safety and comfort are innate within habit itself, this fact can obviously be denoted in a number of different ways. For purposes of this brief analysis, the author will discuss what is known as â€Å"the habit loop†; a theoretical interpretation of human habit and the underlying reason that prompts individuals to behave in a repetitive manner with regards to the choices, actions, and/or decisions they make. In order to understand this in something of a microcosm, the author will be presenting the reader with a brief examination of a habit that is engaged and whether or not this habit applies, follows, and typifies the â€Å"habit loop† that is previously been referenced. As such, it is the hope of this author that the reader will come away with a more profound understanding and appreciation of the way in which the habit loop impact describes and finds the way in which actions are repe ated. With regards to the habit that will be analyzed, this author will consider the individual ordering process that is exhibited with regards to the fast food chain – Taco Bell. ... This craving is of course awaiting a cue; at which time a direct level of connection between the initial craving and reward is bridged by a routine that the mind has come to accept. Although this may seem a relatively intricate and complex process, the fact of the matter is that this is engaged in each and every single habitual choice that any individual makes. A craving is initially exhibited within the mind; waiting for a cue. Once the queue is triggered, the reward is understood by the mind and can only be reached through the application of an applicable routine. In this way, with regards to the habit in question, the proclivity to order the same meal, regardless of the multitude of different offerings, represents a craving that is connected to a reward that is understood as only being satisfied by a particular menu choice. Psychologists have argued that the Golden rule of habit change states that the most effective way of seeking to change a given habit is to somehow keep the ini tial cue and reward that is able to be enjoyed whereas only modifying the routine itself. Naturally, this can be understood with regards to the way in which smoking cessation, Alcoholics Anonymous, and a number of other addictive substance counseling services seek to integrate with the patient. However, on even a more benign level, the golden rule habit change can also be applied the situation question. Instead of merely arriving at the understanding that the reward can only be derived through the set routine, the queue must be reconnected with an understanding of the fact that reward can also be derived from the alternate set of circumstances and/or an alternate set of choices. As such, seeking to change the routine in question would necessarily be

Wednesday, October 30, 2019

The Israel-Palestine Conflict Research Paper Example | Topics and Well Written Essays - 2000 words

The Israel-Palestine Conflict - Research Paper Example Generations upon generations of civilians have lived and died amidst this protracted war, victims of and witnesses to the seemingly limitless capacity of human beings for violence. The struggle for peace is indeed an aspiration that the whole world shares – and yet, history is rich with examples that tell us that peace without justice is an unsustainable project. The atrocities perpetrated in the context of the conflict must be accounted for, and there must be redress for the injustices wrought to the nameless and faceless victims. However, justice is not a one-size thing that fits all propositions. Efforts towards its introduction in a region as divided ethnically as Kosovo need to include clear-cut and streamlined efforts to address horizontal inequalities – defined by Stewart (137) as â€Å"inequalities among groups with shared identities – identities formed by religion, ethnic ties or racial affiliations, or other salient ways that bind groups of people toge ther†. Certainly, this includes looking at the broad and multiplex power dynamics that underlie these identities and become the basis for the conferral or denial of economic, political or social privilege. This is of course exacerbated when set against the backdrop of a conflict economy. Kamphuis (185) describes a conflict economy as one â€Å"that leads to the breakup of administrative and social institutions, the flight of human capital through migration, and the destruction of infrastructure for education and health care† – the clear contextual backdrop of the Israel-Palestine crisis. There are also political complexities that come into play. Writers like Danny Rubinstein write that Palestinian nationalism is on the wane and that â€Å"about twelve thousand Palestinians from East Jerusalem have received Israeli citizenship† (1). But almost on a daily basis, we are besieged by news report on intensified â€Å"terrorist† attacks by Palestinian figh ters. Indeed, it is hard to make a clinical assessment of the situation. I argue that investigating the extent to which horizontal inequalities were addressed may be done using the multiple dimensions of justice enumerated by Hellsten (79) as analytical tools or criteria – (1) justice as the establishment of public safety and individual security, securing the lives of civilians from acts of violence; (2) justice as reconciliation and redress for past grievances, embracing the concept of restorative justice; (3) distributive and social justice, which focuses on social and economic well-being on a more long term period, and (4) political justice, involving participation and inclusion is governance. This means that all these imperatives must be addressed and dealt with, rather than one criterion alone and sacrificing the rest, e.g. reconciliation at the expense of resource redistribution, economic growth at the expense of political participation, governance, without rectifying i ndividual criminal responsibility. In countries fraught with sharply-drawn ethnic lines where political and economic privileges are denied or granted on the basis of ethnicity, satisfaction of the requirements of these dimensions of justice cannot take place without addressing horizontal inequalities. In a similar vein, aspiring to address horizontal inequa

Monday, October 28, 2019

Hilift Pty Ltd Essay Example for Free

Hilift Pty Ltd Essay Hilift Pty Ltd (Hilift) owns an industrial crane. Hilift employs two crane operators, Elwyn and Osman, who each work 4 hour shifts. In May 2008 the owner/builder of a new apartment block hires Hilift’s crane and operators for two weeks to lift building materials to the upper floors of their building. At the end of the first shift on the 10 May, Elwyn notifies the manager of Hilift that the crane is not performing properly and that it needs looking at. The manager contacts the company who does repairs and maintenance work on the crane, EFL Engineering, and asks for an engineer to be sent out immediately. EFL says that no-one is available for two hours. The manager of Hilift decides to allow Osman to begin his shift before the engineer arrives, since to stop work will delay construction. Osman is halfway through hoisting his first load when a cable in the crane snaps and the crane swings out of control, smashing into a lower floor of the building. Two construction workers in the building are injured. One has both legs crushed and they have to be amputated. The other worker will be hospitalised for a long time with serious injuries but will make a full recovery. The building is damaged by the accident and will cost $75,000 to repair. The construction of the building is delayed by three months because of the accident, and for this period the expected income from tenants is lost. Osman is deeply traumatized by these events and cannot bring himself to drive a crane again. After a period of six months without employment, during which he receives psychiatric treatment, Osman takes lower paid work as a general construction worker. A subsequent inspection of the crane finds that the fault in the cable would have been discovered if an engineer had inspected the crane after El wyn’s shift had ended. To replace this cable would have taken six hours. Advise Hilift as to whether, and to what extent, the company will be liable in tort for the harm that has occurred. Facts: Hilift Pty Ltd owns industrial crane May 2008: hired to lift building materials to upper floor of new apartment block Hilift is aware crane is not performing properly Hilift contacts repairs company Hilift allows Osman to work before crane is looked at  Cable in crane snaps Causes $75 000 of property damage and delays construction by 3 months Osman is traumatized, cannot drive crane again Fault in cable would have been discovered by engineer Advise Hilift as to whether, and to what extent, the company will be liable in tort for the harm that has occurred. Consider: Osman, Construction Worker 1, Construction Worker 2 and the building owner using IRAC. Issue: Is the company liable in tort for the harm that has occurred to Osman, Construction Worker 1, Construction Worker 2 and the building manager and to what extent? Rule Tort of Negligence: The respondent in a civil claim of negligence will only be liable to the applicant/plaintiff by way of damages if the following elements are established on the balance of probabilities: 1. That a duty of care was owed by the respondent to the plaintiff in the relevant situation; Here you would cite cases if relevant – specific tests/standards etc. 2. That the respondent breached that duty of care owed to the plaintiff; and Again, cite case authority and any applicable standards – e.g. â€Å"reasonable person† 3. That the plaintiff has suffered some injury or damage as a result of that breach. Case authority – e.g. the injury must be reasonably foreseeable. Apply – Osman 1. Duty of care? Hilift reasonably ought to have been able to foresee, and clearly did know, that there would be risk that the crane would malfunction or break which would likely cause physical or psychological harm to the crane operator, if he did not wait for the maintenance / repairs company. This is supported by the fact that the other operator, Elwyn, notifies the manager of Hilift after his shift recommending that the crane needs to be looked at. This is also supported by the fact that the manager contacts the maintenance company: if he did not perceive there to be a risk, why did he contact the maintenance company and request a consultation immediately? While a person is not generally liable in tort for psychological harm, this is a special case under the pure mental illness exception, whereby the plaintiff, Osman, witnessed the two construction workers being severely injured Neighbour principle: Established a duty of care between employer and employee in Wilson Clide Coal Co LTG v English (1 938): employers owe employees a duty of care to provide a safe working environment, and Paris v Stepney Borough Council (1951). 2. Breach? Standard of care: the â€Å"reasonable man† definitely would have believed there to be a real and foreseeable risk that the plaintiff might be injured if the crane malfunctioned or broke The â€Å"reasonable man† would have waited the two hours for an engineer from EFL Engineering to check the crane. The â€Å"reasonable man† would have exercised a much greater standard of care, particularly as the crane was lifting building materials to upper floors and the consequences if the crane malfunctioned were very serious. 3. Damage? Osman was â€Å"deeply traumatized† and cannot drive a crane again He received psychiatric treatment and would eventually take lower paid work. Causation: if Hilift had waited for EFL Engineering, the cable would not have snapped and would not have caused Osman’s psychological injury. (â€Å"But for† test) Foreseeability: Hilift ought to have foreseen that if he did not wait for the EFL Engineering consult, that the crane could malfunction and this malfunction would be likely to cause injury or death to others and consequently cause a severe risk of physical or psychological harm to the  crane operator. Conclusion Osman Hilift would be liable in tort for the psychiatric injury to Osman, but is unlikely to be liable in tort for the compensation for Osman’s reduced salary after the accident because established in Kyogie shire Council v Francis (1989) that it is not permissible for the court to award damages to compensate the injured for profits they may have earned if not for the negligent conduct. Apply – Construction worker 1 (Amputee) 1. Duty of care? Hilift reasonably ought to have known that there would be a (not insignificant) risk that the crane would malfunction or break, which would, in turn, be likely to cause severe damage or injury to workmen below. Supported by Hilift’s contact with the maintenance company: if he did not perceive there to be a risk, why did he contact the maintenance company and request a consultation â€Å"immediately†? Neighbour principle: Established a duty of care between employer and employee in Wilson Clide Coal Co Ltd v English (1938): employers owe employees a duty of care to provide a safe working environment, and Paris v Stepney Borough Council (1951). 2. Breach? See â€Å"Breach† in Apply – Osman The likely seriousness of the consequences of Hilift continuing construction without waiting for the engineer were extremely serious as the crane was handing heavy materials at a high altitude, which suggests Hilift ought to have exercised a higher standard of care. 3. Damage? The snapping of the cable caused direct, severe injury to the construction worker, requiring amputation of both legs. Causation: If Hilift had waited for EFL Engineering, the fault in the cable would have been detected and fixed, and the construction worker would not need to be amputated. Foreseeability: Hilift ought to have foreseen that if he did not wait for the EFL Engineering consultant, the crane could malfunction and this would be likely to cause severe injury or death to construction workers working on lower floors. Conclusion – Construction Worker 1 Hilift would be liable in tort to pay compensation for the costs incurred by Construction Worker 1 due to that hospitalisation and forced amputation of both legs, and possibly even â€Å"consequential mental harm† depending on the mental health of Construction Worker 1. Apply – Construction Worker 2 1. Duty of care? see â€Å"Duty of care† in Apply – Construction Worker 1* 2. Breach? Standard of care: the â€Å"reasonable man† definitely would have believed there to be a real and foreseeable risk that the plaintiff might be injured if the crane malfunctioned or broke. The â€Å"reasonable man† would have waited the two hours for an engineer from EFL Engineering to check the crane. The â€Å"reasonable man† would have exercised a much greater standard of care, particularly as the crane was lifting building materials to upper floors and the likely seriousness of the consequences if the crane malfunctioned. 3. Damage? The snapping of the cable hospitalised Construction Worker 2 for an extended period of time and serious injuries. Causation: If Hilift had waited for EFL Engineering, the fault in the cable would have been detected and fixed, and the construction worker would not need to be hospitalised. Foreseeability: Hilift ought to have foreseen that if they did not wait for the EFL Engineering consultation, the crane could malfunction and this would be likely to cause severe injury or death to construction workers working on lower floors. Conclusion – Construction Worker 2 Hilift would be liable in tort for compensation for the costs incurred by Construction Worker 2 for the hospitalisation due to Hilift’s negligent inaction by allowing Osman to continue work on a faulty crane. Apply – Building Manager 1. Duty of care? Hilift ought to have foreseen that if the crane was faulty, it would likely cause damage to the building Duty of care: professional persons (Hilift) owing a duty to client (building owner) established in Hill v Van Erp (1997). Analogous situation: manufacturers (Hilift) owing a duty to eventual consumer (building owner) established in Donohue v Stevenson (1932). 2. Breach? Standard of care: the â€Å"reasonable man† definitely would have believed there to be a real and foreseeable risk that the building would be damaged if the crane malfunctioned while handing heavy building materials. The â€Å"reasonable man† would have waited the two hours for an engineer from the EFL Engineering to check the crane. 3. Damage? The building will cost $75 000 to repair Construction is delayed by three months; expected income from tenants during this period is lost. Causation: If Hilift had waited for EFL Engineering, the fault in the cable would have been detected and fixed, and the building would not need to be repaired, nor will construction be delayed 3 months. Foreseeability: Hilift ought to have foreseen that if he did not wait for the EFL Engineering consultation, the crane could malfunction and this would be likely to cause damage to the building. Conclusion – Building Manager Hilift would be liable in tort for the compensation of $75, 000 for the  building repair, but precedent suggests the company will not be liable for compensation for the expected profits the building owner lost due to the three month delay. This was established in Kyogle Shire Council v Francis (1989).

Saturday, October 26, 2019

Kate Chopins novella, The Awakening Essay -- English Literature

Kate Chopin's novella, The Awakening In Kate Chopin's novella, The Awakening, the reader is introduced into a society that is strictly male-dominated where women fill in the stereotypical role of watching the children, cooking, cleaning and keeping up appearances. Writers often highlight the values of a certain society by introducing a character who is alienated from their culture by a trait such as gender, race or creed. In Chopin's Awakening, the reader meets Edna Pontellier, a married woman who attempts to overcome her "fate", to avoid the stereotypical role of a woman in her era, and in doing so she reveals the surrounding society's assumption and moral values about women of Edna's time. Edna helps to reveal the assumptions of her society. The people surrounding her each day, particularly women, assume their roles as "housewives"; while the men are free to leave the house, go out at night, gamble, drink and work. Edna surprises her associates when she takes up painting, which represents a working job and independence for Edna. Leonce does not appreciate this. The reader sees how he assumes what she should be doing from this quote on page 57: "Mr.Pontellier had been a rather courteous husband so long as he met a certain tacit submissiveness in his wife. But her new and unexpected line of conduct completely bewildered him. ... Then her absolute disregard for her duties as a wife angered him." Leonce says himself, "It seems to me the utmost folly for a woman at the head of a household, and the mother of children, to spend in an atelier [meaning a studio for painting] days which would be better employed contriving for the comfort of her family." This quote is rather symbolic as it uses the word "emplo... ...men surrounding her succumb to in life. By defying these "laws" Edna makes clear the morals that all the other women value; the satisfaction of their husband, the acceptance of society, and the conformity to stereotypical roles of a woman. In The Awakening, Edna is used as a tool to emphasize the surrounding society's assumptions of a woman and the morals that they value. Often, a character is set apart from their culture for this sole purpose, to stress a point the author wants to make. In this case, Chopin wants to show the reader how male dominated society has been, how quickly women succumb to their "roles", and how easily people can be shaped to consider a different and all too meaningless set of morals. Edna is strategically alienated in the novella so as the reader can discover society's assumptions and moral values of the era and up until today.